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高鑫零售(06808.HK)曾續跌10%創逾五個月低 遭麥格理削價31%兼降級至「中性」
阿思達克 05-18 11:00
高鑫零售(06808.HK)業績公布後沽壓持續,繼上日(17日)大成交急挫22.7%後,今早(18日)未止跌,低開1.54%報2.55元後,早段跌幅擴大,更跌穿250天線(約2.43元),曾跌10%,最低見2.33元屬去年12月上旬後逾五個月低。現報2.4元,跌7.34%,成交1,779.2萬股,涉資4,290.14萬元。 麥格理發表報告,指高鑫3月底止全財年收入837億元人民幣,遜該行預期3.4%;全年度虧轉盈,賺1.09億元人民幣。管理層指引現財年收入按年持平,純利料按年上升。報告指公司朝向正確方向邁進,正改善長期業務經營,但線下渠道正面對短期壓力,降今明兩財年純利預測分別40%及29.9%,反映下調收入預測及經營去槓桿,投資評級由「跑贏大市」下調至「中性」,目標價由3.5元下調31%至2.4元。
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