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《外圍股市》納指期貨跌幅擴至1.5% 歐洲三大指數早段回吐0.7%-1.2%
阿思達克 01-18 16:30
亞大區股市今天普遍反覆受壓,但跌幅均不足1%,其中南韓股市四連跌;港股三連跌,恆指在屢探頂匯控(00005.HK)、友邦(01299.HK)、阿裏巴巴(09988.HK)、京東(09618.HK)、遭大摩削價騰訊(00700.HK)、昨天急漲金沙(01928.HK)依次跌0.8%-2.9%拖累,尾市跌幅曾擴至208點或近0.9%,收24,112,僅跌105點或0.4%。然而,菲股反彈1.7%結束兩連跌;深滬股市反覆續升0.2%-0.8%。 美股期貨全面反覆跌0.5%-1.5%,納指一百期貨沽壓最大,報15,362,回吐1.5%;道指期貨報35,619,續跌177點或0.5%;標普五百期貨報4,615,回吐0.8%。 德國及英國10年期債息分別升至負0.01%及1.204%,分別爲2019年5月以來及去年10月以來最高。歐洲主要股市早段全面回吐,其中德國DAX報15,755,跌1.1%;法國CAC報7,115,回吐1.2%;意大利FTSE MIB報27,393,回吐1.1%;西班牙IBEX 35報8,785,回吐0.6%;泛歐50回吐1.1%,報4,253。此外,英國富時100最低見7,550,現報7,559,回吐0.7%。
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