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港股午評:科指大跌4.27% 恒指下挫超500點 科技等權重走低 黃金股、石油股回調
格隆匯 03-22 12:13

格隆匯3月22日丨離岸人民幣兑美元跌破7.25,港股上午盤三大指數低開低走,市場情緒萎靡。截止午間收盤,恒生科技指數大幅收跌4.27%表現最弱,恒指、國指分別下跌3.04%及3.45%,恒指更是重挫超500點。

盤面上,隔夜美股中概股逆勢下跌,致港股科技股普遍走低,嗶哩嗶哩績後大幅走低,美團、京東跌超5%,百度、阿里巴巴、騰訊均下跌;大金融股、中字頭股等權重亦集體下跌,中金公司、中國平安、招商銀行等龍頭跌幅靠前;美元走強金價承壓,連續上升的黃金股回調明顯,三桶油亦全線下跌,生物醫藥股下挫,互聯網醫療股方向跌幅最大,半導體股、內房股、餐飲股、汽車股、手遊股、電力股、煤炭股、重型機械股等紛紛下跌。 另一方面,國產滲透率有望逐步提高,化粧品股歐蘇丹逆勢升2.44%,電信股、香港銀行股個別上升,大股東傳考慮私有化,香港寬頻升2%。

板塊方面

美元走強金價承壓,黃金股回調明顯。離岸人民幣兑美元盤中跌破7.25關口,至7.25215,為去年11月17日以來新低。今早央行公佈,人民幣兑美元中間價較上日調降62點至7.1004,降幅創2024年2月5日以來最大。現貨黃金短線走低近6美元,報2176.2美元/盎司;現貨鈀金跌破1000美元/盎司,日內跌1.10%。

石油股普跌,中海油大跌超5%。油價連續第三天下跌,交易員在衡量全球利率前景和中東緊張局勢。布倫特原油跌破85美元/桶,WTI原油跌破81美元/桶。以色列方面表示,無論美國説什麼,它都將攻擊拉法,這可能會加劇中東的緊張局勢。由於美國庫存下降、歐佩克+減產以及烏克蘭對俄羅斯煉油廠的襲擊加劇,原油價格在近幾周突破了狹窄區間,第一季度料將錄得上升。然而,瑞士央行意外降息提振了美元,這對以美元計價的大宗商品來説是一個不利因素。

個股方面

香港寬頻逆市上升,大股東傳考慮私有化。消息面上,香港寬頻此前與環球全域電訊(HGC)大股東I Squared Asia Advisors的收購談判終止後,公司主要股東據報重新考慮潛在交易選項,涵蓋私有化及引入新投資者。 據彭博,包括私募股權公司MBK Partners和TPG在內的大股東已重新啟動戰略評估,目標是減持香港寬頻股權,其他選項還有通過香港寬頻的部分資產籌集資金。這些主要股東已經接觸一些專注基礎設施的基金,以及至少一家中資電訊集團,惟尚在討論階段,最終可能不會交易。

東方海外國際大跌15%,去年溢利大幅下滑86%。公司昨日盤後公吿,2023年實現收入83.4億美元,同比減少57.90%;錄得股東應占溢利13.68億美元,同比下滑86.27%。普通股每股盈利2.07美元。受高通脹、發達經濟體經濟增長放緩及疫情後消費者的消費模式轉變的影響,市場需求恢復並未如預期的那樣強勁。

長實集團大跌超11%創階段新低,去年盈利下滑20%,末期息減少12.43%。消息面上,公司昨晚公佈業績顯示,2023年股東應占溢利173.4億港元,同比跌20.03%,每股盈利4.86港元。集團末期息派1.62港元,同比減少12.43%。

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