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《亞股》普遍受壓 港股跌逾400點 日經、台股各曾瀉千點 韓股挫近5%後拗腰倒升
美國通脹升溫,30年期美債孳息率一度上漲4個基點至5.16%,創下自2023年10月以來的新高。疊加美國及以色列討論重啟對伊朗軍事行動,地緣政局升溫,亞太區主要股市今早(18日)普遍受壓,韓股曾跌近5%後轉勢倒升。中國內地「三頭馬車」數據全面遜預期,A股兩市今早低開後倒升,滬綜指及深成指現各倒升0.1%及近0.5%,報4,139點及15,634點。港股頹勢未...
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《亞股》普遍受壓 港股跌逾400點 日經、台股各曾瀉千點 韓股挫近5%後拗腰倒升
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美國通脹升溫,30年期美債孳息率一度上漲4個基點至5.16%,創下自2023年10月以來的新高。疊加美國及以色列討論重啟對伊朗軍事行動,地緣政局升溫,亞太區主要股市今早(18日)普遍受壓,韓股曾跌近5%後轉勢倒升。
中國內地「三頭馬車」數據全面遜預期,A股兩市今早低開後倒升,滬綜指及深成指現各倒升0.1%及近0.5%,報4,139點及15,634點。港股頹勢未止,恆指今早低開123點後,跌幅擴大,曾跌433點,低見25,529點,最新報25,539點,跌422點或1.6%,成交1,278.77億元。台股低開76點後跌幅急擴,曾跌1,002點,低見40,170點後跌幅收窄,最新報40,649點,跌522點或近1.3%。台積電及鴻海各跌1.6%及0.2%。
市場憂慮日本財政惡化,國債遭拋售,日本10年期國債收益率一度升至2.8%,創約29年高。日本日經指數低開109點後,早段曾跌1,032點,低見60,376點,隨後跌幅收窄,半日收報60,843點,跌566點或0.9%。汽車股日產、豐田及本田各跌2.9%至6.4%。東電跌3.6%。瑞穗金融集團挫7.4%,三菱日聯金融逆市升3.6%。
南韓KOSPI繼上周五急挫6.1%後,今早低開0.7%,早段曾跌350點或4.7%低見7,142點,隨後拗腰反彈,現倒升88點或1.2%,報7,582點。兩大權重股震盪上行,三星電子今早曾跌3.1%,現倒升5.9%,南韓總理指將動用所有可行手段避免罷工。SK海力士今早曾跌4.8%,現倒升3%。野村發表報告指,記憶體股受AI需求上升帶動估值重評,升三星電子目標價,由原先34萬韓圜大升至59萬韓圜,SK海力士目標價由原先234萬韓圜大升至400萬韓圜,評級均為「買入」。
其他主要股市方面,印尼IDX長假期後復市,急跌3.5%,報6,489點創逾一年低。澳洲200指數、紐西蘭50指數各跌1.3%及1.1%。星股、馬來西亞KLCI及菲律賓PSEI跌0.4%至0.6%。越南河內指數升1%、胡志明指數跌0.3%。(da/u)
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