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港股險守萬九成交縮 內銀承接仍強 @ 2012-01-16T18: Back Hot News
Keyword:港股 萬九
Concept:
港股力守萬九關,全日收19012跌192點,成交減至388億
值得一跌的是,臨近年尾,加上今年港股累計跌幅較大,基金或會有較大動機進行粉飾窗櫥的活動;港股近日在萬八點關口展開了反彈走勢,符合近幾年來年底前出現反彈的情況。值得一提的是,按過去四年港股年底反彈的幅度計,今年反彈目標原可達19500-20500點,然而,另一方面,由於明年經濟展望向淡,大市中期走勢仍然疲弱,或使大市反彈幅度打了折扣,而50天線約萬九點關口將成為較重大的阻力。
評級機構標准普爾將法國等9個歐元區國家的信用評級降低,加上美國金融股業績較市場預期差,美股上周五下跌,市場關注歐元區的金融穩定基金評級會否被下調,港股早段跟隨區內向下,一度跌超過兩百點,恆指回試近萬九點的支持。本周將繼續有美國大型金融股的業績,將對市況帶來較大啟示作用,大市支持留意10天線約於18900點以上,上望留意近19300點的近日高位阻力。
港股成功收復萬九關,今早承外圍高開67.62點,報19071.9;國企指數報10458.31,高開44.70點。內地股市震蕩整理小幅收低,投資者在周二強勁上漲後鎖定利潤。港股開盤後受內地股市拖累,反復震蕩,重心略下移,中午報19020.85,升16.57點;國企指數報10424.59,升10.98點。半日成交億257港元。金利豐證券指,美國鋁業對2012年鋁需求展望樂觀,為新一輪企業業績期帶來好開始;評級機構惠譽指歐洲債務問題正良性發展,並重申今年無計劃下調法國「AAA」主權評級;配合中國去年12月錄得貿易順差大於預期,反映經濟或實現軟著陸,提振投資者信心;料在歐債沒有明顯轉壞的情況下,港股可受內地市場帶動,恆指下一阻力為19200點。

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