18/9/2019
每日報告
恆生指數跌破27000點。
星期二港股開市下跌,恆生指數跌181點,跌破27000點,國企指數跌64點。權重股領跌,友邦保險跌1.82%,令指數跌49點。騰訊跌0.98%,令指數跌26點;滙豐跌0.74%,指數跌20點。工商銀行跌0.92%,令指數跌11點。紅磡站有車出軌,拖累港鐵跌1.92%,為跌幅最大藍籌股。A股開市跌0.23%,上證綜合指數跌7點。開市後跌幅擴大,恆生指數跌超過300點。騰訊跌0.64%,拖累指數跌15點;平保跌0.95%,拖累指數跌15點。建設銀行跌0.82%,拖累指數跌20點。跌幅最大藍籌股是:萬洲國際跌3.48%;創科跌2.69%;吉利汽車跌2.63%。雖然油價上升,下遊產品為主的中石化下跌,跌2.37%,相反中海油升0.3%。開市後A股跌幅擴大至1%,上證綜合指數跌31點,跌破3000點心理關口。港股跟A股跌幅擴大,汽車,出口股,石化股領跌。恆生指數最低跌至26823點,跌302點。恆生指數收市跌274點,國企指數跌107點,成交330億元。
下午港股跌幅擴大,恆生指數一度跌超過400點,最低跌至26694點,跌430點。權重股跌幅擴大,滙豐跌1.5%,令指數跌40點;建設銀行跌1.96%,令指數跌39點;友邦跌1.76%,令指數跌48點;騰訊跌1.38%,令指數跌38點。中石化跌幅擴大至3.96%。為跌幅最大藍籌股,拖累指數跌15點。汽車股下跌,吉利跌3.3%,長城汽車跌2.8%,東風汽車跌2.28%,廣汽跌2.7%。豬肉股跌,萬洲國際跌2.4%,雨潤跌3.1%,中糧肉食跌0.43%。富智康急挫20%,因為老闆郭台銘決定不參選台灣總統。A股收市跌1.74%,上證綜合指數跌52點,3000點失守。A股大跌,拖累中資證券商股下跌。中信證券跌3.6%,銀河跌4.4%,海通證券跌3.5%。港股收市輕微反彈,收市恆生指數跌334點,國企指數跌126點,成交680億元。
昨晚歐美股市窄幅上落,美國聯儲局開始議息,市場等待結果。油價急升,沙地短期內可以修復損壞產油設施,恢復石油生產。油價急跌5%。歐洲股市沒有方向,德國跌5點,法國升13點,英國跌4點。美股微升,杜瓊斯升34點,標普升7點,納斯達克升36點。港股預託證券跌8點,夜期升94點,預計今天港股上升。
Daily report
Hang Seng index fell below 27000 points.
The Hong Kong market opened lower on Tuesday. Hang Seng index opened down 181 points and H share index down 64 points. Heavyweights led the fall. AIA lost 1.82% for 49 point loss. Tencent lost 0.98% for 26 point loss. HSBC lost 0.74% for 20 point loss. ICBC lost 0.92% for 11 point loss. MTR suffered disruption due to railway car coming off the track in Hunghom. Share price fell 1.92% to become the top loser at opening. A shares opened down 0.23%. Shanghai composite index opened down 7 points. The market fell further after opening. Hang Seng index lost more than 300 points. Tencent lost 0.64% for 15 point loss. Ping An lost 0.95% for 15 point loss. Ping An lost 0.95% for 15 point loss. CCB lost 0.82% for 20 point loss. The top losers were: WH Group -3.48%; Techtronic -2.69%; Geely -2.63%. Sinopec lost 2.37% despite rising in crude oil. A shares fell further to 1%. Shanghai composite index lost 31 points to fall below 3000 points. Hang Seng index fell to a morning low of 26823 points, down 302 points. Carmakers, exporters, petrochemical stocks led the fall. Hang Seng index closed the morning down 274 points and H share index closed down 107 points. Turnover was $33 billion.
The market fell further in the afternoon. Hang Seng index lost more than 400 points at one time and fell to a low of 26694 points, down 430 points. Heavyweights led the fall. HSBC lost 1.5% for 40 point loss. CCB lost 1.96% for 39 point loss. AIA lost 1.76% for 48 point loss. Tencent lost 1.38% for 38 point loss. Sinopec lost as much as 3.97% to become the top loser. Carmakers fell. Geely lost 3.3%. Great Wall Motor lost 2.8%. Dongfeng lost 2.28%. GAC lost 2.7%. Pork producers also fell. WH Group lost 2.4%. Yurun lost 3.1% Cofco Meat lost 0.43%. Foxconn fell 20% as its boss Guo Taiming decided not to run for the president of Republic of China. A shares closed down 1.74%. Shanghai composite index closed down 52 points, to below 3000 points. A shares fell sharply to drag down Chinese brokers. Citic Securities lost 3.6%. Galaxy Securities lost 4.4%. Haitong Securities lost 3.5%. Hang Seng index closed down 334 points and H share index closed down 126 points. Turnover was $68 billion.
Overnight, overseas markets were range bound. The market waited for the result of Federal Reserve’s open market committee meeting. Saudi Arabia indicated it could repair the damaged oil production facilities in short time. Crude oil fell 5%. European markets were mixed. DAX lost 5 points. CAC rose 13 points and FTSE lost 4 points. US market rose slightly. Dow Jones rose 34 points. S & P rose 7 points. Nasdaq rose 36 points. HK ADR’s lost 8 points in New York. Night future rose 94 points. We expect the market to rise today.