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Financial Tips: 市況速遞 21/9

Sep 21, 2010 , Posted by Diamond Recruit at 3:56 PM





美國市場

美國股市上升,連續第3週收高,因科技業業績較預期為佳,抵銷消費者信心下滑及有關歐洲債務危機惡化的憂慮所帶來的影響。



美國8月份消費物價連續第2個月上升,因能源及食品價格上漲,而其它產品及服務價格則持平。



美國9月份消費者信心意外地回落至1年以來最低水平,顯示整體經濟仍然受到就業市場疲弱所困擾。



歐洲市場

歐洲股市於3週以來首度下跌,基準Stoxx Europe 600指數未能再創4個月以來的新高。公用及銀行股領跌。



歐洲7月份營建產出創下5個月以來最大跌幅,主要是受到西班牙所帶動。



日本市場

日本股市上升,基準指數上升至1個多月以來最高水平,因日圓於週四收市後走弱,利好出口商的盈利前景。



亞太市場

亞洲股市上升,摩根士丹利亞太指數連續第3週走高。科技股上漲,此前Research In Motion Ltd及Oracle Corp公佈業績並相對市場預期為佳,及日圓貶值。



台灣加權指數上升。指數全週上升,創下10週以來最大升幅。航空股方面,當地第2大EVA Airways Corp上漲至自2008年6月6日以來最高水平,而最大航空公司China Airlines Ltd則上升至自2008年6月6日以來最高水平。Economic Daily News引述民航局局長尹承蓬表示,於9月底後將會增加兩岸直航班次。



南韓Kospi指數上升,並連續第3週上揚。全球第3大手機生產商LG Electronics Inc上升,創下自3月25日以來最大升幅。該公司在手機業務錄得虧損後更換行政總裁。南韓第4大家族集團LG Group主席Koo Bon Moo的胞弟Koo Bon Joon將會取替Nam Yong擔任行政總裁一職,由10月1日起生效。



南韓8月份百貨公司銷售以3個月以來最緩慢的速度增長,因當地天氣欠佳及消費者信心下降。



中國/香港

香港股市上升,抹去今年的跌幅,並推動恆生指數上升至5個月以來最高水平,因金屬和電力股上漲。



中國股市下挫,基準指數創下自7月以來最大單週跌幅,因有關加息的擔憂蓋過啤酒股因雙節銷售看漲而走高所帶來的利好因素。



新興市場

巴西股市創下今個月以來最大跌幅,因美國消費者信心下滑,令市場對經濟復甦力度存疑。



債券市場

美國國庫券上升。7年期國庫券領漲,因市場憂慮愛爾蘭主權債務危機加劇,增強較安全的政府債券的需求。




U.S. Market

U.S. stocks rose, capping a third straight weekly gain, as better-than-estimated results at technology companies overshadowed a drop in consumer confidence and concern Europe’s debt crisis is worsening.



The cost of living in the U.S. climbed in August for a second month as energy and food prices increased, while other goods and services showed little change.



Confidence among U.S. consumers unexpectedly dropped to a one-year low in September, indicating the biggest part of the economy is being handcuffed by a struggling labor market.



European Market

European stocks dropped for the first week in three, with the benchmark Stoxx Europe 600 Index failing to extend a four-month high, dragged lower by utilities and banks.



European construction output fell the most in five months in July, led by a decline in Spain.



Japan Market

Japanese stocks rose, driving benchmark indexes to their highest levels in more than a month, as the outlook for export earnings improved after the yen weakened from Thursday’s close.

Asia / Pacific Market

Asian stocks gained, driving the MSCI Asia Pacific index higher for a third week, as technology shares gained after Research In Motion Ltd. and Oracle Corp. reported better-than-estimated profits, and the yen weakened.



Taiwan’s Taiex Index rose. The benchmark gauge advanced over the week, the biggest gain in 10 weeks. Airlines: EVA Airways Corp., Taiwan’s second- largest air carrier, surged to the highest since June 6, 2008. China Airlines Ltd., the largest, jumped to the highest since June 6, 2008, after the Economic Daily News cited Taiwan’s Civil Aeronautics Administration director-general Ying Chen-pong as saying China and Taiwan direct flights would increase at the end of the month.



South Korea’s Kospi index rose. It’s the stock gauge’s third straight weekly advance. LG Electronics Inc., the world’s third-largest maker of mobile phones, added, the most since March 25. The company replaced its chief executive officer after posting a record loss from the flagship handset business. Koo Bon Joon, LG Group chairman Koo Bon Moo’s younger brother, will replace Nam Yong effective Oct. 1, South Korea’s fourth-largest family-run industrial group said in a statement.



Sales at South Korea’s major department stores rose at the slowest pace in three months in August amid poor weather and falling consumer confidence.



China/ Hong Kong Market

Hong Kong stocks rose, erasing this year’s decline and sending the Hang Seng Index to its highest close in five months, as metal and power producers gained.



China stocks fell, capping the benchmark index’s biggest weekly loss since July, as speculation regulators will raise borrowing costs overshadowed gains by brewers on prospects of higher sales during upcoming holidays.



Emerging Markets

Brazil’s Bovespa stock index dropped the most this month after U.S. consumer confidence unexpectedly fell, casting doubt on the strength of the economic recovery.



Bond Market

Treasury notes rose, with seven- year securities leading the advance, as concern the sovereign- debt crisis is deepening in Ireland encouraged demand for the safety of government securities.


聲明:

上述資料只應作為個人投資風險程度的分析及指引,不應作為 投資結論。
以上資料僅供參考之用,投資選擇過去的業績並不代表將來表現。
由於投資組合頗多元化,加上匯率及利率浮動,投資選擇單位 及收益回報可升亦可跌。






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