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七一假期前夕恒指表現反覆,上周四(6月30日)曾下試上周上升裂口下方約21700點水平,今早(7月4日)又一度跌穿100天綫,最多跌約401點見21458點低位,其後跌幅顯著收窄,繼續於21800點附近拉鋸。投資者如看好恒指,或可留意恒指購13600,行使價24000點,實際槓桿11.4倍,引伸波幅27.3%,換股比率5500兌1,2022年10月28日到期;如看淡,或可留意恒指沽14238,行使價20400點,實際槓桿8.1倍,引伸波幅29.4%,換股比率9000兌1,2022年10月28日到期。
港交所(0388)在6月24日突破了100天綫後,上周一(6月27日)又以上年7月以來最大成交額約82億,裂口再上升約7%報400.2元,日内高位見404.2元,升穿了3月份中旬頂部約395元水平,創下自2月以來新高,但其後數日走勢有所回調,今早(7月4日)更曾跌逾5%至366元附近,與6月14日最低位334.2元相比,則仍有約10%升幅。消息方面,今日ETF通正式交易,或有望刺激大市交投或利好港交所股價表現。 投資者如看好港交,或可留意港交購27680,行使價448元,實際槓桿10.5倍,引伸波幅39.5%,換股比率100兌1,2022年09月29日到期;如看淡,或可留意港交沽28040,行使價318元,實際槓桿5.6倍,引伸波幅38.0%,換股比率100兌1,2022年12月29日到期。
上周傳出騰訊(0700)遭南非大股東違背“三年不賣“承諾持續減持的消息,雖然騰訊上月曾三次進行股份回購,但截至上周四(6月30日)收市,一周4日累計仍跌約8%,報354.4元,失守50天綫。 投資者如想候低吸納,或可留意騰訊購19406,行使價420元,實際槓桿7.4倍,引伸波幅45.1%,換股比率100兌1,2022年10月28日到期;但相反,如看淡則可留意騰訊沽16103,行使價328.88元,實際槓桿8.1倍,引伸波幅46.2%,換股比率97.087兌1,2022年08月30日到期。
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