Asia Pacific stock markets rebound joining a year of the first trading day closing Yang securities S-vstart

Asia Pacific stock markets rebound joining A shares the year of the first trading day closing Yang – year securities Sohu the first trading day, the Asia Pacific stock market rebounded sharply, the Nikkei 225 index fell over three, yesterday rose 7.16%, the Hang Seng Index rose 3.27%. At the same time, the RMB against the U.S. dollar by 0.3%, the highest in November 2nd the largest percentage increase. Affected by this, A shares in the opening release negative mood after holidays, but also gradually return to reason. K, Dikaigaozou stock index closing Yang, film, sports and other related stock movements of shares subject to the brisk performance, the gem index closed up 0.95%. Senior brokers and private investors interviewed believe that with the release of overseas risk aversion, the focus of the A share market will be shifted from the RMB exchange rate to the essence of the reform. The Asia Pacific stock market has warmed up all over the world. During the Spring Festival, the turmoil in the overseas market has continued, the stock markets in Europe and the United States and the Asia Pacific stock market, as well as the international oil prices, have fallen sharply, and the global market has opened a hedging model. The European banking sector leading Deutsche Bank solvency problems due to CoCo bond drag on European stock markets, Deutsche Bank shares 9 intraday fell 11%; the Dow Jones industrial index since February 5th fell for five days; 9, the Nikkei index fell 5.4%, and then fell for three consecutive days; 12, the Hang Seng Index refresh 3 year low; South Korea’s KOSDAQ index fell on the same day 8.2% trigger fuse. Gold as a hedge asset, sought after by global funds, the international price of gold rose 7% in a week. Although a lot of negative news in the holiday dampened investor sentiment, the European and American stock markets rebounded on Friday, foreshadowing yesterday’s rebound in the Asia Pacific market. Last Friday, the Dow Jones Industrial Average ended 5 consecutive days of decline, up 2%; the German Frankfurt DAX index also rose more than 2%. After the release of overseas risk aversion, Asian stock markets rose yesterday, the Nikkei 225 index rose 7.16%, the Hang Seng Index rose 3.27%, and the Korea composite index rose 1.47%. A shares yesterday, the Shanghai composite index opened tiaokongdikai nearly 80 points, then, with strong growth in the Asia Pacific market, the RMB exchange rate rebounded sharply, the market then higher volatility. Gem refers to take the lead in about 11:00 turn red, to demonstrate effect. In the afternoon, with the market to further explore the news, the theme of the plate quickly pulled. After 14:30 PM, huzongzhi once tried but failed to turn red. At the close, the Shanghai Composite Index closed at 2746.20 points, or 0.63%; the Shenzhen Component Index closed at 9668.85 points, down 0.05%. Two, the total turnover of 329 billion yuan, compared with the previous trading day continued shrinkage. In the case of light trading volume, the financial, real estate, iron and steel as the representative of the blue chips are generally low. The benefit of hedging configuration needs gold stocks or the top plate, rose more than 7%, the Eastern Jin Yu, Shandong gold ten stocks daily limit; the airport will benefit from the appreciation of the renminbi and shipping sector rose more than 1%. Zhao Yang, chief strategist at Everbright Securities, said that the strong rebound in the Asia Pacific market, to some extent, dissolved some of the negative emotions accumulated during the holidays. In addition, the central parity of RMB against the dollar rose by 0.3 yesterday

亚太股市联袂反弹 A股猴年首个交易日收阳-搜狐证券   猴年首个交易日,亚太股市大幅反弹,日经225指数结束三连跌,昨日大涨7.16%,恒生指数上涨3.27%。同时,人民币对美元汇率中间价上调0.3%,创11月2日来最大百分比升幅。受此影响,A股在开盘释放假期负面情绪之后,也逐步回归理性。沪指低开高走、K线收阳,影视、体育等 相关公司股票走势 题材股表现亮眼,创业板指收涨0.95%。  受访的资深券商、私募人士认为,随着海外避险情绪得到释放,A股市场的关注点或由人民币汇率转向对改革的实质推进。  亚太股市全线回暖  春节期间,海外市场风波不断,欧美及亚太股市、国际油价出现大跌,全球市场开启避险模式。欧洲银行业龙头德意志银行因CoCo债券偿付问题拖累欧洲股市,德银股价9日盘中重挫11%;美国道琼斯工业指数自2月5日起连跌五日;日经指数9日大跌5.4%,并自此连续三日下挫;恒生指数12日刷新3年低位;韩国KOSDAQ指数同日一度下跌8.2%触发熔断。黄金作为避险资产受到全球资金的追捧,国际金价一周内大涨7%。  尽管假期中的大量负面消息挫伤了投资者情绪,但欧美股市上周五便开始企稳反弹,并为昨日亚太市场的反弹埋下伏笔。  上周五,美国道琼斯工业指数结束了连续5日的下跌,上涨2%;德国法兰克福DAX指数亦涨逾2%。海外避险情绪释放后,亚洲股市昨日普涨,日经225指数涨7.16%,恒生指数涨3.27%,韩国综合指数上涨1.47%。  A股方面,昨日沪综指开盘跳空低开近80点,此后,随着亚太市场升幅强劲,人民币汇率大幅反弹,大盘随后震荡走高。创业板指在11:00左右率先翻红,作出示范效应。午后,随着市场对消息面的进一步发掘,各题材板块快速拉升。下午14:30以后,沪综指一度尝试翻红但未果。截至收盘,上证综指报收于2746.20点,跌幅0.63%;深证成指报收于9668.85点,跌幅0.05%。  两市成交额合计3290亿元,较前一个交易日继续缩量。在成交量清淡的情形下,以金融、地产、钢铁为代表的大盘蓝筹股普遍低迷。受益避险配置需求的黄金概念股涨幅居首,板块涨逾7%,东方金钰、山东黄金等十余只个股涨停;机场航运板块则受益人民币升值涨逾1%。  光大证券首席策略分析师赵扬表示,亚太市场的强劲回升,在一定程度上化解了部分假期积累的负面情绪。此外,人民币对美元汇率中间价昨日上涨0.3%。兴业证券首席策略分析师张忆东认为,随着美元指数明显回落,短期资本流出压力有望减弱,同时中国央行货币政策中期将有更大操作空间,使市场前期担心降息降准加剧贬值压力的顾虑有所减弱。  作者:黄璐 浦泓毅来源上海证券报)相关的主题文章: