港股無力| 第三季除稅前利潤遜預期 超預期回購難撐股價 滙豐裂口跌逾2.5%

A branch of HSBC is seen in Chinatown in central London June 9, 2015. HSBC will cut almost 50,000 jobs from its payroll, take an axe to its investment bank and shrink its risk weighted assets by $290 billion in an effort to improve its sluggish performance, Europe's biggest bank said on Tuesday. REUTERS/Toby Melville
A branch of HSBC is seen in Chinatown in central London June 9, 2015. HSBC will cut almost 50,000 jobs from its payroll, take an axe to its investment bank and shrink its risk weighted assets by $290 billion in an effort to improve its sluggish performance, Europe's biggest bank said on Tuesday. REUTERS/Toby Melville

昨夜美股回升卻無力支撐港股,昨日獅王滙豐(0005)公布業績,盈利表現遜預期,拖累恒生指數今天半日收跌308點,報17,097點。半日成交457.8億元,恒指一浪低於一浪的走趨並未扭轉。

滙豐今年第三季列帳基準稅前利潤77億美元,按年增約1.4倍,但低於預期。收入約162億美元,按年增40%,大致與市場預期相符。滙豐第三季淨利息收益逾92億美元,按年增16%,但在加息環境下,按季卻下跌不足1%,令部份投資者擔心未來公司利息收益會否受壓。

另外,計劃進行新一輪回購,金額最多為30億美元,較市場預期高,高於上一輪20億美元的回購金額。滙豐指回購會於短期開始,預計明年2月21日前結束,但市場似乎對超預期回購並不收貨,加上國家統計局公佈,中國10月官方製造業PMI為49.5,表現差於預期,重新回到50以下的收縮區間,市場氣氛對滙豐股價帶來壓力,滙豐半日股價跌2.53%。

技術走勢方面,滙豐已失守了9月11日低位56.85元的雙頂頸綫支持,若短期內未能收復,量度跌幅或低見50元水平。

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