国泰君安国际:预计港股市场恐慌情绪或有释放 继续推荐低估值、防御性较好的金融板块

. 国泰君安国际:预计港股市场恐慌情绪或有释放 继续推荐低估值、防御性较好的金融板块
智通财经APP获悉,国泰君安国际发布研报称,在全球主要估值纷纷下挫之际,港股周二走出相对独立行情。地产、金融板块在经历“黑色星期一”后普遍回暖,博彩板块亦反弹回升,助恒指小幅上扬,惟科技板块持续走弱,且大市成交缩量明显,市场观望情绪较重。海外方面,美联储周三宣布维持利率决议不变,并首次明确表示将调整购债。美联储主席鲍威尔表示最早可能在 11 月宣布 Taper,至明年中旬结束。随着美联储仍维持较为宽松的货币政策立场,市场对提前减债忧虑有所缓解,美股全线上涨。预计港股市场恐慌情绪将有一定程度释放,叠加港股通将于今日重开,大市成交亦有望抬升。继续推荐低估值、防御性较 好的金融板块;有望受益于下半年政府债发行加速的建筑、水泥、工程机械等基建板块;中长期景气向好的的新能源、半导体、生物科技及体育用品等板块;以及短中期需求支撑较好、价格有望持续维持高位的原材料、 能源等顺周期上游板块。
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