资讯 | 特朗普关税大棒砸向墨西哥。中国发布《关于中美经贸磋商的中方立场》白皮书

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美股

北京时间5月30日凌晨,美股周五大幅收跌。美国总统特朗普出人意料地宣布将对所有墨西哥进口商品征收最高可达25%的进口税,使数周以来困扰投资者的全球贸易紧张局势进一步恶化。截至收盘,道指跌354.84点,或1.41%,报24815.04点;标普500指数跌36.80点,或1.32%,报2752.06点;纳指跌114.57点,或1.51%,报7453.15点。在5月份,标普500指数累计下跌6.6%,道指下跌6.7%,纳指下挫7.9%。衡量市场恐慌程度的芝加哥期货交易所波动率指数(VIX)大涨超10%。

特朗普政府宣布,从6月10日开始,美国将向墨西哥的所有进口商品执行新的税收,税率将从5%开始逐步递增。特朗普政府试图通过新的税收措施向墨西哥施压,以迫使该国阻止非法移民进入美国。特朗普表示,如果墨西哥行动不力,则从7月1日起的税率将提高到10%,并且此后每月提高5%,直至10月1日提高到25%。特朗普周四在推特上表示:“税收将逐步增加,直到非法移民问题得到纠正……届时税收将被取消。”向墨西哥进口产品征税,将对在该国开展业务的美国公司——特别是对美国汽车制造商而言产生重大影响。受此影响,福特汽车(F)及通用汽车(GM)等股价大幅下跌。

美国国债价格继续攀升,国债收益率继续下跌。3个月期国债收益率高于10年期国债收益率,再次出现所谓的国债收益率倒挂。通常国债收益率倒挂被视为是经济衰退即将到来的警示讯号。周五美国10年期国债收益率下降5.7个基点,降至2.13%。3个月期国债收益率下跌1.8%,降至2.354%。美国2年期国债收益率跌至2%下方,为2018年2月以来首次。在过去的50年间,美国一共发生过6次3个月期与10年期美债收益率倒挂情况,统计表明,美国经济平均在利率释放倒挂信号后的311天后陷入衰退。特别是2000年和2007年,其后相继出现了严重的经济危机。

焦点股关注:

受到特朗普向墨西哥发出税收威胁影响,通用汽车(GM)收跌4.3%,福特汽车(F)股价收跌2.3%。Uber股价收高1.5%。该公司在周四盘后公布的一季度净亏损符合分析师预期。Evercore ISI将高通(QCOM)目标价从105美元下调至90美元。高通收高0.4%。

 

   

港股

北京时间5月31日,美股周四小幅收高。投资者仍在关注全球经济增长前景与紧张的经贸关系。美国国债收益率维持在2017年以来的最低水平。美国一季度GDP增长3.1%。周五开盘,港股恒生指数低开0.41%,午后跌幅扩大。截至收盘,恒指跌0.79%,报26901.09点;国企指数跌0.6%,报10387.17点;红筹指数跌0.22%,报4285.86点。5月恒指累计跌超9%,创去年10月以来最大月度跌幅。沪港通资金流向方面,沪股通净流出3.74亿,港股通(沪)净流入16.48亿。深港通资金流向方面,深股通净流入5531万,港股通(深)净流入4.5亿。

热点板块:九龙仓置业跌4.55%,报53.55港元,领跌蓝筹。石油股下跌。中国海洋石油跌2.14%;中国石油股份跌1.79%;中国石油化工股份跌1.77%。蓝筹地产股下跌。新鸿基地产跌4.32%;新世界发展跌2.36%;恒基地产跌3.57%。

安踏体育否认Blue Orca做空指控,称有关猜测并不准确,涨2.24%,报48港元。安踏体育发布公告称,于5月30日,有媒体报道了Blue Orca Capital 提出的指控,当中含有若干关于集团财务表现的猜测。董事会强烈否认报道中的有关猜测,认为有关猜测并不准确及具误导性。公告称,相关指控可能旨在蓄意打击对公司及其管理层的信心并损害公司的声誉。因此,股东应审慎对待相关指控。

恒大健康股价涨5.76%,报8.99港元。恒大健康昨日晚间发布公告称,附属NEVS以合并方式收购英国轮毂电机技术商Protean,无透露收购作价。据悉,Protean是轮毂电机技术的世界顶级企业,成立于2008年,为全球唯一可实现量产的乘用车轮毂电机企业,已与奔驰、福特等全球各大整车厂建立合作。

迈博药业周五上市首日大跌19.33%,报1.21港元,跌破发行价1.5港元,最新市值53亿港元。昨日,迈博药业暗盘收报1.45港元,较招股价跌3.33%,每手蚀100港元。公司为内地领先生物医药公司,目前未盈利。本次公司全球发售约7.84亿股股份,其中香港发售7835.8万股占10%,国际发售约7.05亿股占90%。基石投资者三生制药认购约1.31亿股发售股份,相当于紧随全球发售完成后公司已发行股本约3.17%,及全球发售的发售股份数目约16.69%。

 

中国A股

北京时间5月31日,周五两市指数早盘跌涨不一,次新股集合竞价阶段表现活跃。随后,油服板块盘中走强,稀土板块后发赶超,三大股先后翻红冲高,市场人气呈现回暖之势。临近上午收盘,指数冲高后回落。板块方面,早盘活跃的次新、稀土与油服板块开始回调,人造肉、农业板块依旧领跌。盘面上看,个股纷纷回落,空头开始发力多头观望,市场气氛再度回填,个股涨跌互半。午后,指数相继回落,次新股表现活跃且多股涨停,而其他题材概念则萎靡不振。资金观望情绪强烈,赚钱效应延续低迷,个股跌多涨少,资市场情绪再度转冷。尾盘,指数表现依旧波澜不惊,成交量无显著变化。截至收盘,沪指报2898.70点,跌0.24%,深成指报8922.69点,跌0.23%。从盘面来看,油服、光伏、风电居板块涨幅榜前列,赛马、养殖业、白酒板块跌幅榜前列

热点板块:油服板块拉升,贝肯能源、博迈科、惠博普、中曼石油、石化油服、潜能恒信等多股上涨。消息面上国际油价30日大幅下跌。截至当天收盘,纽约商品交易所7月交货的轻质原油期货价格下跌2.22美元,收于每桶56.59美元,跌幅为3.77%。7月交货的伦敦布伦特原油期货价格下跌2.58美元,收于每桶66.87美元,跌幅为3.71%。稀土板块大涨,中科三环、盛和资源、横店东磁、广晟有色、包钢股份等多股纷纷大涨。

消息面上当前轻稀土价格已接近成本线,全球供给增加成为压制价格的主要因素。中重稀土受到缅甸封关进口矿下滑的影响供给持续减少,价格持续上涨。看好稀土供需格局的持续改善,建议关注稀土和磁材企业。

6月2日,国务院新闻办公室发布《关于中美经贸磋商的中方立场》白皮书。这份约8300字的白皮书,系统梳理和介绍了中美经贸摩擦的来龙去脉。中美经贸摩擦持续升级,已经进行11轮的经贸磋商几经波折,陷入僵局。昨日,国务院新闻办公室举行新闻发布会,发布《关于中美经贸磋商的中方立场》白皮书。这份约8300字的白皮书,分为前言、正文和结束语三部分,系统梳理和介绍中美经贸摩擦的来龙去脉,以及两国经贸磋商的基本情况,阐明了中国政府关于中美经贸磋商的原则立场。这是继2018年9月的《关于中美经贸摩擦的事实与中方立场》白皮书后,中方就中美贸易问题发布的第二份白皮书。
 
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