A the external market opened slightly lower stock index fell 0.28%- securities Sohu-manbetx.cc

Opening: affected by the external market, A shares opened slightly lower, stock index fell 0.28%-, Sohu securities, Sohu securities, Shanghai stock index opened down 0.28%, to 2854.90 points. Shen Chengzhi opened down 0.24% at 10091.7 points. Gem opened down 0.22%, to 22186.01 points.       digest the shock upward pressure by overnight set up outside influence, the stock index opened slightly higher after yesterday’s shock quickly reaching 2900 points, but the heavyweight wheeled stall failed. Since then, the heavyweights related companies stock trend concussion lower, the continuous rise of the subject stock differentiation fell, in addition to sub new shares, high send a few subjects, such as strong, the market profit taking obvious. After the index rushed 2900 points, the same as stocks differentiation failed to achieve the final rally stalled in the 3-day after. At the close, the stock index at 2862.89 points, or 0.16%; the Shenzhen Component Index at 10116.40 points, down 0.45%; the CSI 300 fell 0.31%; small plates, the gem fell 0.59%, 1.10%. Two cities total turnover of 590 billion 600 million yuan, a slight increase of 4% compared to the previous day. Stocks, the two cities a total of 902 stocks rose, 1621 stocks fell, 71 non ST stocks trading, 3 shares limit. First class industries, construction materials, steel and other 8 plates red, but the increase is less than 1%, the rest of the national defense industry fell 1.71%, the decline is less than 1%. With the concept of classification, nearly 1/3 plates rose, sub new shares, decorative gardens, Guangdong, Hong Kong and Macao Free Trade Zone, Shanghai local shares rose more than 1%, aircraft carrier, garbage power, car market and other 18 plates fell by more than 1%. Overall, the plate stocks are basically in a small rise, small drop state, after continuous rise, there are signs of shock, digestion, profit chips. On the news, the Statistics Bureau released data yesterday, China’s CPI rose by 1.8% in January, a 5 month high; PPI fell by 5.3% year-on-year, 47 consecutive months of decline. The end of 1, the central bank caliber foreign exchange fell 644 billion 500 million, the second largest decline in history. At the same time, the central bank open market 18 days to continue 80 billion yuan 7 day reverse repurchase operation, but the same day has 370 billion yuan reverse repurchase expires, the actual net return of 290 billion yuan. Compared with the previous warm air frequency blowing, yesterday’s data was slightly negative, and had some interference to the market sentiment. Slow up and maintain positions in convertible notes Jufeng investment adviser Guo Yiming believes that the disk, the stock market remains the same, but two days before the broad pattern basically come to an end. Hot topics in the market are more active, but the wheels move faster, short-term sustainability is not strong. Technically, the upward upward pressure on the stock index is gradually emerging, and the demand for differentiation and even short-term retracement is rising. Recently, there are three things to watch during the two rebound: first, the short 3000 point rebound pressure at present is how to recover the band type was done in one vigorous effort; secondly, gaosongzhuan, virtual reality and other hot spots can be sustained; in addition, the size of credit will continue to rise. Therefore, the overall rebound in February, the stock index is still repeated, intraday and single day retracement is normal,. 开盘:受外围市场影响 A股小幅低开沪指跌0.28%-搜狐证券   搜狐证券讯 沪指开盘跌0.28%,报2854.90点。深成指开盘跌0.24%,报10091.7点。创业板开盘跌0.22%,报22186.01点。     震荡消化上行压力   受隔夜外盘大涨影响,沪指昨日小幅高开后快速震荡上攻2900点,但由于权重股轮动失速未能成行。此后权重股 相关公司股票走势 震荡走低,连续大涨的题材股分化回落,除次新股、高送转等少数题材走强外,市场获利回吐明显。午盘指数再冲2900点,同样由于题材股分化未能实现,最终在三连阳后反弹止步。   截至收盘,沪指报2862.89点,跌0.16%;深成指报10116.40点,跌0.45%;沪深300跌0.31%;中小板、创业板跌0.59%、1.10%。两市全天累计成交5906亿元,较前日小幅提升4%。个股方面,两市共有902只个股上涨,1621只个股下跌,71只非ST股涨停,3股跌停。   一级行业中,建筑材料、钢铁等8板块收红,但涨幅均在1%以内,其余除国防军工跌1.71%外,跌幅也都在1%以内。以概念分类,近三分之一板块上涨,次新股、装饰园林、粤港澳自贸区、上海本地股涨幅超过1%,航母、垃圾发电、汽车后市场等18板块跌幅在1%以上。总体来看,板块个股基本处于小涨小跌状态,连续上涨后有震荡消化获利筹码的迹象。   消息面上,统计局昨日发布数据,中国1月CPI同比涨1.8%,创5个月新高;PPI同比降5.3%,连续47个月下滑。1月末央行口径外汇占款降6445亿,为史上第二大降幅。同时,央行公开市场18日继续进行800亿元7天期逆回购操作,但同日有3700亿元逆回购到期,实际净回笼2900亿元。较前期暖风频吹相比,昨日的数据略偏负面,对市场情绪或有一定干扰。   缓升维持调仓换股   巨丰投顾郭一鸣认为,盘面上,个股行情依旧,但前两日普涨格局基本告一段落。市场上题材热点较为活跃,但轮动较快,短期持续性不强。技术上,股指连续上行后,短期上行压力逐步显现,分化甚至短暂的回撤需求上升。近期看,两市反弹期间有三大看点:首先,短期3000点反弹目前压力如何,是一鼓作气到达还是波段式收复;其次,高送转、虚拟现实等热点能否持续;此外,信贷规模能否继续高涨。因此,二月总体反弹行情下,股指仍有反复,盘中以及单日回撤都属正常,近期介入的可适当减仓落袋,待再次加仓进场机会。   亦有分析认为,经过连续的反弹,A股已经进入2850点压力区,昨日冲关2900点遇阻后,市场将展开窄幅震荡,消化上行压力。当2850点整固后,将对3000点发动攻势,投资者可以适当进行调仓换股操作,重点布局两会题材及年报高增长个股。   招商证券表示,判断2月份反弹以横盘箱体震荡的方式进行,随着沪指反弹逐渐接近长期下降通道压力区,同时创业板迟迟无法突破2250点,减仓操作是合理的选择。沪指以10日线、创业板以20日线作为短线操作的支撑线,若支撑线有效,短线仍属于可操作阶段,跌破则离场。   国泰君安首席宏观研究员任泽平则认为,这是第二波调整完成后的一次修复行情,别涨着涨着又想多了。熊市的反弹会一波比一波弱,最终缩量缩出一个大跌。至于两会后怎么走,要观察汇率、货币政策、改革、全球市场等。相关的主题文章: