15511/阿里購15815" />
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恒生指數(HSI)於周四(8月7日)早段高開71點,盤中一度轉跌,但其後內地公佈7月出入口均好於預期,反映非美市場的出口成長完全抵消了高關稅下對美出口的持續下滑,指數其後修復失地重返兩萬五關。如看好內地經濟前景帶動指數,可參考恒指輕微價外認購證(15511),行使價25,929點,2025年9月到期,實際槓桿19.6倍。相反,有分析認為,若是次數據只是搶先出口帶動,八月的外貿或面臨更大阻力,如看淡可留意恒指認沽證(17236),行使價22,089點,2025年11月到期,實際槓桿12.7倍。
騰訊(700)近期焦點在於旗下一款新遊戲即將於8月19日正式上線,預約人數已突破5,000萬。有大行預計該遊戲年收入可達50至60億元人民幣。公司將於8月13日公佈業績,此前股價已於 8月6日見四年高位,如認為新遊戲將帶動本季業績數據,可關注騰訊認購證(13713),行使價700.5元,2025年12月到期,實際槓桿10.2倍。相反,股價自本年已上漲近四成,看淡可關注騰訊認沽證(18821),行使價468.48元,2026年1月到期,實際槓桿8.4倍。
阿里巴巴(9988)近期積極推動人工智慧(AI)醫療應用,旗下達摩院與北京和睦家醫院合作,利用AI進行癌症篩檢。達摩院的AI系統“一掃多檢”可通過一次CT掃描識別多種疾病,為癌症診斷提供高效、低成本解決方案。另外,阿里巴巴同時加大AI人才招聘力度,2026屆校園招聘中超過六成職位與AI相關,如看好公司在AI基礎設施布局與應用,可關注阿里認購證(15815),行使價145.1元,2025年12月到期,實際槓桿7.2倍。相反,如公司仍受競爭影響毛利率,淡倉可考慮阿里認沽證(17765),行使價96.95元,2026年4月到期,實際槓桿4.6倍。
小米(1810)股價波動較大,有大行將其評級由「買入」下調至「中性」,但目標價由34元大幅上調至61元。分析師認為,小米智能手機出貨量或低於市場預期,主要受海外市場疲軟及零件成本上升影響,預計2025年出貨量為1.6至1.7億部。毛利率亦因競爭加劇及產品組合變化而下降。續看淡可關注小米認沽證(17962),行使價42.95元,2025年11月到期,實際槓桿8倍。不過,小米電動車業務表現亮眼,第二季交付量預計達8.2萬輛,毛利率升至25%。如看好電動車業務有望成為新成長動力,可關注小米認購證(16491),行使價63.93元,2026年1月到期,實際槓桿6.5倍。
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