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    由於英國央行總裁暗示,基於英國脫歐將導致經濟在未來數月逐漸減緩,英國央行有必要在今夏再度降息因應,加上市場預期美國Fed在7月升息機率不高,所以即使英國脫歐成局,但在市場資金可望更加活絡之下,使 得國際股市在恐慌性短暫賣壓宣洩後連4日反彈,而美股四大指數也繼歐股之後收復6/24長黑高點,短線化解先前弱勢 格局。時序即將進入6月 營收公布期,短線個股恐將受業績因素干擾,因此在操作上建議以6月 營收優、或Q2財 報優於預期之個股布局,如具業績、題材性之汽車電子、蘋概股、生技醫材及遊戲類股為主。

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    桃園民間代書借款

    台中小額借款1萬

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    A European Union flag flutters outside the Athens stock exchange, Greece, July 27, 2015. REUTERS/Ronen Zvulun

    青年優惠房屋貸款













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    貸款率利最低銀行2016















    展望後市,觀察重點如下:第一、觀察國際資金動向,受英國脫歐影響,市場避險情緒大增,導致資金流向美元、日元等避險資產,亞幣匯價走貶牽動亞股跟跌;不過,市場預期全球央行將以更為寬鬆的貨幣政策抵禦英國脫歐可能造成的經濟負面衝擊,資金重回風險性資產懷抱,不僅歐美股市強力反彈,亞幣亦迅速由貶轉升,外資於台股期現貨同步加碼,力挺台股指數過前高,依此評估,內資在軋空手下,資金將持續流入股市,有助於台股維持盤堅格局。第二、技術面而言,台股在外資買盤帶動下,連漲四天,週線收紅,使月線與季線走揚,台股重回多頭走勢,且觀察自2015年8月底以來,台股低點有逐步墊高趨勢,尤其上週五更一舉突破前高,並將挑戰波段高點8840點,依 9日KD交叉向上評估,後續走勢仍應偏多看待。

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  • 2015年8月3日週一 台北標準時間上午5時33分

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  • var t_MediaGalleryBobaSpotlight_end = new Date().getTime();英國股市完全收復脫歐公投失土倒漲,激勵美股連三漲, 1日台股也在央行調降重貼現率半碼消息影響下,開高走高,登上8700點關卡,終場加權指數收在 8738.24點,上漲71.66點或0.83%,成交額873.67億元。OTC指數收在 128.42點, 上漲0.12點或0.09%,成交額200.08億元。隨台北軟體應用展開展,電子股表現依舊亮麗,其中VR、半導體、光電、電腦等類股漲逾1%,惟DRAM股受美光財報不佳、裁員、財報預估疲弱影響,走勢較弱。下半年首日,台股日線連五紅,周線結束連二黑,並收復前二周失土,9日及9周KD值皆為黃金交叉,MACD柱狀體負值逐日縮減。籌碼方面,外資連二日強勁買超,台指期淨多單加碼至6.8萬口,顯示多方操作立場堅定。考量國際熱錢持續流進股市,技術面展望樂觀,下半年隨智慧手機拉貨潮開動,可望激勵電子股營收,台股有機會突破新高,惟勿追高,宜選擇低本益比、高殖利率個股逢低操作。
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