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"Everyone is very worried about the economy in the U.S and around the world," said Jacky Choi, a Hong Kong-based fund manager at Value Partners Ltd., which manages about $5 billion in Asia. Concerns about the global economic outlook are clear also in the price of oil, which has fallen another $1.88 to $72.66, a new 13-month low. Commodity stocks are also in retreat after Rio Tinto PLC, one of the world's biggest mining giants, warned of slowing raw material demand from China, the world's biggest growth engine over the last few years. "The Chinese economy is pausing for breath after spectacular GDP growth," the company's chief executive Tom Albanese said. Earlier, Tokyo's Nikkei 225 stock average slid 1,089.02 points, or 11.41 percent, to 8,458.45, its biggest drop since the 1987 stock market crash. In South Korea, the main index dropped 9.25 percent after Standard & Poor's said it may downgrade the credit ratings of some of the country's leading banks. The ratings agency warned the credit crisis could make it difficult for the companies to refinance maturing debt. And Hong Kong's key index trimmed losses, closing down 4.8 percent after falling more than 8 percent earlier. Australia's main share index fell 6.7 percent while India's was down 4 percent. The panic selling in Asia hit many sectors. Export-linked shares such as top Japanese automaker Toyota Motor Corp., which was off 9.3 percent, retreated on worries about declining U.S. demand. Resource firms slumped along with global commodity prices, with BHP Billiton Ltd., the world's largest mining company, losing 13 percent. In financials, KB Financial Group Inc., the holding company for top South Korean lender Kookmin Bank, lost almost 15 percent. Meanwhile, insurance policies against companies failing to make good on their debt, known as credit default swaps, were more expensive
-- a signal that firms believe the risk of default is growing. The U.S. dollar edged up to 100.43 yen, while the euro rose to $1.3473.
[Associated
Press;
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