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道琼斯指数
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iPhone 8
道琼斯指数
纳斯达克综合指数
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iPhone 8
纳斯达克综合指数
标普500指数
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iPhone 8
标普500指数
恒生指数
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iPhone 8
恒生指数
富时新加坡海峡指数
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iPhone 8
富时新加坡海峡指数
标普/澳交所200指数
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iPhone 8
标普/澳交所200指数
1.18万
专买砬积股
·
2024-12-07
$嘉楠科技(CAN)$
我还能回本吗
$嘉楠科技(CAN)$ 我还能回本吗
# 晒晒更赚钱
精彩
你要这样想我也没办法:
哥们,当时那高点,涨了你不卖还拿长期啊[捂脸]
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8
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13
编组 21备份 2
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8,092
八方来财.来财来财.
·
2024-12-07
$特斯拉(TSLA)$
遥遥领先的一家车企[强] [强] [强]
$特斯拉(TSLA)$ 遥遥领先的一家车企[强] [强] [强]
# 晒晒更赚钱
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评论
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3
编组 21备份 2
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1.23万
Tangjianping
·
2024-12-07
$特斯拉(TSLA)$
舍不得卖!实在是家里都没钱用了卖掉吃饭!
$特斯拉(TSLA)$ 舍不得卖!实在是家里都没钱用了卖掉吃饭!
# 晒晒更赚钱
精彩
目光向下:
难不成你美股账户的钱还能弄回国内?
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7
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6
编组 21备份 2
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7,075
jimmyhoo
·
2024-12-07
$MSTR 20241206 400.0 CALL$
随便玩玩
$MSTR 20241206 400.0 CALL$ 随便玩玩
# 晒晒更赚钱
回复
评论
点赞
1
编组 21备份 2
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8,593
gagiel
·
2024-12-07
$超微电脑 STRANGLE 241206 CALL 50.0/PUT 27.0$
趁超微电脑周初的波动做个小小宽跨,赚点买菜钱[得意] [得意]
$超微电脑 STRANGLE 241206 CALL 50.0/PUT 27.0$ 趁超微电脑周初的波动做个小小宽跨,赚点买菜钱[得意] [得意]
# 晒晒更赚钱
精彩
给你一香蕉:
小跨赚不到买菜钱?有点担心
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1
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2
编组 21备份 2
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1.52万
期权小班长
·
2024-12-07
下周特斯拉可能会复现本周英伟达的走势。
$英伟达(NVDA)$
因周四股价没能继续突破。导致看涨跟看跌期权预期开始产生分裂。看涨期权预期1月份目标在160以上,而看跌期权开始部分下注110:所以为什么股价周四没能继续突破呢?因为市场上最大的空头,每周做sell call的机构被逼roll仓了:他们可能预计本周回调,所以压线sell call 141,结果周三直接突破,被迫roll仓到下周,sell call价格选择更高位的148。“空头”消失后,周四股价就涨不动了,周五开盘后回调。这个剧本非常熟悉,上次
$MicroStrategy(MSTR)$
也是一样的操作,
机构大量平仓sell call的第二天股价就变成高开低走的回调了
:事实上可以再做坏一点的揣测,sell call的机构就是被人盯上了。因为周三开盘后不久就有10万手巨额大单开仓sell put 141
$NVDA 20241206 141.0 PUT$
,并于周四开盘平仓,时机选择非常精准。下周英伟达可能还是区间震荡135~148,需要密切关注看跌期权的下注预期。
$特斯拉(TSLA)$
本周英伟达逼空的事,下周可能会发生在特斯拉身上。下周机构做的看涨价差roll仓是卖390call买420call:卖
下周特斯拉可能会复现本周英伟达的走势。$英伟达(NVDA)$因周四股价没能继续突破。导致看涨跟看跌期权预期开始产生分裂。看涨期权预期1月份目标在160以上...
# 期权Q&A:期权知识,你问我答
精彩
马甲:
openai12天消息出来前有个内幕交易者。36M的1206的140call,挣了135M就跑了。
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6
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26
编组 21备份 2
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8,438
反抗不够激烈
·
2024-12-07
$特斯拉(TSLA)$
信仰就是金钱。
$特斯拉(TSLA)$ 信仰就是金钱。
# 晒晒更赚钱
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评论
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8
编组 21备份 2
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6,954
风华几度
·
2024-12-07
$PDD 20241206 96.0 PUT$
看好!
$PDD 20241206 96.0 PUT$ 看好!
# 晒晒更赚钱
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6
编组 21备份 2
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8,642
Yonny
·
2024-12-07
全仓单吊可以考虑换,分散持仓的话就拿着好了。我一直拿有这个长期call
$英伟达 DIAGONAL 250815/241213 CALL 85.0/CALL 155.0$
@Lynn_7000:
$英伟达(NVDA)$ 请问我要下车吗[鼓掌]
$英伟达(NVDA)$ 请问我要下车吗[鼓掌]
全仓单吊可以考虑换,分散持仓的话就拿着好了。我一直拿有这个长期call $英伟达 DIAGONAL 250815/241213 CALL 85.0/CAL...
# 晒晒更赚钱
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1
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9
编组 21备份 2
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7,572
antonio200
·
2024-12-07
今天还可以
今天还可以
# 晒晒更赚钱
回复
1
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12
编组 21备份 2
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1.09万
海熊宝
·
2024-12-06
$lululemon athletica(LULU)$
什么时候可以收手? 还是等到500?
$lululemon athletica(LULU)$ 什么时候可以收手? 还是等到500?
# 晒晒更赚钱
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评论
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10
编组 21备份 2
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1.13万
Z先生2021
·
2024-12-06
$20+年以上美国国债ETF-iShares(TLT)$
我有一对卧龙凤雏
$20+年以上美国国债ETF-iShares(TLT)$ 我有一对卧龙凤雏
# 晒晒更赚钱
精彩
冰冻的小丑鱼:
不怕 后续能上100 你这真有钱啊
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11
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10
编组 21备份 2
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1.02万
Z先生2021
·
2024-12-06
$西方石油(OXY)$
我有一对卧龙凤雏
$西方石油(OXY)$ 我有一对卧龙凤雏
# 晒晒更赚钱
精彩
Vine虎虎生威:
多金就是帅😎西方石油目前支撑点37,可考虑加仓拉底一下成本 [看涨] [看涨] [看涨]
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24
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11
编组 21备份 2
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1.03万
变盘时刻
·
2024-12-06
如何用老虎桌面版画关键股票的支撑位和阻力位
$特斯拉(TSLA)$
$苹果(AAPL)$
$英伟达(NVDA)$
$MicroStrategy(MSTR)$
$美国超微公司(AMD)$
如何用老虎桌面版画关键股票的支撑位和阻力位
精彩
Felicitying:
给你点赞,有些声音不响不知道为什么
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8
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13
编组 21备份 2
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9,481
橙子菌
·
2024-12-06
$CRM 20241213 342.5 CALL$
后,
$GTLB 垂直价差 241213 66.0C/71.0C$
又成功压了两张试水,随着AI基建的完善,坚持看好带AI应用概念的科技企业
$CRM 20241213 337.5 CALL$
$GitLab, Inc. VERTICAL 241213 CALL 66.0/CALL 71.0$
$CRM 20241213 342.5 CALL$ 后,$GTLB 垂直价差 241213 66.0C/71.0C$ 又成功压了两张试水,随着AI基建的完...
# 晒晒更赚钱
精彩
霍安然:
麻烦问一下,老虎垂直价差的保证金是怎么计算的,是按照多空相减之后得来的吗
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5
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8
编组 21备份 2
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1.55万
空军大队长
·
2024-12-06
RBLK还会大涨吗?
纳斯达克这段时间一直上涨,也是不断创新高,我以前预测的是会横盘一段时间,除非12月份降息,不然的话就明年特朗普上台,明年一季度财报季,纳斯达克就会涨起来,我也说过就是算是没有利好,纳斯达克几个月以后也会涨,因为美股长期就是上涨的,实际是纳斯达克比我想像中的还好,还没有加息就不断创新高,这就是美股的厉害之处,有利好大涨,没有利好小涨,除非大利空,不然美股就是长牛的,当然未来几年也没有什么大的利空了。 昨天热门股涨跌参半,DXYZ就涨疯了,DXYZ现在明显是高估了,但是市场疯狂起来就这样,如果是短线肯定做飞了,只有长线才能拿得住,不要说泡沫,牛市就是炒泡沫,现在典型的牛市特征,IONQ也大涨了,我一直说了非常看好量子计算,而大跌的两个票就是TEM,DNA,现在DNA还在底部,是冷门股,不是热门股,要么不涨,要涨就会大涨,为什么我一直要大家十个票平均买,这样的好处只要是大牛股就不会错过,当然大跌的股票也没有办法避开,这就是笨方法,就是曾国藩的战术,结硬寨,打呆仗,最终打败了太平军,结硬寨就是选好公司,打呆仗就是长线,短线是投机取巧,长线就是硬扛。 我今天说一下RKLB,这是美国发射频率第二高的运载火箭公司,仅次于SpaceX,设计和制造电子运载火箭和光子卫星平台,并正在开发中子运载火箭,RKLB已经可以做到一个月发射一次了,在美国也是排名第二了,RBLK主要是发射小型卫星,比如几十公斤的,而SpaceX都是200多公斤的,不过现在RBLK也发射200公斤的,在火箭发射这块,SpaceX已经是一家独大了,NASA为了多培养几家民营火箭公司,所以会把订单发给那些很小的火箭公司,RKLB现在就是受益于NASA的政策,现在也开始有火箭回收技术了。 RKLB这段时间为什么大涨,其实是从二季度开始大涨的,原因是在今年一季度的收入恢复了高速增长,那股价自然就会上涨,现在特朗普当选以后,放松对太
RBLK还会大涨吗?
精彩
jiayizhen:
美国🇺🇸科技太强大了👍
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5
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13
编组 21备份 2
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1.41万
肖总财经
·
2024-12-06
毛戈平分配结果,一手100%中签,怕了?
一手中签率100%。 甲尾中签率1.1%,乙头0.87%,顶头0.21%。 从分配结果上看,偏向中小户。 不能多户后,大家都融资上,各家券商还不要利息,大部分只收个认购手续费,10倍,20倍遍地开花。 大部分中小户心理,是既要占免息的便宜,还想把交的100元手续费赚回来,所以能往多了打就往多了打,基本都是按照最大购买力融资。 导致中大甲特别拥挤,再加上富途50倍,200倍的开,乙组和顶头也很拥挤。 再加上港交所的普惠机制以及特有的“红鞋机制”,港新分配机制偏向一手才是规则下正常的分配机制。 在FINI制度之前,“一手融”这个词想必打新老人都知道,就是利用了“红鞋机制”,只不过现在规则变了,大家开始偏融资玩。 回拨50%后,公开固定的10多亿货,并不会因为分配偏向一手而增加破发概率,大可不必担心。 分配偏向中小户,自然中大户分的就少。 在公配中,甲组都是小卡拉米,小甲大甲都一样,你觉得中的多,是你的体感而已,大可不必给自己强行加戏。 再就是国配筹码,招股前一天我了解到只有9倍左右超购,最后一天就传18+倍?有点夸张了,我觉得不太真实。。当然也有可能是我消息错误。 这股我之前分析还给了10%下跌概率,就是考虑这10亿的抛压,确实有点大。 不过问题不大,还是继续维持90%概率20%涨幅起的判断! 这股最终肯定进港股通的,这种龙头,凡是涉及美妆美容的ETF,只要公募要建仓,那毛戈平肯定会被动选入成分股,如果跌了,大家也不用太慌,拿到进港股通,等待公募抬轿。 最后聊下我的多点数智,投机中了600股,暗盘前分析像是反套路回拨,开盘直接都抛了。。 昨晚港交所出配售结果后,发现并没有反套路回拨,国配还超购1.3倍,感觉跌这么多有点过分了。 想着前期投资者C轮C+轮才折价10个点左右,怎么也得保本出吧。 于是今天早上竞价时候又捞了500股,然后就没有然后了。。 确实我自己上头了,虽然是小钱。
毛戈平分配结果,一手100%中签,怕了?
精彩
刀刀墨:
没有绿鞋的股票今年有没有统计过 我看过几个没绿鞋的 都是涨的多
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5
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8
编组 21备份 2
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1.25万
走马财经
·
2024-12-06
多点mall今天上市,收盘跌了54.3%,市值还有122亿港币,上市定价260亿左右,也就是大约35亿美金。 只能说,这样的定价策略,真的是奇葩。 它伤害的不只有多点这家公司的信誉,还有所有的承销商、券商、早期股东甚至交易所,当然最受伤的,是打新的投资者。 但是我想说,参与它打新的人,虽然可怜,却并不无辜。 一家在即时零售领域,连前七都排不上的公司(美团闪购、饿了么全能超市、京东达达和秒送、盒马、小象、朴朴、叮咚),定价35亿美金,叮咚买菜美股定价才多少,8.8亿美金,你却敢去参与多点的打新,要怎么说你好呢? 当然,盒马小象朴朴叮咚都是自营模式,多点号称平台模式,但它那点有限的供给、覆盖范围和GMV,连美团饿了么京东即时零售尾灯都看不到,而你猜达达市值多少?3.6亿美金…… 多点2023年营收15.8亿,增速不到20%,即时零售行业货币化率一般不低于10%,因为履约费用较高,意味着他去年GMV不到200亿,今年上半年营收9.4亿,全年估计不会超过22亿,GMV 250亿以内,做为平台,GMV规模都比不上小象朴朴叮咚这类自营公司。 毛利率长期不到40%,净利润率长期低于-50%。 还有,非常危险的一点,它的上市前投资者,包括腾讯、IDG、兴业银行等,是没有限售期的,也就是上市首日就可以全量抛售。 参与这种公司打新,其实就是参与诈骗哈,你不被骗谁被骗?
$多点数智(02586)$
多点mall今天上市,收盘跌了54.3%,市值还有122亿港币,上市定价260亿左右,也就是大约35亿美金。 只能说,这样的定价策略,真的是奇葩。 它伤害...
精彩
天赐美金我照单全收:
你为什么不在打新时候发,已经上市了骂有什么用😓😓😓😓😓😓😓
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5
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7
编组 21备份 2
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1.04万
美港股观察社
·
2024-12-06
优克联获两家机构看好,目标定价最高10美元
近期,优克联发布2024年Q3业绩。财报显示,2024年Q3,优克联共实现收入约2520万美元,同比增长5.6%,净利润实现约340万美元,经营现金流入约为200万美元。得益于公司国际漫游业务持续反弹,及四大业务线落地成型并逐步开始商业化,公司的稳健经营能力和盈利模式的可持续性进一步得到了验证,商业模式逐步走向正循环。业绩发布后,Litchfield Hills Research于11月27日发布研报,称优克联在2024年Q3的财报表现超出了预期,维持优克联“买入”评级,目标价为9美元。研报指出,受益于销售增长和成本控制,UCL在2024年Q3业绩表现强劲。未来凭借新产品的良好表现、公司稳健的现金流及显著的成本控制,预计利润将持续上升。12月3日,机构Diamond Equity Research亦发布报告,看好优克联并给出了10美元的目标价。该机构分析师认为,优克联第三季度收入和净利润表现良好,服务业务表现尤为强劲,同时保持了稳健的现金流。根据研报,优克联通过技术创新和战略合作,在全球移动数据共享市场中占据领先地位。尽管面临行业和市场挑战,公司凭借强大的技术基础、稳健的财务表现及多样化产品布局,具备长期增长潜力。这对投资者来说具备长期增长潜力和独特投资价格。详细信息,以研报内容为准,以下为部分研报摘录:
$优克联(UCL)$
优克联获两家机构看好,目标定价最高10美元
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2
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5
编组 21备份 2
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热议股票
7x24
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我今天说一下RKLB,这是美国发射频率第二高的运载火箭公司,仅次于SpaceX,设计和制造电子运载火箭和光子卫星平台,并正在开发中子运载火箭,RKLB已经可以做到一个月发射一次了,在美国也是排名第二了,RBLK主要是发射小型卫星,比如几十公斤的,而SpaceX都是200多公斤的,不过现在RBLK也发射200公斤的,在火箭发射这块,SpaceX已经是一家独大了,NASA为了多培养几家民营火箭公司,所以会把订单发给那些很小的火箭公司,RKLB现在就是受益于NASA的政策,现在也开始有火箭回收技术了。 RKLB这段时间为什么大涨,其实是从二季度开始大涨的,原因是在今年一季度的收入恢复了高速增长,那股价自然就会上涨,现在特朗普当选以后,放松对太","plainDigest":"纳斯达克这段时间一直上涨,也是不断创新高,我以前预测的是会横盘一段时间,除非12月份降息,不然的话就明年特朗普上台,明年一季度财报季,纳斯达克就会涨起来,我也说过就是算是没有利好,纳斯达克几个月以后也会涨,因为美股长期就是上涨的,实际是纳斯达克比我想像中的还好,还没有加息就不断创新高,这就是美股的厉害之处,有利好大涨,没有利好小涨,除非大利空,不然美股就是长牛的,当然未来几年也没有什么大的利空了。 昨天热门股涨跌参半,DXYZ就涨疯了,DXYZ现在明显是高估了,但是市场疯狂起来就这样,如果是短线肯定做飞了,只有长线才能拿得住,不要说泡沫,牛市就是炒泡沫,现在典型的牛市特征,IONQ也大涨了,我一直说了非常看好量子计算,而大跌的两个票就是TEM,DNA,现在DNA还在底部,是冷门股,不是热门股,要么不涨,要涨就会大涨,为什么我一直要大家十个票平均买,这样的好处只要是大牛股就不会错过,当然大跌的股票也没有办法避开,这就是笨方法,就是曾国藩的战术,结硬寨,打呆仗,最终打败了太平军,结硬寨就是选好公司,打呆仗就是长线,短线是投机取巧,长线就是硬扛。 我今天说一下RKLB,这是美国发射频率第二高的运载火箭公司,仅次于SpaceX,设计和制造电子运载火箭和光子卫星平台,并正在开发中子运载火箭,RKLB已经可以做到一个月发射一次了,在美国也是排名第二了,RBLK主要是发射小型卫星,比如几十公斤的,而SpaceX都是200多公斤的,不过现在RBLK也发射200公斤的,在火箭发射这块,SpaceX已经是一家独大了,NASA为了多培养几家民营火箭公司,所以会把订单发给那些很小的火箭公司,RKLB现在就是受益于NASA的政策,现在也开始有火箭回收技术了。 RKLB这段时间为什么大涨,其实是从二季度开始大涨的,原因是在今年一季度的收入恢复了高速增长,那股价自然就会上涨,现在特朗普当选以后,放松对太","sourceLanguage":"CN","currentLanguage":"CN","editable":false,"auditStatus":"PASSED","topFlag":false,"totalScore":0,"gmtCreate":1733491221535,"gmtModify":1733491908918,"symbols":["HK0000934320.USD"],"themeIds":[],"popularizeThemeFlag":false,"imageCount":0,"images":[],"repostCount":4,"viewCount":15457,"likeCount":13,"liked":false,"collected":false,"commentCount":5,"hotComments":[{"id":"378929448886592","author":{"authorId":"3550504944509124","idStr":"3550504944509124","name":"jiayizhen","avatar":"https://static.tigerbbs.com/d5421f5152339a2ea3689ae696cbdbcf","userType":1,"introduction":"","crmLevel":1,"crmLevelSwitch":0,"fanSize":1,"starInvestorFlag":false},"content":"美国🇺🇸科技太强大了👍","plainContent":"美国🇺🇸科技太强大了👍","likeCount":0,"commentType":"hot","coins":0},{"id":"379013406519664","author":{"authorId":"3469595925970942","idStr":"3469595925970942","name":"雅南居士","avatar":"https://static.tigerbbs.com/35316e911ac01b4bc20645d086290ff0","userType":1,"introduction":"","crmLevel":1,"crmLevelSwitch":0,"fanSize":3,"starInvestorFlag":false},"content":"队长这逻辑正确","plainContent":"队长这逻辑正确","likeCount":0,"commentType":"valid","coins":0}],"voteFlag":false,"rewardFlag":false,"videoFlag":false,"articleFlag":false,"paperFlag":true,"essentialFlag":true,"highlightedFlag":false,"shareLink":"https://laohu8.com/post/378704178401544","orderFlag":false,"starInvestorRankings":[],"featuresForAnalytics":[],"commentAndTweetFlag":false,"upFlag":false,"length":3777,"displayRows":4,"foldSize":0,"authorId":"74125836878304"}],"position":0},{"cardType":"TWEET","cardId":"TWEET.378716499386456","cardData":[{"tweetId":"378716499386456","author":{"authorId":"3554463181289571","idStr":"3554463181289571","name":"肖总财经","avatar":"https://static.tigerbbs.com/eb2daf9b5ed468526328d3e5b19f8f43","userType":2,"introduction":"天大金融、HR双学位,管理与经济学部。专注港美股打新,可转债,LOF基金等相对低风险投资套利。","crmLevel":2,"crmLevelSwitch":0,"fanSize":6321,"starInvestorFlag":false,"userFollowAuthorFlag":false,"authorFollowUserFlag":false},"userFollowAuthorFlag":false,"authorFollowUserFlag":false,"title":"毛戈平分配结果,一手100%中签,怕了?","digest":"一手中签率100%。 甲尾中签率1.1%,乙头0.87%,顶头0.21%。 从分配结果上看,偏向中小户。 不能多户后,大家都融资上,各家券商还不要利息,大部分只收个认购手续费,10倍,20倍遍地开花。 大部分中小户心理,是既要占免息的便宜,还想把交的100元手续费赚回来,所以能往多了打就往多了打,基本都是按照最大购买力融资。 导致中大甲特别拥挤,再加上富途50倍,200倍的开,乙组和顶头也很拥挤。 再加上港交所的普惠机制以及特有的“红鞋机制”,港新分配机制偏向一手才是规则下正常的分配机制。 在FINI制度之前,“一手融”这个词想必打新老人都知道,就是利用了“红鞋机制”,只不过现在规则变了,大家开始偏融资玩。 回拨50%后,公开固定的10多亿货,并不会因为分配偏向一手而增加破发概率,大可不必担心。 分配偏向中小户,自然中大户分的就少。 在公配中,甲组都是小卡拉米,小甲大甲都一样,你觉得中的多,是你的体感而已,大可不必给自己强行加戏。 再就是国配筹码,招股前一天我了解到只有9倍左右超购,最后一天就传18+倍?有点夸张了,我觉得不太真实。。当然也有可能是我消息错误。 这股我之前分析还给了10%下跌概率,就是考虑这10亿的抛压,确实有点大。 不过问题不大,还是继续维持90%概率20%涨幅起的判断! 这股最终肯定进港股通的,这种龙头,凡是涉及美妆美容的ETF,只要公募要建仓,那毛戈平肯定会被动选入成分股,如果跌了,大家也不用太慌,拿到进港股通,等待公募抬轿。 最后聊下我的多点数智,投机中了600股,暗盘前分析像是反套路回拨,开盘直接都抛了。。 昨晚港交所出配售结果后,发现并没有反套路回拨,国配还超购1.3倍,感觉跌这么多有点过分了。 想着前期投资者C轮C+轮才折价10个点左右,怎么也得保本出吧。 于是今天早上竞价时候又捞了500股,然后就没有然后了。。 确实我自己上头了,虽然是小钱。","plainDigest":"一手中签率100%。 甲尾中签率1.1%,乙头0.87%,顶头0.21%。 从分配结果上看,偏向中小户。 不能多户后,大家都融资上,各家券商还不要利息,大部分只收个认购手续费,10倍,20倍遍地开花。 大部分中小户心理,是既要占免息的便宜,还想把交的100元手续费赚回来,所以能往多了打就往多了打,基本都是按照最大购买力融资。 导致中大甲特别拥挤,再加上富途50倍,200倍的开,乙组和顶头也很拥挤。 再加上港交所的普惠机制以及特有的“红鞋机制”,港新分配机制偏向一手才是规则下正常的分配机制。 在FINI制度之前,“一手融”这个词想必打新老人都知道,就是利用了“红鞋机制”,只不过现在规则变了,大家开始偏融资玩。 回拨50%后,公开固定的10多亿货,并不会因为分配偏向一手而增加破发概率,大可不必担心。 分配偏向中小户,自然中大户分的就少。 在公配中,甲组都是小卡拉米,小甲大甲都一样,你觉得中的多,是你的体感而已,大可不必给自己强行加戏。 再就是国配筹码,招股前一天我了解到只有9倍左右超购,最后一天就传18+倍?有点夸张了,我觉得不太真实。。当然也有可能是我消息错误。 这股我之前分析还给了10%下跌概率,就是考虑这10亿的抛压,确实有点大。 不过问题不大,还是继续维持90%概率20%涨幅起的判断! 这股最终肯定进港股通的,这种龙头,凡是涉及美妆美容的ETF,只要公募要建仓,那毛戈平肯定会被动选入成分股,如果跌了,大家也不用太慌,拿到进港股通,等待公募抬轿。 最后聊下我的多点数智,投机中了600股,暗盘前分析像是反套路回拨,开盘直接都抛了。。 昨晚港交所出配售结果后,发现并没有反套路回拨,国配还超购1.3倍,感觉跌这么多有点过分了。 想着前期投资者C轮C+轮才折价10个点左右,怎么也得保本出吧。 于是今天早上竞价时候又捞了500股,然后就没有然后了。。 确实我自己上头了,虽然是小钱。","sourceLanguage":"CN","currentLanguage":"CN","editable":false,"auditStatus":"PASSED","topFlag":false,"totalScore":0,"gmtCreate":1733485368994,"gmtModify":1733491251233,"symbols":["01318","02586"],"themeIds":[],"popularizeThemeFlag":false,"imageCount":2,"images":[{"url":"https://static.tigerbbs.com/5e13a576494923054fab3c5ce79392ef","width":"520","height":"1361"}],"repostCount":3,"viewCount":14068,"likeCount":8,"liked":false,"collected":false,"commentCount":5,"hotComments":[{"id":"379950475759944","author":{"authorId":"4195606550374692","idStr":"4195606550374692","name":"刀刀墨","avatar":"https://static.tigerbbs.com/dfe5d359dcdd678ca8e6308445a379cc","userType":1,"introduction":"","crmLevel":1,"crmLevelSwitch":0,"fanSize":0,"starInvestorFlag":false},"content":"没有绿鞋的股票今年有没有统计过 我看过几个没绿鞋的 都是涨的多","plainContent":"没有绿鞋的股票今年有没有统计过 我看过几个没绿鞋的 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只能说,这样的定价策略,真的是奇葩。 它伤害的不只有多点这家公司的信誉,还有所有的承销商、券商、早期股东甚至交易所,当然最受伤的,是打新的投资者。 但是我想说,参与它打新的人,虽然可怜,却并不无辜。 一家在即时零售领域,连前七都排不上的公司(美团闪购、饿了么全能超市、京东达达和秒送、盒马、小象、朴朴、叮咚),定价35亿美金,叮咚买菜美股定价才多少,8.8亿美金,你却敢去参与多点的打新,要怎么说你好呢? 当然,盒马小象朴朴叮咚都是自营模式,多点号称平台模式,但它那点有限的供给、覆盖范围和GMV,连美团饿了么京东即时零售尾灯都看不到,而你猜达达市值多少?3.6亿美金…… 多点2023年营收15.8亿,增速不到20%,即时零售行业货币化率一般不低于10%,因为履约费用较高,意味着他去年GMV不到200亿,今年上半年营收9.4亿,全年估计不会超过22亿,GMV 250亿以内,做为平台,GMV规模都比不上小象朴朴叮咚这类自营公司。 毛利率长期不到40%,净利润率长期低于-50%。 还有,非常危险的一点,它的上市前投资者,包括腾讯、IDG、兴业银行等,是没有限售期的,也就是上市首日就可以全量抛售。 参与这种公司打新,其实就是参与诈骗哈,你不被骗谁被骗?<a href=\"https://laohu8.com/S/02586\">$多点数智(02586)$</a> ","plainDigest":"多点mall今天上市,收盘跌了54.3%,市值还有122亿港币,上市定价260亿左右,也就是大约35亿美金。 只能说,这样的定价策略,真的是奇葩。 它伤害的不只有多点这家公司的信誉,还有所有的承销商、券商、早期股东甚至交易所,当然最受伤的,是打新的投资者。 但是我想说,参与它打新的人,虽然可怜,却并不无辜。 一家在即时零售领域,连前七都排不上的公司(美团闪购、饿了么全能超市、京东达达和秒送、盒马、小象、朴朴、叮咚),定价35亿美金,叮咚买菜美股定价才多少,8.8亿美金,你却敢去参与多点的打新,要怎么说你好呢? 当然,盒马小象朴朴叮咚都是自营模式,多点号称平台模式,但它那点有限的供给、覆盖范围和GMV,连美团饿了么京东即时零售尾灯都看不到,而你猜达达市值多少?3.6亿美金…… 多点2023年营收15.8亿,增速不到20%,即时零售行业货币化率一般不低于10%,因为履约费用较高,意味着他去年GMV不到200亿,今年上半年营收9.4亿,全年估计不会超过22亿,GMV 250亿以内,做为平台,GMV规模都比不上小象朴朴叮咚这类自营公司。 毛利率长期不到40%,净利润率长期低于-50%。 还有,非常危险的一点,它的上市前投资者,包括腾讯、IDG、兴业银行等,是没有限售期的,也就是上市首日就可以全量抛售。 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