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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
4.70万
小虎周报
·
2024-12-20
港股周报:多重利空来袭,恒指应声下跌!
本周港股表现不佳,恒生指数周跌1.25%。 消息面上,本周统计局公布了11月经济数据,其中,社会消费品零售总额43763亿元,同比增长3.0%,不及分析师预期的5%,亦低于上个月4.8%的增速;11月规模以上工业增加值同比增长5.4%,符合预期。海外方面,美联储本周如期降息25个基点,但最新利率点阵图显示,决策者预计明年只会降息两次,大幅低于市场预期。同时,鲍威尔在新闻发布会上表示,美联储正处于或接近放缓降息的时刻,明年将根据数据做出降息决定。受此影响,美股大跌,全球资本市场受到拖累。板块上看,本周除了信息技术板块外,其余皆下跌,房地产、医疗保健领跌:南下资金继续疯狂买入港股,净流入259亿港币:下周,港股、美股将因圣诞节假期休市,消息面上进入真空期,资金或无心恋战。本周港股大事件:1. 11月社会消费品零售总额43763亿元,同比增长3.0%,不及5%预期;2. 11月份一二三线城市商品住宅销售价格同比降幅收窄;3. 11月规模以上工业增加值同比增长5.4%;4. 人民银行党委召开会议,实施好适度宽松的货币政策,适时降准降息;5. 佑驾创新、英诺赛科、健康之路和讯飞医疗科技本周招股;6. 阿里巴巴将银泰100%的股权向雅戈尔集团和银泰管理团队成员组成的购买方财团出售;7. 港交所下调香港证券市场最低上落价位;8. 美联储如期降息25个基点,但最新利率点阵图显示,决策者预计明年只会降息两次,美股大跌;9. 草姬集团公开发售获6083倍认购,排历史
港股周报:多重利空来袭,恒指应声下跌!
# 晒晒我的复盘笔记
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3.10万
小虎周报
·
2024-12-20
【一周科技动态】ASIC对英伟达影响有多大?
涨跌纷纭——一周大科技表现本周市场波动剧烈,在
$纳斯达克100指数(NDX)$
创下新高的同时,
$道琼斯(.DJI)$
录得1974年来首次“十连跌”,而美联储的“超鹰派降息”使大盘创下8月以来最大跌幅。同时,美元再度走强,30年期和10年期美债收益率均超过了美联储联邦基金利率目标上限的4.5%。个股层面的表现也较为分化,meme股横行但波动也较大,大科技公司整体表现稍好,Tesla的体现出了风险属性,上下波幅较大,而Nvidia则由此前博通公司财报过后的ASIC芯片,市场焦点转移产生了资金流出。下周圣诞来临,年关也降至,不少投资者已经选择空仓等待。美国政府债务上限的投票也在向市场展示下个月权利交接中的较量,美股不排除迎来更多风险事件。至12月19日收盘,过去一周,大科技公司整体收跌。其中
$苹果(AAPL)$
+0.74%,
$英伟达(NVDA)$
-4.85%,
$微软(MSFT)$
-2.79%,
$亚马逊(AMZN)$
-2.48%,
$谷歌(GOOG)$
$谷歌A(GOOGL)$
-1.80%,
【一周科技动态】ASIC对英伟达影响有多大?
# 博通财报超预期!多少价位值得进场?
精彩
ruan_7128:
之前推动美股不断创新高时,并非是低利率,不要太关注鲍威尔的预言,真正推动美股的动力仍是良好的政策及个股的基本面,以及大财主的资金关照,相信特朗普的能力与智慧,用不了多长时间,美股就能重铸辉煌。
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3
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期权小白菜
·
2024-12-20
$小米集团-W(01810)$
感谢雷军,感谢小米,长期看好小米汽车
$小米集团-W(01810)$ 感谢雷军,感谢小米,长期看好小米汽车
# 晒晒更赚钱
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吧唧1:
小米汽车应该是新能源汽车新势力中最有潜力的了[贱笑]
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1
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8
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6,253
scauzhangzhi
·
2024-12-20
$Adobe(ADBE)$
是不是股灾了
$Adobe(ADBE)$ 是不是股灾了
# 晒晒更赚钱
精彩
人人有功练:
时间拿长些,本来该涨了,这两天又碰上大盘不好,已经超跌了,等待反弹即可
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1.39万
芝士虎
·
2024-12-20
【收益猎场推荐】币股集体崩盘,下一步该怎么操作?
一觉醒来,不敢相信自己的眼睛,美股崩了。。。。尤其是币股,遭受了降息不及预期和鲍威尔言论的双重利空,比特币已经跌破10万美金关键位置,从最高位到现价累计跌幅超过10%,和比特币挂钩的相关标的,MSTR,coinbase等跌幅也超过20%。虽然很多投资者坚定的看好未来的虚拟币走势,但是经过这么一搞,很多人心里是没底的,毕竟妖股面前很难坐怀不乱,大起大落的走势一定会放大人性贪婪与恐惧的弱点。后续如何操作呢?芝士虎认为,越是不确定的行情下越要寻找确定性的东西,什么是确定,什么是不确定呢?1.短期内币股上涨下跌不确定,但是波动变大是确定的2.币股能不能追不确定,但暴跌之后的价位更加安全是确定的。所以基于以上两点,此时的操作逻辑就变成了,选一个更加安全的价位去做空波动率,而FCN无疑就成了一个很好的选择,原因有两点:1.波动变大,FCN的稳定票息更加抗风险。2.较低的执行价比率,足够安全的buffer。以MSTR目前的FCN报价为例期限3个月年化票息率39%执行价比率70%先说票息率,年化39%也就意味着3个月票息收益13%左右,虽然比起前段时间MSTR疯涨时候的票息率略微下降,但是此时的执行价比率是基于暴跌之后的股价,也就是目前的326美金的70%,等于228美金,这个价位安全性有多大呢?如果要粗略的按照该比例计算,如果后续MSTR再跌30%,也就意味着比特币要暴跌15%左右,也就是说比特币的价格要回到川普胜选之前的水平,相当于之前price in的一切利好全部变成过眼云烟,换句话说,鸟儿已经飞过,但天空却没有一点痕迹,显然可能性是不大的。所以,虽然票息率并没有前段时间高,但是安全性绝对远超一个月前的水平。好啦,今天的分享先到这里对FCN感兴趣的小伙伴,欢迎点击yielding hunting询价下单哦。
【收益猎场推荐】币股集体崩盘,下一步该怎么操作?
精彩
吧唧1:
不知道未来量子计算对虚拟货币影响有多少
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期权叨叨虎
·
2024-12-20
大跌之后怎么办?看看波动率指数
VIX指数,全名为芝加哥期权交易所波动率指数(Chicago Board Options Exchange Volatility Index),由到期时间为23~37天不等的近月及邻月期权价格计算得出,可以用来衡量标准普尔500指数未来预期30天的年化波动率。简单来说,VIX指数衡量的是标普500指数的隐含波动率,其数值越大表示投资者预期市场波动程度越大;同时由于标普500指数的重要地位,标普500 VIX指数可以被理解为预示了市场的潜在风险,故也被称为市场恐慌指数。 波动率的“16法则” 事实上,投资者可以在 VIX 上交易期货和期权。但是,尽管它受到了如此多的关注,但很少有投资者真正理解这种衡量期权波动率的方法、它的含义、如何衡量它,以及最后如何估算其最准确的价值。 Cboe 于1993年推出VIX,作为标准普尔100指数(OEX)期权隐含波动率(IV) 的加权衡量标准。在2003年的VIX计算中,交易更为活跃的S&P 500指数 (SPX) 期权取代了 OEX 期权。自成立以来,VIX 已发展成为衡量投资者恐惧和整体市场波动性的卓越指标。 根据16法则,如果 VIX 的交易价格为 16,则估计 SPX 的日均涨跌幅度为 1%(因为 16/16 = 1)。如果 VIX 为 24,则每日波动可能在 1.5% 左右,而在 32,根据 16 的规则,SPX 可能会看到2%的每日波动。VIX的投资方式有哪些?VIX的上涨理论上是可以非常高的,2020年疫情极度恐慌下VIX曾经超过80,且是在极短时间内完成。另外VIX波动性很大,存在暴涨暴跌的可能,也存在长时间维持低谷的可能。如果近期股市的回调只是短期的,那么VIX就迎来了极佳的交易机会。VIX投资工具:(1)ETF/ETN:1.
大跌之后怎么办?看看波动率指数
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1.26万
美股解毒师
·
2024-12-20
Nike盘后巨震:新CEO认为转型阵痛才刚开始?
$耐克(NKE)$
公司在12月19日盘后公布了2025财年第二季度的业绩,盘后市场波动较大。一方面,当季业绩表现出色,收入端和利润端均超出市场预期,但另一方面,仍然止不住业绩下滑,以及由于促销带来的利润率下跌。投资者此前对其“转型”抱有较大的期待,因为新任CEO Elliot Hill刚开始掌舵,打算重整渠道,股价也一度涨超5%,不过CEO在电话会上表示NIKE的转型仍需要更多的时间,目前的措施是积极清理陈旧库存、加强数字业务以及限制促销定价来恢复品牌昔日的辉煌。投资者貌似短期内信心并不大,因此回吐涨幅并转跌。目前在整体可选消费行业面临逆风,以及Trump上台后更不确定的宏观走向,投资者可能对NIKE公司更为谨慎。财务数据与市场预期对比总收入为124亿美元,较去年同期下降了8%,高于市场预期的121.3亿美元。净利润则降至11.6亿美元,EPS为0.78美元,相比去年同期的1.03美元下降了约24%,但仍超出市场预期的0.64美元。各分部业务表现NIKE Direct(直接销售):收入下降了13%,至50亿美元,数字销售下滑。批发销售(Wholesale):收入下降3%,为69亿美元。毛利率:毛利率下降了100个基点,降至43.6%,促销活动增加导致的折扣压力。各地区业务表现北美市场:销售额为51.8亿美元,下降了8%,但高于市场预期的50.1亿美元欧洲、中东和非洲(EMEA):销售额下降7%,至33亿美元,略高于32.6亿美元的预期亚太和拉丁美洲(APLA):销售额下降3%,达17.4亿美元,高于分析师预期的16.2亿美元中国市场:销售额下降8%,至17.1亿美元,低于分析师预期的17.5亿美元业绩差异原因分析促销活动频繁损害利润率:为了刺激销售,耐克采取了大量折扣策略,这虽然短期内提升了销量
Nike盘后巨震:新CEO认为转型阵痛才刚开始?
# 25个基点,符合预期!.SPX还能继续涨吗?
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吧唧1:
转型必须付出的代价吧,期待涅槃
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刘铭诚lmc62929
·
2024-12-20
$XAUUSD.FOREX(XAUUSD.FOREX)$
早上6点醒来,天蒙蒙亮,我以为是下午6点了,还想着这次睡了17个小时,真好!后面才反应过来是早上,心里又有些窃喜,可以多活12个小时。还说一点,今晚凌晨回老家,好好的休息回血,下周老美假期,下周三过后会回归工作。 本周最后一个交易日,黄金价格来回刺穿2600关口,所以这里并不能当做阻力或者支撑节点。技术面上来看,昨日早盘低点2583,晚间低点2586,而今日早盘低点只是给到2589位置,日内的思路简单来说就是防守2589-2586区域看涨对待,筑底是需要一个时间周期完成转换的,只要没破新低之前就无需过分看跌。 技术面大周期月线和周线上周量能减弱,昨日黄金价格亚盘和欧盘上涨,美盘转跌,今日同样要留意这样的走势出现。目前1小时布林带上下轨平行发展,上轨承压2620,下轨支撑在2580,短期内1小时SAR指标2603和日线MA120均线2607算是第一个阻力范围,刘铭诚偏向日内走势会向上突破。另一方面,美元指数破高来到108.42,接近周线布林带上轨108.59,如若上涨阻力转跌,届时黄金价格也会得益上行。 今日阻力方面关注2607,其次是1小时上轨2620和4小时中轨2624形成的压制范围。支撑方面留意早盘低点2589一线,其次是1小时布林带下轨2580和4小时布林带下轨2576形成的支撑范围。整体来看黄金价格咋领2620-2580箱体震荡运行,上下方各预留5个点偏差就行,操作上刘铭诚建议回撤做多为主,高位遇阻再做空。 黄金策略:实时现报价2597一线,日内回撤2595-92区域抓低点做多,止损2588,目标2607-2618;若先反弹触及2607做空,止损2612,目标2600-2595,下破持有;(备选策略
$XAUUSD.FOREX(XAUUSD.FOREX)$ 早上6点醒来,天蒙蒙亮,我以为是下午6点了,还想着这次睡了17个小时,真好!后面才反应过来是早上...
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lz3141913
·
2024-12-20
美股王老师12月20曰分享: 1. 昨晚市场开盘假性反弹,很多股票开盘后都反弹了3~5 %(HOOD AFRM等)我昨早建议你卖掉半仓或三分之二的仓位,你做了吗?如果你做了,你现在会轻松很多,前天市场暴跌我们是无法预料的,而昨晚的趁市场开高逃命是完全可以做到的‼️ 2. 昨晚市场开高,牛熊博杀,收盘熊稍胜一筹,今晚是四巫日市场会波动很大,所以今天市场的走向非常重要‼️如果牛胜,市场进入反弹小周期,如果熊胜,市场还可能进一步下跌 3. 这二个月的投资经验告诉我们,做知名大公司看图更容易稳定盈利,控制风险,比如特斯拉,谷歌 在三大半导体芯片公司里: 我不看好英伟达,巳经老气横秋了,还在下跌通道中 AMD已经烂掉了,从二个月的175跌到现在118,下跌还没结束 博通AVGO是我认为从现在起最值得投资的芯片龙头股‼️我准备在211建仓4 %,205建仓4 %[玫瑰][爱心][捂脸][强]
美股王老师12月20曰分享: 1. 昨晚市场开盘假性反弹,很多股票开盘后都反弹了3~5 %(HOOD AFRM等)我昨早建议你卖掉半仓或三分之二的仓位,你...
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期权六艺
·
2024-12-20
恒指本周寂静,期权年底收炉。
恒指本周说无可说,除去瞬时的高低位,至周五11点于19800上下150点左右波动,是待11点半再扩波幅,此玩法例行几周,把控如此到位。周波动不见月波动也仅那周一的抖一下完事,其它时段仅千点19600-20600。一步到位想追都难着实难玩,无趋势一日游行情明显,跑的慢**不剩。19400月低位似难破,20200是阻力,若有需要大户亦可于最后几天推上,有需要24500也可几日达,港股无深度一支独大。下周多假期再周一是结算日,恒指期权周双买最后一周交易,下周隔夜多日只交易狠人进场,圣诞假期不及春节假期的期待,美股也是假期,外围波动影响低,不过现时港股跟谁动以明了。昨日低开19600附近平仓获利19500认沽,以往价内平仓以不期待,8-12月双买没有性价比,十一前后的波动期权金昂贵,成本风险相当高,交易者多壁上观。连续两年双买收获于上半年,双买难度增,若是初级者市场运气无更+难度。纳指波动好过恒指,曾经几何都以反超,市场魅力无限。25年期权双买规划,1-7月恒指全年纳指QQQ,恒指A股化纳指国际化,人定胜天无可能,波动配合得具备。双买需要振幅非一定要波幅,数据会说话。美股进入特朗普时代不会寂寞,双买恒指与纳指QQQ,可并行还是得舍其一?指数抖一下的威力大双卖也是痛,双杀不待谁。
$恒生指数主连 2412(HSImain)$
$纳指100ETF(QQQ)$
$恒生指数(HSI)$
恒指本周寂静,期权年底收炉。
# 期权组合策略
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话题虎
·
2024-12-20
鲍威尔放鹰给上车机会?现在是该抄底,还是逃顶?
鲍威尔突然放鹰,市场直接进入了“极度恐慌”的状态,有段子分析称既然特朗普要股市、经济增长,现在就先给点空间,美联储明年再“超预期”安排降息,就双赢了~[吃瓜]周四盘后Tom Lee再次喊话 Buy the dip,今年前面几次喊的都没错~ 网上有对今年美股投资机会的盘点,看下来,大方向跟的没错,肯定是能赚到钱的,其次好像不管是哪类个股,都有很好的低买高卖的机会,这个比较困难,很考验投资者们的认知。[安慰]周三VIX恐慌指数再次飙升,今年仅次于8月初大跌的那次。难道又是给低点的剧本?大家觉得这次还会是逢低加仓的时机吗?现在是该抄底,还是逃顶?[思考]评论区分享你的观点或接下来的操作策略,一起赢取1000虎币奖励!🎁🎁
$英伟达(NVDA)$
$特斯拉(TSLA)$
$MicroStrategy(MSTR)$
$标普500(.SPX)$
鲍威尔放鹰给上车机会?现在是该抄底,还是逃顶?
# 美伊谈判再次缓和!原油、黄金如何部署?
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夜流沙:
现在是正常回调,不算恐慌,但是放眼看低估的很少了,回调可能继续,之后再买也不迟[贱笑]
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无妄无我
·
2024-12-19
$特斯拉(TSLA)$
精准逃顶,小赚就满足了😁
$特斯拉(TSLA)$ 精准逃顶,小赚就满足了😁
# 晒晒更赚钱
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小博炒美股
·
2024-12-20
$OXY 20241220 47.0 CALL$
做个备兑遇到老巴增持。。。这晚上还得回吐[难过]
$OXY 20241220 47.0 CALL$ 做个备兑遇到老巴增持。。。这晚上还得回吐[难过]
# 晒晒更赚钱
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罗叔投资
·
2024-12-19
$Quantum Computing Inc.(QUBT)$
26的时候卖了一半,继续持有
$Quantum Computing Inc.(QUBT)$ 26的时候卖了一半,继续持有
# 晒晒更赚钱
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小岛大浪:
翻一番了。还接回来吗
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庄市
·
2024-12-20
蔚来不太清楚,但是我小米拿的[贱笑] 挺舒服的
蔚来不太清楚,但是我小米拿的[贱笑] 挺舒服的
# 9月交付量出炉!能否利好蔚来股价?
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Richard凉介:
这是多少倍做多
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富哥only
·
2024-12-20
科技公司解决需求思考
大早上开完会,跟朋友闲谈了会,发现确实有很多东西启发了我,现在大家跟着我一起复盘下,我也顺手加深下记忆,今天的话题是————人类为什么需要导盲犬,在现代中国,合格的导盲犬只有400只,网上交叉信息验证了下,确实是这样,但是盲人的数量远远大于这个导盲犬,所以一个盲人,可能一辈子都得不到一只自己的导盲犬,另一方面,也很高兴了解到训练导盲犬是个非常复杂的事情,导盲犬训导师一辈子非常辛苦的训练也只能有9只,当然这个数据有偏差,但是大概也不会过20只,当需求远远大于供求的时候可想而知这个售价多少昂贵,因为这是一个人一生的经验,所以有个悖论,现在回到我们的主体,一个东西,它有非常多的需求。但是需求没有办法满足,而这个满足的过程需要人去训导动物,这是以前的路径,且唯几,无非其他聪明的动物,这个事情就很难解决,正好最近看了下ces的所有产品3000多家,发现有至少2家公司解决的就是盲人的问题,然后引申出今天我们的主题,今天我们看到的很多困难的需求,用以往的方式非常复杂非常难以解决的需求,但是用科技的迭代进步可以解决掉,比如lumin,这是一家罗马尼亚公司,这个公司做的就是头盔,通过激光雷达与视觉把前端看到的所有障碍物转换成声音跟盲人沟通,告诉你大致的导航方向,以及实时遇到的障碍物,虽然有一定的误判,但是已经能起到就是把导盲犬90%的需求给满足了,而且对危险,对动态障碍物的识别,可能比狗还高,今天,汽车导航的技术已经非常成熟。自动驾驶技术也非常成熟,把这些技术拆析,用在盲人上,不管是耳机还是眼镜头盔,这种产品从技术上没有任何难度,主要就是怎么与盲人进行有效的沟通,让他快速的规避各种风险,感知方位,这个是未来产品需要迭代的点,第二个产品是guidance,导盲助手,由微软研究院做的一款手持式导盲助手,跟戴森一样,拿手上,然后他会指引你,有一个牵引的力,方向,规避障碍物,所以说驾驶与视觉技术已经
科技公司解决需求思考
# 炒股技术派
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玲宝Amanda:
富哥真厉害[开心][开心][开心]
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