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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
4.63万
话题虎
·
2025-03-12
头最铁的韩国人杀入港股!现在你是否打算跟着南向资金买?
“东升西落”这个描述,至少在这三个月(2024/12/12-2025/03/12)以来是成立的。且就算近半个月
$纳斯达克(.IXIC)$
狂跌,现在pe38,仍然处于高估区间(段:泡沫不破,投资难做~)[吃瓜]:这段时间不仅是华尔街唱多中国资产,就连曾经钟爱
$特斯拉(TSLA)$
的韩国人,2、3月以来投资港股的交易额也是创了2022年8月以来新高。昨天就算是南向流出40亿,港股表现还是很强,所以现在不仅可以观望一下美股的确定性机会,还可以等等港股出现一个像样的回调~ [哇塞]至于怎么买,小摩直接给出的建议是,跟着南向资金买!根据净流入排序分别有
$阿里巴巴-W(09988)$
、
$腾讯控股(00700)$
、
$中国移动(00941)$
、
$比亚迪股份(01211)$
、
$中国银行(03988)$
、
$招商银行(03968)$
、
$快手-W(01024)$
等。[看涨][看涨][看涨]现在港美市场都站在关键十字路口,遍地都是潜在投资机会
头最铁的韩国人杀入港股!现在你是否打算跟着南向资金买?
# 港股强势上涨!大家看好哪家机会?
精彩
夜流沙:
根据历史回测,每一次指数阶段回调,都是下一波新高的前奏,现在加仓没错的,如果再跌就继续加,毕竟现在的价格和一年前差不多,还怕什么[开心]
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17
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8
编组 21备份 2
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1.91万
躺平指数
·
2025-03-12
爱回收:站在全年业绩扭亏为盈的新起点
熟悉我们的朋友应该都清楚,最近两三年,我们每个财报季都会跟踪覆盖爱回收;即便如此,最新Q4的财报还是有着足够的惊喜。 要点总结: 1,第四季度,爱回收营收实现了25.2%的同比增速,达到48.5亿元,创下公司单季度营收的历史纪录;2024年全年来看,每个季度的收入增速都在24%以上,足以说明这家公司所处的行业仍然是一片有巨大潜力的蓝海,并且他们有足够的能力保持高增速。 2,Q4,公司non-GAAP经营利润为1.3亿元,并汇报创历史新高的GAAP净利润7742万元,同比增长近27倍。值得一提的是,公司首次实现了全年的GAAP经营利润为正,达2897万元;而从公司细分的收入利润数字中可以看到,折旧摊销在不同门类的开支中占比较大,他们的业务盈利能力还是很健康的。 3,我们依然认为,回收行业是一个有长期增长动力的行业,随着国家以旧换新政策普及,消费者会有越来越多的回收和二手产品需求,管理层也预测2025年将实现超越2024年的加速增长。因此,按照公司目前7亿美元出头的总市值,和24年全年163.3亿元收入计算,折合市销率PS为0.35倍,依然处于低估状态。 在中概科技资产被全面重估的大潮里,万物新生(爱回收)并没在第一时间跟进涨势;但在Q4的财报发布之后,相信这种情况会有比较大的改变。归根结底,中国资产被全面低估,越是和消费沾边的就被低估得越狠,基本面足够强劲,完全可以期待一波爆发式修复。 先看数字,这里我们列出从2022年Q2至今所有的单季收入情况。 可以明显发现,无论是同比还是环比,公司的收入增长情况都是相当亮眼的。除了旺季Q4和淡季Q1之外,几乎每一个季度都是保持了不错的同比和环比增长;此外,从2022年Q3开始,公司的同比增速就没有低于20%过,在所有中概股中都算得上顶尖。 和传统的平台模式不太相同,爱回收的收入基本来自自营业务。Q4,公司1P(自营)产品销售收入44.6
爱回收:站在全年业绩扭亏为盈的新起点
# 不要离开投资舒适区!更爱港股or美股?
精彩
HDDK:
广告太多了,一个他一个转转
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6
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2
编组 21备份 2
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2.00万
许亚鑫
·
2025-03-11
美股刚要反弹又迎川普暴击!黄金反弹来了?
我在前文《0225:红2月基本兑现,满仓躺赢的阶段料告一段落!》进行2月份的公开课演讲,已经让技术对视频进行切片上传,以下是最后一部分内容。引发隔夜美股大跳水的导火索,据说是这个——川普在接受福克斯新闻采访的时候表示,拒绝排除(美国)经济陷入衰退的可能性。图片这话可能看起来有点绕,实际上就是他变相的承认在搞川普式的休克疗法。并且川普还说了,这是一个过渡期,美国经济正处于排毒期,可能会有阵痛。毕竟我们正在做一件大事儿,要让财富重返美国,这是一件大事,总需要一点时间。川普在采访中,最有意思的是这一句:“(短期)可能会有一点混乱,我们要做的是建设一个强大的国家。不能真的只看股市,如果你看看中国,他们有100年的视角,而我们是以季度为单位的,我们不能这么做。”啊?社会的阵痛?百年大计?不看股市短期的涨跌?怎么有种川普的策略看起来像是在“摸着中国过河”,正在全面学习中国的路上。那下一步要不要给美股引入一些中长线资金?做耐心资本?(手打狗头保护)懂王啊,你这些词属实有些老套了。我们现在讲的是产业结构升级,新旧动能转换,新质生产力,科学决策,记得多看我们的两会,你的思想还需要与时俱进啊。短短不到两个月的时间,北约散架,盟友跳反,政府裁员,内阁吵架,小弟不服,经济要衰退,美股在崩盘,美元哐哐一顿砸盘,连大饼都给干废了。图片一天天就知道说,你为什么不穿西装啊,你为什么不say thank you呢?这到底是在排毒呢,还是到处放毒呢。难怪华尔街已经在疯传,川普这是故意要引发一场衰退。今夜美股原本可以超跌反弹,结果你非但不停手,还使劲往隔壁邻居甩脸子——再加25%,明天生效!难不成是看到卡尼刚当上总理,局势未稳好拿捏?图片这让人不禁怀疑,川普你不会是提前放空了美股吧?!要我说,现在玩美股的兄弟姐妹们,你们现在是不是特别怀念前任老拜登啊。他虽然不能好好说话,但是他至少是的真好说话。川普现在是一天天
美股刚要反弹又迎川普暴击!黄金反弹来了?
# 期货达人俱乐部
精彩
南宁期货交易员:
特朗普是想搞第三次世界大战,把欧洲跟俄罗斯干,现在日本又想去捅一下俄罗斯屁股。
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6
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3
编组 21备份 2
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1.06万
人生舵手__小琳
·
2025-03-11
东升西落?
海外机构对于国内的科技股依然是比较认可的,比如花旗的: 1.DeepSeek 证明了中国科技处于西方技术前沿(甚至超越),尽管存在出口管制。随后,腾讯发布了Hunyuan(一款 AI视频生成器),阿里巴巴发布了 QwQ-32B(一种大型语言模型,据彭博社 2025年3月6日报道其效率甚至超过 DeepSeek的模型); 2.领D最终拥抱了科技行业,可能意识到在当前地缘政治形势下,能够在 AI领域与美国平等竞争至关重要--而如果私营部门没有施展空间,这几乎是不可能实现的; 3.即便在经历了大幅上涨后,中国科技股相较于全球其他 AI 资产仍然相对便宜; 另外,昨天大摩关于东和西的叙事中也谈到: 1.美国政策的不确定性和地缘政治风险:特朗普政府的关税政策不仅针对中国,还针对其他盟友,导致全球贸易环境恶化。此外,美国的地缘政治政策变得更加内向和民粹主义,增加了经济和市场的不确定性。这些因素严重打击了企业和投资者的信心,导致对美国经济和市场的担忧增加; 2.中国经济的相对稳定性和政策的可靠性:相比之下,中国的政策更加稳定和可预测。尽管中国的刺激政策不温不火,但它们符合市场预期,显示出较高的可靠性。中国的宏观经济政策和金融周期的底部确立,为市场提供了更多的确定性; 也因此,全球投资者开始重新配置资产,增加对中国资产的配置,这种趋势在欧洲和美国的长线资金中尤为明显
东升西落?
# 不要离开投资舒适区!更爱港股or美股?
精彩
Inmoretion:
通过这一段时间来看,a股还是很有韧性的
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3
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1
编组 21备份 2
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8,741
猫爪鱼复利星球
·
2025-03-11
$QQQ 20250318 461.0 PUT$
买点纳指put对冲一下
$QQQ 20250318 461.0 PUT$ 买点纳指put对冲一下
# 晒晒更赚钱
回复
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编组 21备份 2
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7,398
别拿针扎我
·
2025-03-11
$特斯拉(TSLA)$
今晚能打爆空头回到240让我回本么?
$特斯拉(TSLA)$ 今晚能打爆空头回到240让我回本么?
# 晒晒更赚钱
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1
编组 21备份 2
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9,426
流动的时光BXY
·
2025-03-12
$TSLA 20250404 190.0 PUT$
晒一下昨天成交的Put,运气成分多一些。 特斯拉最近麻烦比较多,业绩下滑+政治树敌+高管抛售,短期股价还是不看好。
$TSLA 20250404 190.0 PUT$ 晒一下昨天成交的Put,运气成分多一些。 特斯拉最近麻烦比较多,业绩下滑+政治树敌+高管抛售,短期股价...
# 晒晒更赚钱
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2
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编组 21备份 2
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1.01万
流动的时光BXY
·
2025-03-12
$阿里巴巴(BABA)$
落袋为安,美股最近总让人感觉不太平,回笼资金避一避风头,长期继续看好。
$阿里巴巴(BABA)$ 落袋为安,美股最近总让人感觉不太平,回笼资金避一避风头,长期继续看好。
# 晒晒更赚钱
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1
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编组 21备份 2
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1.46万
罗叔投资
·
2025-03-12
$纳指三倍做空ETF(SQQQ)$
对冲一下风险。虽然长期看好。美股的滚动市盈率还是高,风险不小。 跌成现在还OK,就怕往16000去了。多少人和机构又得爆仓了
$纳指三倍做空ETF(SQQQ)$ 对冲一下风险。虽然长期看好。美股的滚动市盈率还是高,风险不小。 跌成现在还OK,就怕往16000去了。多少人和机构又得爆仓了
# 晒晒更赚钱
精彩
ruan_7128:
9段高手,牛 [强]
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4
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2
编组 21备份 2
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2.81万
新能源Bot
·
2025-03-12
【新能源周榜】2025年第10周新势力车企销量(3.3-3.9)
$特斯拉(TSLA)$
中国销量1.38万辆
$小鹏汽车(XPEV)$
$小鹏汽车-W(09868)$
销量0.85万辆
$理想汽车(LI)$
$理想汽车-W(02015)$
销量0.73万辆
$小米集团-W(01810)$
$小米集团ADR(XIACY)$
小米汽车销量0.62万辆
$零跑汽车(09863)$
销量0.59万辆
$极氪(ZK)$
销量0.31万辆
$赛力斯(601127)$
问界销量0.26万辆
$蔚来(NIO)$
【新能源周榜】2025年第10周新势力车企销量(3.3-3.9)
# 新加坡投资圈
精彩
艳阳高照天:
这分析真是太给力了,太感谢了![强]
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5
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2
编组 21备份 2
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1.45万
读财报话新股
·
2025-03-12
港股逆袭!年内35%涨幅碾压全球,现在还值得追吗?
要说2025年全球二级市场哪里最猛既不是隔壁的阿三和猴子,也不是长牛了十多年的YYDS的美股,而是之前一直被称之为“金融废墟”的港股截至写文,代表港股新兴指数的恒生科技指数,年内涨幅(仅三个月)已经高达35%,这样的涨幅排全球股市第一,傲视全球图片而代表蓝筹的恒生指数,年内涨幅(仅三个月)也有20.8%,排在了全球前列一时间,全球的聚光灯全都放在了港股上媒体、机构、个人博主等,全都在深挖港股上涨的原因:比如AI技术突破、估值低估后的重估、政策红利与监管松动、全球资本的再平衡等等.......总之,现在各方基本都达成了共识,港股将会继续牛下去,尤其是国内AI的技术突破,将引领港股创造新的历史高点但你可曾想过,一年前的港股,也就是去年的今天,恒生指数跌到近十年新低14000点,当时的舆论声音是,中国资产是完全被外资抛弃的弃子、定价争夺权失败、没有活水的一片废墟......更可笑的是,现在唱多港股将会创造新高神话的这波机构、个人等,大部分都是在一年前唱空港股的,基本是同一拨人.....其实这样的事情,这几十年来不断在不同的二级市场重演比如现在开始看空美股的,正是一年唱多美股YYDS的那些人那些在去年国庆期间疯狂说A股大牛市来的人,转而又变脸比翻书还快二级市场,情绪就像钟表上的摆针,大部分的时间,不是在于过度悲观上,就是在过度乐观中,很少有回到“理性”这个中间位置........财哥已经在港股搞了很多年了,经历了2022年恒生科技指数一天跌去20%的历史性时刻,也持仓经历了腾讯跌破200元再重回接近500元的翻倍时光无论港股是过度悲观的“金融废墟”论,还是现在“AI重估逻辑”的光明论,财哥都能做到稳稳的赚钱,在港股还没热起来时候,港股持仓市值也能做到三年翻一番原因无他,主要是始终秉持着理性的投资观,当市场过度悲观或者过度乐观时,财哥不会跟随市场的情绪,而是始终做到客观为主在媒体、机
港股逆袭!年内35%涨幅碾压全球,现在还值得追吗?
# 港股强势上涨!大家看好哪家机会?
精彩
HDDK:
现在即便看好也不敢追,有点高也有点低,怪怪的
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4
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1
编组 21备份 2
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2.32万
谋定后动
·
2025-03-12
【谋早报】现在进港股会接盘吗?(2025年3月12日)
香港资本市场3月流动性呈现"内资主导强化"特征。根据香港金管局数据,当月外汇储备规模环比减少5.1亿美元至4164亿美元,但依然维持在外汇流动性覆盖率125%的安全阈值之上。这种看似矛盾的流动性环境,实则反映出资金属性的深层变革——南向资金单月净买入1410亿港元,创历史次高纪录,而北向资金中被动型外资占比攀升至交易量的37%。政策调控在此过程中发挥关键作用。国家外汇管理局新规要求港股IPO及再融资资金出境需取得"无异议函",导致约68%的中资企业选择将募资净额汇回境内。这种监管套利空间的压缩,客观上促使境内资本通过沪深港通渠道进行跨境配置,形成"监管驱动型内资流动"的特殊现象。 一、资金属性的微观结构证据 从交易行为特征分析,两类资金呈现显著差异。内资集中涌入科技板块,前五大持仓股平均持有量增长23%,其中阿里巴巴港股通持仓占比升至6.3%,操作上呈现典型的"开盘30分钟集中建仓"模式,市价单占比达65%。相比之下,外资交易时段分布更为均衡,限价单占比78%,且价差容忍度中位数维持在0.3%的理性区间。衍生品市场数据提供补充佐证。内资主导的科技股暴涨期间,虚值看涨期权持仓量激增120%,隐含波动率溢价较历史均值高出15个百分点,而外资偏爱的金融板块,其股指期货套保比率稳定在0.6的水平。这种风险偏好差异,揭示出两类资金在投资逻辑上的本质分野。 二、内外资比例测算与动态演变 基于多维度数据交叉验证,2月流动性构成呈现"**格局"。量化模型显示,当月港股市场新增流动性中,内资贡献度约62%,外资占38%。其中内资的94%通过沪深港通渠道注入,主要配置科技(45%)、高股息(32%)板块;外资构成中,被动型ETF资金占58%,对冲基金占29%,而长线主权基金仅占13%。这种结构在时间维度上呈现显著变化。2月首周内外资占比为55:45,至月末演变为68:32,内资主导地位持续强化
【谋早报】现在进港股会接盘吗?(2025年3月12日)
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Inmoretion:
说明现在港股的话还是不要轻易进去,观望一段时间,前期涨幅有点大了
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期权女巫
·
2025-03-12
期权大单丨美股波动加剧,“恐慌指数”VIX期权成交量连日猛增;蔚来看涨情绪持续火热,一Call单壕赚7倍
周二,期权市场总成交量5338.12万张合约,高于90日均量;“恐慌指数”VIX期权成交233.29万张合约,环比前一交易日激增逾56%;蔚来期权量持续攀升,多张于本周五到期的看涨期权翻倍大涨>>一、市场概览 (3月11日)美东时间周二,美股延续跌势,三大指数集体收跌。截至收盘,道琼斯指数跌1.14%,报41433.48点;标普500指数跌0.76%,报5572.07点;纳斯达克指数跌0.18%,报17436.10点。数据来源:老虎国际期权市场总成交量5338.12万张合约,环比前一交易日(6094.41万张合约)有所下降,但仍高于90日均量(5052.96万张合约),其中看涨期权占比54%。数据来源:Market Chameleon二、期权成交总量TOP10数据来源:老虎国际
$标普500波动率指数(VIX)$
隔夜盘中一度涨近6%,触及去年8月以来最高位。多位华尔街策略师齐声警告美股波动性正在上升,摩根士丹利分析师料标普500上半年至多跌5%。VIX期权成交量连日攀升,隔夜成交233.29万张合约,环比前一交易日激增逾56%。其中于3月18日到期的25美元行使价的看涨期权成交居前,成交逾16.5万张。
$VIX 20250318 25.0 CALL$
$苹果(AAPL)$
隔夜跌近3%,两日内累计跌幅近8%,股价创下五个多月来最低点。消息面,
$花旗(C)$
调低了对苹果iPhone销量的预测,原因是原定于四月
期权大单丨美股波动加剧,“恐慌指数”VIX期权成交量连日猛增;蔚来看涨情绪持续火热,一Call单壕赚7倍
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美股投资网
·
2025-03-12
特朗普买Model S要救特斯拉,马斯克承诺美国产能翻倍,特斯拉强势反弹!
周二,美股市场经历了一轮过山车般的行情。 标普500指数在盘初一度反弹,但市场刚刚显露回暖迹象,特朗普便突然宣布将加拿大钢铝关税翻倍至50%,此举是对加拿大安大略省省长Doug Ford对输美电力征收25%附加费的回击。消息一出,美股三大指数全线转跌。 不过不久后,有消息人士称美国尚未正式签署加征加拿大关税的行Z文件,这一表态暂时缓和了市场恐慌情绪,主要股指跌幅有所收窄。然而,大盘整体下行趋势依旧未能扭转,午盘时美股刷新日内低点,标普500指数跌超1.5%,道指跌近1.7%,纳指跌近1.3%。 午后,市场风向再度发生变化。乌方传出消息,表示愿意接受美国提出的30天临时停火提议,美股随即从日低回升。 紧接着,安大略省省长宣布,在与美国商务部长沟通后,决定暂时取消对美25%的附加费。这一举动再次推动市场回暖,投资者开始重新评估风险情绪。 此外,特朗普的高级贸易顾问表示,特朗普不会将加拿大钢铁和铝的关税提高到50%,但此前计划的25%关税仍会生效。在这一连串消息的刺激下,投资者纷纷涌入大型科技股抄底,助推美股全线反弹,标普500指数一度上涨近0.4%。 然而,就在市场即将企稳之际,特朗普在尾盘接受记者采访时的一番表态,再度引发市场震荡。 面对记者关于股市波动的提问,特朗普表示,“抛售和我无关,市场有涨有跌,我们将拥有有史以来最伟大的市场。”此外,他还强调,鸡蛋和汽油价格已经下降,美国经济根本不会衰退,反而将让人“刮目相看”,似乎试图安抚市场情绪。而对于关税问题,特朗普并未给出明确表态,只是表示“可能”不会对加拿大钢铁和铝产品征收双倍关税。 与此同时,白宫新闻秘书卡罗琳·莱维特(Karoline Leavitt)也试图稳定市场预期。她对记者表示,“股市的数据只是某一时刻的快照,今天的数字、昨天的数字,甚至明天的数字,都无法决定经济的整体趋势。”她强调,特朗普Z府正在努力让美国经济摆
特朗普买Model S要救特斯拉,马斯克承诺美国产能翻倍,特斯拉强势反弹!
# 彻底闹掰!“特马对撕”之战,你站哪一边?
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尖沙咀啵嘴:
他俩好的我感觉有一腿
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4.20万
Buy_Sell
·
2025-03-12
🚀【3月12日】昨夜中概普涨,禾赛暴涨逾50%!今天买点啥?
美股收盘 | 道指跌逾1%,特斯拉反弹近4%;中概股普涨,禾赛暴涨逾50%,
$蔚来(NIO.SI)$
涨超17%美东时间周二,美股延续跌势,三大指数集体收跌。截至收盘,道琼斯指数跌1.14%,报41,433.48点;标普500指数跌0.76%,报5,572.07点;纳斯达克指数跌0.18%,报17,436.10点。【热门股表现】科技七巨头多数收涨,
$苹果(AAPL)$
跌2.92%,
$微软(MSFT)$
涨0.08%,
$英伟达(NVDA)$
涨1.66%,
$谷歌(GOOG)$
跌1.10%,
$亚马逊(AMZN)$
涨1.05%,
$Meta Platforms, Inc.(META)$
涨1.29%,
$特斯拉(TSLA)$
反弹3.79%。AI概念股多数涨,
$超微电脑(SMCI)$
涨10.65%,
$AppLovin Corporation(APP)$
涨8.27%,
🚀【3月12日】昨夜中概普涨,禾赛暴涨逾50%!今天买点啥?
# 新加坡投资圈
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khikho:
$Stitch Fix Inc.(SFIX)$ 开始反攻了,哈哈
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1.57万
Leader
·
2025-03-12
$Visa(V)$
$英伟达(NVDA)$
$Visa(V)$
$伯克希尔B(BRK.B)$
$西方石油(OXY)$
💰现金仓已建,能抗能打,8成息股,2成博弈🎰 💰折腾老夫半个月,终于快成型了,差不多就该退隐了[开心] 💲今年美股不好做,川普个大头鬼,还是不成熟,还是要少折腾,胜率大!
$Visa(V)$ $英伟达(NVDA)$ $Visa(V)$ $伯克希尔B(BRK.B)$ $西方石油(OXY)$ 💰现金仓已建,能抗能打,8成息股,2...
# 股市巨震!大家现在是亏了,还是赚了?
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招财进宝.3949:
卧槽,博主这么猛吗,1000张,1000万美金的仓位了,真跌到100止损,基本也是杠杆梭哈了啊 [惊吓] [惊吓]
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投阅笔记
·
2025-03-12
应以何种指标判定美股企稳?
欢迎关注公众号:投阅笔记 最近美股连续下跌,看下具体情况,如下图所示,标普500指数和纳斯达克指数都是从2月20日开启下跌的。截止3月7日,标普500指数-6.09%和纳斯达克指数-9.27%,可以看到跌幅较大。 那么如果来看下K线如下图所示,标普500指数最新点位5770.2,在MA250:5617.91之上,MA250的意思是过去一年股价的平均值,说明了标普500在年线之上;纳斯达克指数最新点位为18196.22,同时可以看到该指数在7日盘中跌破MA250,不过之后回到了其上。 注:MA,即移动平均线,是通过计算一段时间内股价的平均值来形成的线。 说了美股主要指数的k线图,那么用什么指标来判断美股企稳呢? 有朋友留言说说美国的宏观数据,宏观数据对美股影响大。我回答说关于美股的宏观数据我只看美股联邦基准利率,股票现金流贴现的分母就是利率,美联储加息(基准利率上升),那么股票的价值就会下降,特别是对于成长股而言伤害最大,因为成长股的现金流主要是在未来。 关于美股的主要宏观数据有:基准利率、通胀(CPI、PCE)、就业(大小非农)。说到宏观数据,我想起了查理·芒格先生说过的
应以何种指标判定美股企稳?
# 美股再创新高!宏观数据利空,后市如何解读?
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Inmoretion:
昨晚比特币回到了8w,相对应的ai和科技股也跟着涨了,虽然大盘在跌,但确实有企稳的迹象[抱拳]
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1.24万
美股小猫咪2
·
2025-03-12
反弹之日来临!3月11日盘前分析
SPX Image 全球市场震荡,尝试反弹。大多数新闻标题是“华尔街担忧特朗普将破坏软着陆”,一些机构将GDP预期从1.8%下调至1.2%。SPX从6147跌至5564,约跌去9.5%。我已将BOS账户的三分之一资金投入市场。CPI将在明天公布,PPI将在周四公布,振荡指标为-55。观察是否会出现超卖反弹。如果上涨,$5670附近是阻力位,$5711更难突破。感谢社区中的专业交易者,他们在SPX、SPY、QQQ跌破8/21日均线时变得更加谨慎。目前大多数股票都在测试200日均线或低于该水平。新闻称,特朗普总统将购买特斯拉,试图扭转股价从高点下跌超过50%的趋势,也影响了期货市场。看看早盘涨势是否能持续,还是会回落。 SPY Image SPY跌破$565,触及$555.60后小幅反弹。观察早盘反弹是否能持续或回落。似乎反弹可能达到$565或$569。但市场仍处于超卖状态,向下开盘可能更容易。 IWM Image 小盘股没有吸引力,多年来一直承受压力。最新的下跌走势始于2月21日跌破$222附近。昨日触及$198.75的月度低点,可供活跃交易者参考。有些人认为,当美联储决定降息时,该板块的表现会更好。 JPM Image JPM在2月20日发出了退出银行股的信号,当时上升通道跌破并失守8日均线$275。此后一直在抛售,昨日触及200日均线附近的$228.69,作为新的参考点。如果出现超卖反弹,阻力区在$245-$247。 TSLA Image 特斯拉自RDR高点$488以来一直受挫,每次反弹都在8/21日均线遇阻。昨日最低触及$220。几小时前,特朗普总统提及马斯克并表示将购买一辆车,股价从下跌转为上涨。可以将此作为一个小线索,因为SPX期货随之上涨。股价反弹至$233以上后开始回落。特斯拉严重超卖。 META Image META失去了特别地位,就像大多数股票一样,在2月1
反弹之日来临!3月11日盘前分析
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T9.程:
这该怎么办哦[捂脸]
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期权小班长
·
2025-03-12
高波动率行情或将持续2个月
$标普500波动率指数(VIX)$
今天先聊聊波动率指数vix的期权大单,接下来一段行情可能会比较杀人诛心,看波动率指数会比较直观。现在的行情属于见底了,没完全见底。大家不怕抄底,怕的是漫长的筑底过程,耐心耗尽后再来一跌,清的鸟兽散,然后市场拉涨,完成散户清理计划。典型的是中概1月行情。具体来说机构前两天做了VIX的看涨价差roll仓,sell call下限从30提升至35,buy call上限从60提升至75。这样的大单有两组,分别是4月中旬到期和5月中旬到期,也就是说5月中旬前市场行情都不得安生。卖
$VIX 20250416 35.0 CALL$
成交量9.96万手,买
$VIX 20250416 75.0 CALL$
成交量9.96万手。卖
$VIX 20250521 35.0 CALL$
成交量4.98万手,买
$VIX 20250521 75.0 CALL$
成交量4.98万手提高VIX看涨上限的同时,VIX平均水位也在上涨,10号有人买入蝴蝶大单,认为5月中VIX大概率在17~23之间,中值20:买
高波动率行情或将持续2个月
# 期权Q&A:期权知识,你问我答
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📉📉📉","plainContent":"这也太惨了 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