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纳斯达克综合指数
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标普500指数
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1.31万
三市波段笔记
·
2025-07-22
这就是牛马的牛市吗?
最近很忙,因为每个老板都告诉我,中国资产要起来了,这波看到4000点,别再搞美股了,大A和港股才是价值洼地。 是的,最近“洼地”们都起飞了。 从机构埋伏了2年的墨脱水电站,利好落地还能批量拉板。 各个传统行业“反内卷”,从钢铁到煤炭,从大文章到小作文再到大文件,商品挨个拉涨停,商空头赚了大半年的钱,几天亏回去了。 传统上,指数攻击的时候看金融、科技、成长。指数防御的时候看中字头、基建、煤炭、钢铁之类。这次因为事件驱动,有点不一样。科技、成长向反倒成了被吸血的。 散户们都懵了,我去机器人,他拉创新药;我去创新药,他拉稳定币;我去稳定币,他拉AI算力,我去AI算力,他拉反内卷,我去反内卷,他拉中字头... 这牛市难道是牛马的牛? 不止是A股,全球市场都洋溢着FOMO的恐慌和焦虑。 昨夜在大多数中小科技股大跌的情况下,大型科技股多数走高并推动纳指上涨,
$谷歌A(GOOGL)$
、
$亚马逊(AMZN)$
、
$Meta Platforms, Inc.(META)$
表现良好。 但是随便翻开几个最近强势的美股,走势基本都是这样的: 图片 图片 图片 要么是拉高跳水,要么是直接跳水。美股盘面已经出现了明显的亏钱效应。 从估值来看,以标普500为参考指标截止昨日收盘标普500 1Y PE 22.37处于估值上区间,离最近一年估值几次高点的空间如下: 图片 从增长角度:Q2 财报后按目前一致指引,12个月前瞻EPS从现在的281.06上升到291.24, 假设点位不变,对应估值为 21.65。 图片 就算按照2月最高估值22.5进行估算,标普500
这就是牛马的牛市吗?
# 特斯拉财报公布!股价能否企稳?
精彩
Inmoretion:
大A马上都要到3600了,在A股亏的钱都还没回来[捂脸]
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美股解毒师
·
2025-07-22
GOOG连涨两周:会像NFLX一样“卖事实”吗?
——广告韧性犹在,AI转型迎考,监管阴影未散7月23日,
$谷歌(GOOG)$
将公布Q2财报。市场普遍预期其搜索广告和YouTube业务将延续稳健增长,同时云计算保持中高速扩张,市场大多看好其基本面稳健。然在8月欧盟反垄断裁决临近之际,谷歌面临的不确定性也不容忽视。广告复苏确定性增强,搜索与YouTube成核心支柱。
$谷歌A(GOOGL)$
广告依然是谷歌现金流的压舱石。预计Q2广告总收入达$70.2B(同比+9%),其中搜索广告$53.2B(同比+10%),超市场预期约1%。尽管季环比持平,但较低基数影响下数据依然稳健。YouTube则在流媒体市场持续攻城略地,其在美TV流媒体市占率已达12.8%,首次超越Netflix等传统霸主。YouTube Shorts的货币化能力已有明显改善,预计Q2广告表现将“略高于市场共识”,并指出5-6月广告预算有结构性回升,电商、旅游与医药成为亮点。云业务持续扩张,但GPU瓶颈仍是扰动因子谷歌云(Google Cloud)仍是中长期增长引擎之一。预计Q2云收入将达到$13.1B(同比+27%),与近几年季节性表现一致,略低($12.7B)。GPU供给瓶颈或将使下半年云增长呈现波动。在生成式AI推理需求上升的背景下,云服务的资本支出加速仍是趋势。谷歌在Q2继续推进数据中心扩建,2026年Capex预期从$70B上修至$75B以上。GenAI 搜索用户增长迅猛,商业变现仍在早期谷歌的Gemini与AI Overviews在用户端的接受度持续提升。调查发现,80%的美国用户已试用GenAI搜索产品,69%每周活跃使用。尤其在商业意图搜索场景下(如“买产品”、“订机票”),谷歌仍保持
GOOG连涨两周:会像NFLX一样“卖事实”吗?
# 谷歌云年度大会来袭!现在该如何布局?
精彩
电子乔斯达:
AI商业化还需时日,谨慎操作吧
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2.00万
美股解毒师
·
2025-07-22
科技周评:市场正在狠狠惩罚“空仓者”
从
$Meta Platforms, Inc.(META)$
加码到
$谷歌A(GOOGL)$
反弹,2025年AI行情再观察。尽管市场估值偏高,季节性不利因素临近,但AI领域的基础投资和结构性趋势仍在加速推进。Meta公布了多个千兆瓦级别的AI计算集群计划,如“Prometheus”(1GW)和“Hyperion”(目标5GW),不仅体现出其在AI领域的战略决心,更被市场视为向NVIDIA等芯片厂商发出“数百亿美元订单信号”。结合Oracle在德国的新投资和CRWV在宾州的大规模AI电力投入,算力即基础设施的逻辑正在变得越来越主流,而这些趋势正是NVDA等硬件供应商中长期估值重估的重要支撑。另一方面,虽然硬件端迎来利好,但市场也逐步意识到传统半导体板块面临短期回调压力。一方面,8月与9月为半导体板块的传统弱势期,SOX指数的历史表现显示这段时间容易出现波动。另一方面,美国232关税政策将在8月1日实施,尽管当前仅针对约450亿美元的原始芯片进口,但Bernstein指出若改为“组件级关税”,则可能对全球供应链造成更深远影响。因此,虽然长期逻辑未变,但短期内半导体股可能面临波动加剧的现实,投资者需要在趋势与节奏之间找到平衡。软件行业方面,市场在5月重新聚焦AI基础设施相关的软件公司,重点押注
$微软(MSFT)$
、
$Snowflake(SNOW)$
、
$Palantir Techn
科技周评:市场正在狠狠惩罚“空仓者”
# .SPX 四月大涨10%!五月你的操作策略是?
精彩
南方之王北上:
市场情绪复杂,短期波动确实要做好心理准备
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1.04万
期市猎手
·
2025-07-22
特朗普与鲍威尔的较量:美元波动与全球市场展望
文章来源:CME回顾上周,由于特朗普再次批评鲍威尔不愿加息,美元周内急速下挫破周一低点,但随后快速收复跌幅,最终周五小幅回落后仍以阳线收涨。展望本周,经济事件上值得关注的事项较多。首先为各国贸易谈判,尤其是日本和欧盟;欧洲央行将公布利率决议,英国央行行长贝利将在英国议会下院财政委员会,就英国央行半年度金融稳定报告发表讲话,澳洲联储公布会议纪要也将公布。 1. 全球外汇焦点回顾与基本面摘要通胀数据涨幅温和鲍威尔发言鸽派 市场推迟美联储降息预期周二公布数据显示,美国6月消费者价格指数(CPI)上涨但涨幅较为温和。周三公布的生产者价格(PPI)也显示6月价格涨幅稳定。鲍威尔表示,预计今年夏天通胀将因特朗普关税政策而上升。其言论推迟了人们对美联储降息节点的预期。与此同时,特朗普继续批评鲍威尔不愿降息,周三有报道称特朗普计划解雇鲍威尔,美元应声下跌,但在特朗普否认该报道后反弹收复跌幅。美欧关税风波不确定性高企 欧洲央行议息会议或按兵不动距特朗普8月1日对欧盟进口商品加征30%关税仅剩不到两周,欧盟正努力争取达成贸易协议。欧盟谈判策略的一个关键要素是提议对汽车实施对等关税削减。即降低对美国汽车出口10%的关税,但需特朗普将对欧洲汽车关税降至20%以下。同时本周欧洲央行将公布政策会议,市场目前预期将维持利率不变,但9月可能再次降息,关税的经济影响及美欧贸易谈判的结果届时也将更明朗。美元兑日元再度收涨 短期基本面或继续施压日元美元兑日元延续上行周线收涨约1%,支撑因素较为复杂。首先,是日本政策不确定性。上周日的参议院选举,民调显示自民党-公明党执政联盟可能失去参议院多数席位,该预期提高了财政支出和减税预期,导致日本公债收益率上升,对日元构成压力;其次,是美日关税,日本与美国的贸易谈判僵局加剧了日元的弱势,汽车和农业关税等敏感问题阻碍了双方达成协议;最后是美元受经济数据和美联储预期
特朗普与鲍威尔的较量:美元波动与全球市场展望
# 期货达人俱乐部
精彩
兰博基尼比基尼:
特朗普和鲍威尔之间的拉锯战真让人头疼,局势太复杂了
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2
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1.80万
话题虎
·
2025-07-22
“82块,不成功便成仁”!OPEN,会是下一个GME吗?
错了过
$游戏驿站(GME)$
,这次不能放过
$Opendoor Technologies Inc(OPEN)$
🔥🔥🔥新一代“带头大哥”,对冲基金EMJ Capital的基金经理Eric Jackson,起因是他在X平台疯狂喊单,引爆Reddit、Stocktwits社区散户情绪高涨,跟风买入。本周一
$Opendoor Technologies Inc(OPEN)$
成交量爆炸,成交近19亿股,空头仓位高达24%,同时周一成交了340万份期权合约,比上周五的纪录还多两倍,一半以上押注本周短期暴涨。社媒爆发、空头盯上、期权狂热,嗅到了一丝丝21年GME的味道~不过要想实现当年GME“史诗级逼空”行情,OPEN目前还是很难的——首先OPEN的流通股是GME的13倍,不太容易拉动,其次空头更为分散,另外缺乏叙事逻辑,GME当年还有“电商转型”支撑,而且现在虽然散户体量大,但相较GME,还是小巫见大巫了(GME当年在Reddit上的日级别发帖量7w+,目前OPEN只有2k+)所以现在距离“史诗级逼空”,OPEN还需要做到三件事:空头得更痛、声量要更炸、市场要更疯。(现在倒是看到“世界级赌徒”韩国人进场了[抠鼻])在
$Opendoor Technologies Inc(OPEN)$
实现六日连涨(累计上涨312%)之后,22日“带头大哥”再次重申看至82美元的决心——82 bucks, ride or die!(82美元,不成功便成仁!)[吃瓜]接下来,需要关注的
“82块,不成功便成仁”!OPEN,会是下一个GME吗?
# 【Meme】BYND三天六倍!该空or继续多?
精彩
夜流沙:
这个适合买期权博一博,关键是空头借的够不够多,如果能有80%以上,那轧空的涨幅空间就会很大[财迷]
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9
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3
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1.27万
美股投资网
·
2025-07-22
美股这一板块强到离谱!5000亿“星际之门”受阻!AI之战提前内卷?
周一美股走势分化,但整体延续强势格局。纳指上涨0.4%,录得连续第六个交易日创收盘新高;标普500上涨逾0.1%,历史上首次站上6300点关口;道指则尾盘回落,小幅收跌。图片随着第二季度财报季步入高潮,市场情绪正处于“高估值与兑现预期”的临界点。尤其是“七巨头”中两家核心企业——谷歌与特斯拉将于本周三盘后公布财报,其业绩表现将直接影响整个成长股板块的估值稳固程度。近期市场上涨动力主要来自对AI相关收入增长的高度预期,但也带来了科技泡沫再现的担忧。分析人士指出,如果本轮财报难以支撑高估值结构,短线调整的压力或将放大。与此同时,特朗普Z府推进的“8月关税措施”也成为短期不确定性的重要来源。上周末,商务部长卢特尼克重申新关税的最后实施期限为8月1日,明确表态不会做出延迟处理。财政部长贝森特亦表示,Z府的优先事项是达成“高质量”的贸易协议,而非妥协性的快速谈判。美股投资网机会7月18日上周五,我们在视频中明确表示,看好一家AI基础设施公司——
$NEBIUS(NBIS)$
,并详细介绍了其技术布局与成长逻辑。今天周一,NBIS盘中大涨8.61%,是不是大家看了我们视频认同我们的观点,认可我们的研究报告。图片早在去年12月,我们便已在28美元率先布局NBIS。截至目前已经成功翻了2倍。上周文章中,我们也公开透露给粉丝们 ABCL 我们持有抗体药物公司 ABCL ,今天再次狂飙近29%,图片在6月10日、当股价还只有2.90美元时,就已经明确提示入手。截至今日,累计浮盈已达99%。与此同时,我们长期跟踪的人类抗衰老第一股 - 基因编辑龙头
$CRISPR Therapeutics AG
美股这一板块强到离谱!5000亿“星际之门”受阻!AI之战提前内卷?
精彩
家有猛犬:
真是太棒了,AI基础设施赛道太吸引人了 [强]
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2
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1.36万
芯潮
·
2025-07-22
股价大涨,业绩却依旧疲软,汽车芯片巨头难言乐观!
昨日,美股盘后,汽车芯片巨头恩智浦公布二季报,喜忧参半:受此影响,恩智浦盘后股价跌超5.5%:
$恩智浦(NXPI)$
在本次财报披露前,美股指数屡创新高,半导体更是领头羊,英伟达、博通、台积电等AI芯片股出尽了风头,费城半导体指数也来到了历史最高点附近。
$费城半导体指数(SOX)$
牛市情绪也蔓延至恩智浦等汽车芯片股,相比4月时低点,恩智浦涨超54%,大有王者归来的气息。然而,从二季报及业绩指引来看,恩智浦的财务数据给乐观的投资者泼了盆冷水。具体来看,恩智浦二季度营收达到29.3亿美元,超过管理层给出的29亿指引中值,略高于分析师预期的29.02亿,同比下滑6.4%,下滑幅度较此前两个季度有所收窄:分业务看,汽车芯片二季度营收17.3亿,微增0.1%,摆脱了此前连续5个季度下滑的局面;但其他业务表现不佳,其中,工业和物联网业务营收5.5亿,同比下滑11.4%;移动业务营收3.3亿,同比下滑4%;通信及其他业务营收3.2亿,同比下滑27%:盈利能力方面,恩智浦二季度毛利率53.4%,调整后为56.5%,略高于分析师预测的56.3%:从二季度营收及毛利率来看,恩智浦悉数超预期,但幅度不大,尤其是相比近期50%以上的股价表现。而从公司三季度指引来看,总收入预计在30.5-32.5亿,中位数同比下滑3.1%,虽然中值高于分析师预测的30.7亿,但依然处于下降通道,复苏进度令人难言乐观。对于三季度毛利率,管理层给出的指引是55.4%-56.5%,调整后毛利率中值为57%,略高于分析师预期的56.9%。从二季度业绩及三季度指引来看,恩智浦虽然整体收入还处于下降中,但确实各项指标都高于预期,因此,盘后超过5.5%的下跌,更像是
股价大涨,业绩却依旧疲软,汽车芯片巨头难言乐观!
# 直击业绩会
精彩
说你逗你还真逗00:
恩智浦的前景确实不乐观,竞争太激烈了
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一博资本
·
2025-07-22
稀土行业周期历史复盘:供需博弈二十年,REMX走势藏玄机
战略资源的价格起伏,折射大国工业的变迁轨迹 稀土,这一被誉为“工业维生素”的战略资源,其价格波动犹如一面镜子,映照着全球产业变迁与大国博弈的轨迹。从2011年的首次暴涨到2024年的供需格局重塑,稀土行业走过了一条从无序开采到有序管控、从供给主导到需求驱动的演变之路。 一、战略资源的三轮周期:从政策驱动到需求引领 回溯稀土行业二十年发展历程,三大价格周期清晰可见,背后驱动逻辑已悄然转变: * 2010-2011年:供给收缩引发的价格狂飙 2010年10月至2011年7月,中国对稀土黑色产业链的打击和出口配额制度实施,叠加全球经济复苏需求,推动氧化镨钕价格从21.45万元/吨飙升至124.9万元/吨,涨幅482%;氧化镝价格更从139.25万元/吨跃升至1379.25万元/吨,涨幅高达890%。这轮行情纯粹由 供给端政策主导。 * 2017年:政策脉冲后的昙花一现 2017年1-5月的收储和打击黑稀土行动虽推动价格短期回升,但因缺乏持续需求支撑,行情仅维持4个月便快速回落。这印证了脱离需求的政策干预难以持续。 * 2020-2022年:需求驱动的超级周期 2020年3月启动的这轮行情中,氧化镨钕价格从26.8万元/吨涨至111万元/吨,涨幅314%,时间跨度近2年。新能源汽车成为核心驱动力,磁材在新能源汽车电机中的用量激增,使稀土需求结构发生质变——新能源汽车在钕铁硼需求中的占比从2018年的13%跃升至2023年的42%。 二、2022-2024:供需错位下的深度调整 当市场还在期待稀土价格再创新高时,转折悄然而至。2022年初起,稀土价格开启长达两年的下行通道: * 供给端“双管齐下”:2022/2023年轻稀土矿配额增速分别达28%/21%,两年实际增量超8万吨。同时缅甸矿进口在2023年暴增235%,达4.6万吨REO。 * 需求端“青黄不接”:2022年2月新能源汽
稀土行业周期历史复盘:供需博弈二十年,REMX走势藏玄机
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11永远睡不醒:
稀土市场真是波涛汹涌,关键得看新需求
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许亚鑫
·
2025-07-21
欧美关税担忧加剧,金价重返3400!
上周,特朗普“解雇鲍威尔”闹剧迎闪电转折。盘中传出川普已起草解雇鲍威尔的信件,并曾向共和党高层征求过意见,直接推动金价走高,随后川普突然改口否认,无意解雇鲍威尔,只是在“概念上”与议员们讨论了这件事,金价再次回落。再次印证了那句,一顿操作猛如虎,涨跌全靠特朗普。对此,美国财长贝森特向特朗普表示,鉴于当前经济运行良好,且市场对特朗普的政策反应积极,罢免鲍威尔并无必要。他同时提醒特朗普,美联储官员已发出信号,可能在年底前降息两次,这本身就在朝着特朗普期望的方向发展。图片贝森特还告诉特朗普,即便总统强行解雇鲍威尔,鲍威尔也可能提起诉讼,而这场官司可能会拖到明年春天——届时鲍威尔的任期本就将结束。除了眼前的障碍,贝森特还告诉总统,其实他已经走在塑造美联储的道路上了。美联储理事阿德里安娜·库格勒的任期将于明年1月结束,而鲍威尔的主席任期将在5月结束。届时,特朗普将可以填补一到两个职位空缺。当然,推动今天金价上行的核心因素,还是与欧美的关税有关。7月7日,美国总统特朗普签署行政命令,延长所谓“对等关税”暂缓期,将实施时间从7月9日推迟到8月1日。7月20日,美国商务部长卢特尼克重申,8月1日是“硬性”最后期限,届时欧盟若无法达成新贸易协议,将面临至少30%的关税。据报道,在得知美国向欧盟施压接受15%或更高的基准关税且不会减轻汽车行业负担后,德国的立场由协议转向反制,欧盟准备全面反击。欧盟委员会已准备采取可能是有史以来最强硬的贸易反制措施,远超常规的关税反击。欧盟已经针对价值超过1000亿美元的美国出口产品准备了两套关税方案。虽然这些措施尚未生效,但第二套方案仍需成员国正式签字,但如有需要,两套方案都可以迅速启动。除了关税担忧以外,国内因史诗级工程而掀起的大基建涨停潮也为金价带来正面的支持。-END-
$NQ
欧美关税担忧加剧,金价重返3400!
# 期货达人俱乐部
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五撇须:
特朗普对欧盟的关税言论是周末的事,今天黄金并没有高开,而且要是关税发酵的因素各大股指应该会回落才对,然而大盘是涨的,今天黄金大涨是美元指数大跌的因素比较合理
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会飞的小虎
·
2025-07-22
$CAT.HK 20250730 410.00 CALL$
学习并实践,知识+策略+心态+市场,终于有点明白期权了。也明白期权大佬周俊说的,期权是穷人的希望。今年赚了些,又亏到2000多元(永远不要忘记小米腾讯的教训,期权不要考虑摊薄成本,遇到问题及时调整策略,同样的错误犯了三次),再慢慢回升。
$CAT.HK 20250730 410.00 CALL$ 学习并实践,知识+策略+心态+市场,终于有点明白期权了。也明白期权大佬周俊说的,期权是穷人的希...
# 晒晒更赚钱
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Option_Lab:
太厉害啦,期权确实不像买股票一样直观,而是有多个相互作用的维度一起影响盈亏。推荐这本《期权通关手册》,可以系统学习期权知识,虎币商城就能兑换[举爪]
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Richvip
·
2025-07-21
$HOOD 20250801 120.0 CALL$
罗宾汉上涨压力增大,短期如果没有重大利好的话,横盘的概率非常大!
$HOOD 20250801 120.0 CALL$ 罗宾汉上涨压力增大,短期如果没有重大利好的话,横盘的概率非常大!
# 晒晒更赚钱
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Option_Lab:
横盘对做空Call有利,看了这本书,终于能理解为什么了[强]
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美港股观察社
·
2025-07-21
入选标普500暴涨10%!Block的“10亿比特币储备”为何撑不起增长?
Block公司是首批将比特币交易纳入业务的上市金融科技公司之一,但有外国分析师认为,随着美国政府开始批准加密货币相关立法,该公司的加密货币业务并未产生任何实质性利润。因意外入选标普500指数,其股价大幅上涨,但这使得持有Block的价值变得有限。 作者:StoneFox Capital 有限的加密货币催化剂 几年前,Block的股价会因比特币交易收入而大幅波动。仅在2025年第一季度,这家金融科技公司就实现了23亿美元的比特币交易收入,但同时也产生了几乎相当的22.4亿美元交易成本。 来源:Block Block自2018年起就提供比特币交易服务,但始终停留在主要加密货币的简单交易层面。而Coinbase已发展成为一个完整的平台,提供多种加密货币交易以及稳定币服务,市值超过1000亿美元,是Block的两倍多。 特朗普总统刚刚批准了《天才法案》,旨在监管稳定币。目前该市场由Coinbase等少数几家公司主导,Block则完全缺席。 具有讽刺意味的是,联合创始人杰克·多尔西曾是比特币的早期支持者之一。按照当前11.8万美元的价格计算,Block持有8584枚比特币,价值超过10亿美元,而其成本基础仅为2.61亿美元。 不幸的是,Block一直局限于曾经具有创新性的Cash App,并进军“先买后付”(BNPL)服务领域。但这两项业务都无法再提供加密货币带来的增长动力。 该公司计划在今年下半年开始在Square平台推出比特币支付功能,到2026年大多数卖家都将具备使用资格。此外,公司正通过Proto项目开发比特币挖矿芯片和系统,并计划在下半年推出相关业务,但这家金融科技公司在加密货币交易这一固有机会之外的进展并不显著。 2025年第一季度,Block的毛利润仅增长9%,达到22.9亿美元。需要再次说明的是,由于该金融科技公司存在大量交易成本,其毛利润更像是一个净收入数字。 无论
入选标普500暴涨10%!Block的“10亿比特币储备”为何撑不起增长?
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灌饼高手00:
加密业务萎缩,没啥看点了吧?
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Richvip
·
2025-07-21
$众安在线(06060)$
众安在线今日主力资金(超大单+大单)净流出4738.9万元,上一交易日主力净流入4.4亿元。下跌1.12%,换手率达到4.9%。说明部分资金对目前位置比较谨慎,也产生了分歧。小散户可以逢高逐步减仓,落袋为安!
$众安在线(06060)$ 众安在线今日主力资金(超大单+大单)净流出4738.9万元,上一交易日主力净流入4.4亿元。下跌1.12%,换手率达到4.9%...
# 晒晒更赚钱
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守的云开见日月:
这分析真有深度,感谢你的分享 [强]
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投阅笔记
·
2025-07-22
重仓英伟达斩获80倍,顶级机构Scottish Mortgage的超前眼光从何而来?
$英伟达(NVDA)$
如上图所示,Scottish Mortgage在2015年3月31日到2025年3月31日期间在英伟达上赚取了80倍的收益,那么在他们持有过程中关于英伟达的投资逻辑是怎么样的呢? 注:在全球成长投资的舞台上,英国老牌资产管理公司Scottish Mortgage Investment Trust是一个传奇,这家成立于1909年、本部在爱丁堡的机构,在前任传奇基金经理詹姆斯·安德森(James Anderson)领导下,曾精准捕捉到特斯拉、亚马逊、腾讯、阿里巴巴、字节跳动等超级成长股,成为全球少数敢于长期押注颠覆性创新的投资巨头。 2016年首次买入及投资逻辑 这些网络业务似乎已达到一个关键的转折点,其绝对主导地位和规模正成为一种自我强化的竞争优势。这源于机器学习和人工智能(AI)领域的进展。全球连接水平的提升,得益于移动互联网、社交媒体和智能设备等相对较新的基础设施的结合,导致数据的爆炸式增长。数据量之大已超出人类能够整理的范围,必须借助机器学习和AI进行处理。该领域的领导者需要访问由最大网络产生的最佳数据集。百度、Alphabet和Facebook在这一领域处于领先地位并非偶然。特别是机器学习是一个迭代且加速的过程,这意味着追赶领先者将变得越来越困难。那些成功者将能够基于这项技术为客户提供更好的服务。因此,管理者已出售了他们认为将在下一轮竞争中落败的第二梯队网络业务,如Twitter和LinkedIn。相比之下,管理者最近投资了一家名为NVIDIA(英伟达)的公司,该公司设计图形处理单元(GPU)。该公司是GPU的主要供应商,目前其主要市场是计算机游戏行业。然而,GPU的处理架构比传统计算中使用的中央处理单元(CPU)更适合支持虚拟现实、增强现实、人工智能
重仓英伟达斩获80倍,顶级机构Scottish Mortgage的超前眼光从何而来?
精彩
唱跳打篮球:
牛逼啊,Scottish Mortgage真是不摆了的投资眼光[强]
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HokieChan
·
2025-07-21
$ACHR 20260116 10.0 CALL$
ACHR-CALL:已经平仓50%头寸锁定一半利润,剩余头寸让子弹再飞一会[财迷]
$ACHR 20260116 10.0 CALL$ ACHR-CALL:已经平仓50%头寸锁定一半利润,剩余头寸让子弹再飞一会[财迷]
# 晒晒更赚钱
精彩
Option_Lab:
做多Call的平仓时机确实要精准把握,厉害[强]推荐这本书,Buy Call的注意事项都整理好啦
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北京大卷卷儿
·
2025-07-21
看多百度集团-SW(09888)的核心逻辑如下: 机构评级与目标价:多家机构给予“买入”评级,瑞银、中信等预测2025年云业务增速18%-20%,目标价均值超100港元,最高160港元。 AI业务增长潜力:文心大模型日均调用量达16.5亿次,AI驱动搜索体验优化,推动广告业务结构升级。 云业务持续强劲:智能云2024年Q4营收同比增长26%,GenAI和基础模型需求激增,非GAAP运营利润保持正值。 自动驾驶进展:Apollo Go累计服务超1100万次,覆盖15个城市,国际扩张加速。 技术赋能生态:千帆平台升级促进AI应用开发,无代码工具降低开发门槛。 风险提示:宏观经济波动、AI应用效果不及预期等。
看多百度集团-SW(09888)的核心逻辑如下: 机构评级与目标价:多家机构给予“买入”评级,瑞银、中信等预测2025年云业务增速18%-20%,目标价均...
# 晒晒更赚钱
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扒拉算盘珠子:
机构看好,云业务潜力大,可以布局长期持有
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菜就要多练虎
·
2025-07-21
$Upexi, Inc.(UPXI)$
牛的,今晚继续减了一点,再留一点持有吧。后面可能有回调的话,还能再继续加仓,还是看好
$Upexi, Inc.(UPXI)$ 牛的,今晚继续减了一点,再留一点持有吧。后面可能有回调的话,还能再继续加仓,还是看好
# 晒晒更赚钱
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贝克汉姆零距离:
稳,减仓保底风险不错
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A.mi
·
2025-07-21
$Opendoor Technologies Inc(OPEN)$
逼空空头,下一个游戏驿站,散户永远战胜空头
$Opendoor Technologies Inc(OPEN)$ 逼空空头,下一个游戏驿站,散户永远战胜空头
# 晒晒更赚钱
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养生枸杞哥:
太牛了,这个预判真是太赞了 [强] 继续加油,期待你的后续分析
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Sacred Rabbit
·
2025-07-22
$京东(JD)$
虽然你比较恶心,但是在昨天我全部清仓了阿里,美团,唯独留着你只是减仓,明白我有多爱你了吧[捂脸]
$京东(JD)$ 虽然你比较恶心,但是在昨天我全部清仓了阿里,美团,唯独留着你只是减仓,明白我有多爱你了吧[捂脸]
# 晒晒更赚钱
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哈里吨冲击:
留着京东是多大的信仰啊
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格雷期权
·
2025-07-22
【期权策略拆解】Covered Call 不是稳赚不赔的保险箱,它也有隐藏的“陷阱”!
很多刚接触期权的投资者,都会被一句话所吸引: “Covered Call 是最简单、最安全的策略,用股票来收权利金,稳赚!” 听起来是不是很香? ✅ 有股票在手 ✅ 卖 Call 收租金 ✅ 风险还有限 ✅ 被行权也不怕,反正你本来也想卖股票 但你可能没意识到,这项看似“保守稳健”的策略,其实也藏着不少陷阱。 今天我们就来拆开这个保险箱的盖子,看看 Covered Call 到底有哪些被忽视的“危险”。 一、Covered Call 真的是低风险吗?其实是“有限盈利 + 无限机会成本” 我们来回顾一下它的结构: 你持有 100 股某只股票(比如 AAPL) 同时你卖出一个近月 Call(比如执行价 $200),收取权利金 那问题来了: ⚠️ 1. 如果股价暴涨,你的收益被“盖住”了! 比如: 你持有 AAPL $180,卖出 $200 Call 收 $2 权利金 如果财报炸裂,AAPL 一口气涨到 $220? 你只能以 $200 被行权卖出 → 放弃了 $20/股的涨幅! 📉 你用几块钱的权利金,牺牲了几十块钱的上涨空间 ⚠️ 2. 如果股价暴跌,你也没保护! 很多人误以为卖 Call 收权利金可以“缓冲下跌”。 但实情是: 你股票跌了 $15,权利金收了 $2 你的净亏损还是 $13! 📉 Covered Call 并不能像 Protective Put 那样提供保护 ⚠️ 3. 很多人在“不该做”的时候卖了 Call 比如: 财报前、股价蓄势待发的时候你卖了 Call 股价还没涨,Call 的 IV(隐含波动率)先涨 → 你卖得便宜,吃亏 真涨了又被行权,只能含泪看着股票飞走 很多“教科书式”的 Covered Call 是不考虑实际市场节奏的。 二、Covered Call 的最大问题:它是一个“削顶部、留底部”的结构 用个比喻: 它就像你把房子出租出去,每月收几百块
【期权策略拆解】Covered Call 不是稳赚不赔的保险箱,它也有隐藏的“陷阱”!
# 聊聊我的期权交易心得
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作者:StoneFox Capital 有限的加密货币催化剂 几年前,Block的股价会因比特币交易收入而大幅波动。仅在2025年第一季度,这家金融科技公司就实现了23亿美元的比特币交易收入,但同时也产生了几乎相当的22.4亿美元交易成本。 来源:Block Block自2018年起就提供比特币交易服务,但始终停留在主要加密货币的简单交易层面。而Coinbase已发展成为一个完整的平台,提供多种加密货币交易以及稳定币服务,市值超过1000亿美元,是Block的两倍多。 特朗普总统刚刚批准了《天才法案》,旨在监管稳定币。目前该市场由Coinbase等少数几家公司主导,Block则完全缺席。 具有讽刺意味的是,联合创始人杰克·多尔西曾是比特币的早期支持者之一。按照当前11.8万美元的价格计算,Block持有8584枚比特币,价值超过10亿美元,而其成本基础仅为2.61亿美元。 不幸的是,Block一直局限于曾经具有创新性的Cash App,并进军“先买后付”(BNPL)服务领域。但这两项业务都无法再提供加密货币带来的增长动力。 该公司计划在今年下半年开始在Square平台推出比特币支付功能,到2026年大多数卖家都将具备使用资格。此外,公司正通过Proto项目开发比特币挖矿芯片和系统,并计划在下半年推出相关业务,但这家金融科技公司在加密货币交易这一固有机会之外的进展并不显著。 2025年第一季度,Block的毛利润仅增长9%,达到22.9亿美元。需要再次说明的是,由于该金融科技公司存在大量交易成本,其毛利润更像是一个净收入数字。 无论","plainDigest":"Block公司是首批将比特币交易纳入业务的上市金融科技公司之一,但有外国分析师认为,随着美国政府开始批准加密货币相关立法,该公司的加密货币业务并未产生任何实质性利润。因意外入选标普500指数,其股价大幅上涨,但这使得持有Block的价值变得有限。 作者:StoneFox Capital 有限的加密货币催化剂 几年前,Block的股价会因比特币交易收入而大幅波动。仅在2025年第一季度,这家金融科技公司就实现了23亿美元的比特币交易收入,但同时也产生了几乎相当的22.4亿美元交易成本。 来源:Block Block自2018年起就提供比特币交易服务,但始终停留在主要加密货币的简单交易层面。而Coinbase已发展成为一个完整的平台,提供多种加密货币交易以及稳定币服务,市值超过1000亿美元,是Block的两倍多。 特朗普总统刚刚批准了《天才法案》,旨在监管稳定币。目前该市场由Coinbase等少数几家公司主导,Block则完全缺席。 具有讽刺意味的是,联合创始人杰克·多尔西曾是比特币的早期支持者之一。按照当前11.8万美元的价格计算,Block持有8584枚比特币,价值超过10亿美元,而其成本基础仅为2.61亿美元。 不幸的是,Block一直局限于曾经具有创新性的Cash App,并进军“先买后付”(BNPL)服务领域。但这两项业务都无法再提供加密货币带来的增长动力。 该公司计划在今年下半年开始在Square平台推出比特币支付功能,到2026年大多数卖家都将具备使用资格。此外,公司正通过Proto项目开发比特币挖矿芯片和系统,并计划在下半年推出相关业务,但这家金融科技公司在加密货币交易这一固有机会之外的进展并不显著。 2025年第一季度,Block的毛利润仅增长9%,达到22.9亿美元。需要再次说明的是,由于该金融科技公司存在大量交易成本,其毛利润更像是一个净收入数字。 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href=\"https://laohu8.com/S/06060\">$众安在线(06060)$</a> 众安在线今日主力资金(超大单+大单)净流出4738.9万元,上一交易日主力净流入4.4亿元。下跌1.12%,换手率达到4.9%。说明部分资金对目前位置比较谨慎,也产生了分歧。小散户可以逢高逐步减仓,落袋为安!","plainDigest":"$众安在线(06060)$ 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[强]","plainContent":"这分析真有深度,感谢你的分享 [强]","likeCount":0,"commentType":"valid","coins":0},{"id":"459282100199784","author":{"authorId":"4193377325563260","idStr":"4193377325563260","name":"人生舵手__小琳","avatar":"https://static.tigerbbs.com/b52249a7a6bb3ccf0a38ce77c8fb416d","userType":2,"introduction":"00后在读研究生 √ 情绪面反脆弱 √ 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Mortgage的超前眼光从何而来?","digest":"<a href=\"https://laohu8.com/S/NVDA\">$英伟达(NVDA)$</a> 如上图所示,Scottish Mortgage在2015年3月31日到2025年3月31日期间在英伟达上赚取了80倍的收益,那么在他们持有过程中关于英伟达的投资逻辑是怎么样的呢? 注:在全球成长投资的舞台上,英国老牌资产管理公司Scottish Mortgage Investment Trust是一个传奇,这家成立于1909年、本部在爱丁堡的机构,在前任传奇基金经理詹姆斯·安德森(James Anderson)领导下,曾精准捕捉到特斯拉、亚马逊、腾讯、阿里巴巴、字节跳动等超级成长股,成为全球少数敢于长期押注颠覆性创新的投资巨头。 2016年首次买入及投资逻辑 这些网络业务似乎已达到一个关键的转折点,其绝对主导地位和规模正成为一种自我强化的竞争优势。这源于机器学习和人工智能(AI)领域的进展。全球连接水平的提升,得益于移动互联网、社交媒体和智能设备等相对较新的基础设施的结合,导致数据的爆炸式增长。数据量之大已超出人类能够整理的范围,必须借助机器学习和AI进行处理。该领域的领导者需要访问由最大网络产生的最佳数据集。百度、Alphabet和Facebook在这一领域处于领先地位并非偶然。特别是机器学习是一个迭代且加速的过程,这意味着追赶领先者将变得越来越困难。那些成功者将能够基于这项技术为客户提供更好的服务。因此,管理者已出售了他们认为将在下一轮竞争中落败的第二梯队网络业务,如Twitter和LinkedIn。相比之下,管理者最近投资了一家名为NVIDIA(英伟达)的公司,该公司设计图形处理单元(GPU)。该公司是GPU的主要供应商,目前其主要市场是计算机游戏行业。然而,GPU的处理架构比传统计算中使用的中央处理单元(CPU)更适合支持虚拟现实、增强现实、人工智能","plainDigest":"$英伟达(NVDA)$ 如上图所示,Scottish Mortgage在2015年3月31日到2025年3月31日期间在英伟达上赚取了80倍的收益,那么在他们持有过程中关于英伟达的投资逻辑是怎么样的呢? 注:在全球成长投资的舞台上,英国老牌资产管理公司Scottish Mortgage Investment 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Call 不是稳赚不赔的保险箱,它也有隐藏的“陷阱”!","digest":"很多刚接触期权的投资者,都会被一句话所吸引: “Covered Call 是最简单、最安全的策略,用股票来收权利金,稳赚!” 听起来是不是很香? ✅ 有股票在手 ✅ 卖 Call 收租金 ✅ 风险还有限 ✅ 被行权也不怕,反正你本来也想卖股票 但你可能没意识到,这项看似“保守稳健”的策略,其实也藏着不少陷阱。 今天我们就来拆开这个保险箱的盖子,看看 Covered Call 到底有哪些被忽视的“危险”。 一、Covered Call 真的是低风险吗?其实是“有限盈利 + 无限机会成本” 我们来回顾一下它的结构: 你持有 100 股某只股票(比如 AAPL) 同时你卖出一个近月 Call(比如执行价 $200),收取权利金 那问题来了: ⚠️ 1. 如果股价暴涨,你的收益被“盖住”了! 比如: 你持有 AAPL $180,卖出 $200 Call 收 $2 权利金 如果财报炸裂,AAPL 一口气涨到 $220? 你只能以 $200 被行权卖出 → 放弃了 $20/股的涨幅! 📉 你用几块钱的权利金,牺牲了几十块钱的上涨空间 ⚠️ 2. 如果股价暴跌,你也没保护! 很多人误以为卖 Call 收权利金可以“缓冲下跌”。 但实情是: 你股票跌了 $15,权利金收了 $2 你的净亏损还是 $13! 📉 Covered Call 并不能像 Protective Put 那样提供保护 ⚠️ 3. 很多人在“不该做”的时候卖了 Call 比如: 财报前、股价蓄势待发的时候你卖了 Call 股价还没涨,Call 的 IV(隐含波动率)先涨 → 你卖得便宜,吃亏 真涨了又被行权,只能含泪看着股票飞走 很多“教科书式”的 Covered Call 是不考虑实际市场节奏的。 二、Covered Call 的最大问题:它是一个“削顶部、留底部”的结构 用个比喻: 它就像你把房子出租出去,每月收几百块","plainDigest":"很多刚接触期权的投资者,都会被一句话所吸引: “Covered Call 是最简单、最安全的策略,用股票来收权利金,稳赚!” 听起来是不是很香? ✅ 有股票在手 ✅ 卖 Call 收租金 ✅ 风险还有限 ✅ 被行权也不怕,反正你本来也想卖股票 但你可能没意识到,这项看似“保守稳健”的策略,其实也藏着不少陷阱。 今天我们就来拆开这个保险箱的盖子,看看 Covered Call 到底有哪些被忽视的“危险”。 一、Covered Call 真的是低风险吗?其实是“有限盈利 + 无限机会成本” 我们来回顾一下它的结构: 你持有 100 股某只股票(比如 AAPL) 同时你卖出一个近月 Call(比如执行价 $200),收取权利金 那问题来了: ⚠️ 1. 如果股价暴涨,你的收益被“盖住”了! 比如: 你持有 AAPL $180,卖出 $200 Call 收 $2 权利金 如果财报炸裂,AAPL 一口气涨到 $220? 你只能以 $200 被行权卖出 → 放弃了 $20/股的涨幅! 📉 你用几块钱的权利金,牺牲了几十块钱的上涨空间 ⚠️ 2. 如果股价暴跌,你也没保护! 很多人误以为卖 Call 收权利金可以“缓冲下跌”。 但实情是: 你股票跌了 $15,权利金收了 $2 你的净亏损还是 $13! 📉 Covered Call 并不能像 Protective Put 那样提供保护 ⚠️ 3. 很多人在“不该做”的时候卖了 Call 比如: 财报前、股价蓄势待发的时候你卖了 Call 股价还没涨,Call 的 IV(隐含波动率)先涨 → 你卖得便宜,吃亏 真涨了又被行权,只能含泪看着股票飞走 很多“教科书式”的 Covered Call 是不考虑实际市场节奏的。 二、Covered Call 的最大问题:它是一个“削顶部、留底部”的结构 用个比喻: 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