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资本小鳄鱼
前A股投资顾问,6年互联网金融经验
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资本小鳄鱼
资本小鳄鱼
·
2024-07-11
我开仓了
$Core Scientific, Inc.(CORZ)$
,涨了5倍之后仍能看好 $corz? 1. 推动本轮上涨的是Core Scientific和CoreWeave的AI infrastructure合约:Core Scientific将凭借建设和管理200MW AI/HPC数据中心,获得年入2.9亿美金的收入,且预计获得80%的profit margin。单这一笔合约,给个10PE,就有22亿的市值;考虑到他们总共500MW的AI infrastructure的增长潜力,那么估值可以给到55亿,甚至更高。 2. 本身大饼挖矿,以及下半年降息可能带来的大饼上涨,这部分给个20亿的估值 3. 总体估值能来到75亿美金以上,目前来看还有翻倍的空间
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资本小鳄鱼
资本小鳄鱼
·
2024-05-24
财报预期到底是谁的预期?
说明下美股公司财报预期的数据到底是怎么个情况,以及他们之间的区别。这里仅以营收预期为例,美股收益/EPS以及其他的财务或关键运营指标的逻辑也是一模一样的,就不再赘述了。 1. 公司自己给出的预期营收数字:一般公司在进行上一季度财报时,都会同时给出当前所在季度的营收指引。这个被称为公司自己的预期指引。这个数字一般在财报时给出后就不会再更改,一直保留到下次财报时用于对比,看到底是超预期(beat),还是低于预期(miss),或与预期持平(in-line)。大多数公司都会自己给出一个相对略保守点的数字,以便自己下次财报时更有机会打破,而不是达不到。偶尔,企业也会在下次财报前的非噤声期内突然做一个预期指引的更新,大多是因为有特别的情况发生之类的,很多是下调预期指引,但也有公司突然做出更新是上调指引的。但通常公司自己给出的这个预期数字都不会有任何更新。比如上次Q4财报时
$英伟达(NVDA)$
自己给出的Q1营收预期是240亿美金,然后这一个季度以来都没有上调或下调过指引,今天盘后实际公布的Q1营营收数据是260.4亿美金,妥妥地huge beat。 2. 华尔街sell-side给出的预期营收数字:一点背景说明,美国金融机构从资金走向的角度可以非常粗略地分为sell-side和buy-side,所谓的卖方机构和买方机构,简单理解是很容易的,取字面意思即可,即那些通常帮助客户卖出股票或债券等/ipo/增发融资的或者出售各种金融服务业务的投行基本就是sell-side方面的典型机构,大家经常看到的比如大小摩,高盛等给股票评级设定目标价的分析师也都来自sell-side即卖方机构;与之相对的,用自身资本买入各类头寸的就是所谓买方机构,比如典型的就是各路对冲基金,pension funds等等。于是,这里就有一
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财报预期到底是谁的预期?
资本小鳄鱼
资本小鳄鱼
·
06-16 21:35
我开仓了5手
$HIMS 20250620 60.0 CALL$
,来看看我最新分享的订单!
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160
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资本小鳄鱼
资本小鳄鱼
·
06-16 21:31
我开仓了5手
$MRVL 20250815 80.0 CALL$
,来看看我最新分享的订单!
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资本小鳄鱼
资本小鳄鱼
·
06-12
我平仓了2手
$CRWV 20250620 130.0 PUT$
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273
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资本小鳄鱼
资本小鳄鱼
·
06-12
我开仓了1手
$MRVL 20250815 80.0 CALL$
,来看看我最新分享的订单!
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178
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资本小鳄鱼
资本小鳄鱼
·
06-12
我开仓了1手
$UNH 20250919 400.0 CALL$
,来看看我最新分享的订单!
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396
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资本小鳄鱼
资本小鳄鱼
·
06-11
我开仓了5手
$MRVL 20250815 80.0 CALL$
,来看看我最新分享的订单!
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555
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资本小鳄鱼
资本小鳄鱼
·
06-11
我平仓了5手
$MRVL 20250718 80.0 CALL$
,来看看我最新分享的订单!
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255
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1
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资本小鳄鱼
资本小鳄鱼
·
06-10
我平仓了10手
$MRVL 20250718 80.0 CALL$
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295
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资本小鳄鱼
资本小鳄鱼
·
06-10
我平仓了2手
$UBER 20250718 90.0 CALL$
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235
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资本小鳄鱼
资本小鳄鱼
·
06-10
我平仓了2手
$GOOG 20250815 180.0 CALL$
,止盈先
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Scientific和CoreWeave的AI infrastructure合约:Core Scientific将凭借建设和管理200MW AI/HPC数据中心,获得年入2.9亿美金的收入,且预计获得80%的profit margin。单这一笔合约,给个10PE,就有22亿的市值;考虑到他们总共500MW的AI infrastructure的增长潜力,那么估值可以给到55亿,甚至更高。 2. 本身大饼挖矿,以及下半年降息可能带来的大饼上涨,这部分给个20亿的估值 3. 总体估值能来到75亿美金以上,目前来看还有翻倍的空间","text":"我开仓了$Core Scientific, Inc.(CORZ)$ ,涨了5倍之后仍能看好 $corz? 1. 推动本轮上涨的是Core Scientific和CoreWeave的AI infrastructure合约:Core Scientific将凭借建设和管理200MW AI/HPC数据中心,获得年入2.9亿美金的收入,且预计获得80%的profit margin。单这一笔合约,给个10PE,就有22亿的市值;考虑到他们总共500MW的AI infrastructure的增长潜力,那么估值可以给到55亿,甚至更高。 2. 本身大饼挖矿,以及下半年降息可能带来的大饼上涨,这部分给个20亿的估值 3. 总体估值能来到75亿美金以上,目前来看还有翻倍的空间","images":[],"top":2,"highlighted":1,"essential":1,"paper":1,"likeSize":4,"commentSize":3,"repostSize":4,"link":"https://laohu8.com/post/326408710574168","isVote":1,"tweetType":1,"viewCount":11142,"authorTweetTopStatus":1,"verified":2,"comments":[{"author":{"id":"4146626026374032","authorId":"4146626026374032","name":"资本小鳄鱼","avatar":"https://static.tigerbbs.com/04365eb77e1da637a92d1cd526d619c3","crmLevel":7,"crmLevelSwitch":0,"idStr":"4146626026374032","authorIdStr":"4146626026374032"},"content":"今天@Core_Scientific宣布,它已行使了根据先前宣布的与@CoreWeave签订的270兆瓦托管合同承包额外基设施的选择权。 新协议将增加约112兆瓦的托管容量@CoreWeave @nvidia#GPUs,从2024年底开始,预计2026年 初投入运营。 这份为期12年的合同将使Core Scientific的预计收入增加20亿美元,使其@CoreWeave合同总额达到67亿美元,并使其#HPC基础设施总容量达到382兆瓦。","text":"今天@Core_Scientific宣布,它已行使了根据先前宣布的与@CoreWeave签订的270兆瓦托管合同承包额外基设施的选择权。 新协议将增加约112兆瓦的托管容量@CoreWeave @nvidia#GPUs,从2024年底开始,预计2026年 初投入运营。 这份为期12年的合同将使Core Scientific的预计收入增加20亿美元,使其@CoreWeave合同总额达到67亿美元,并使其#HPC基础设施总容量达到382兆瓦。","html":"今天@Core_Scientific宣布,它已行使了根据先前宣布的与@CoreWeave签订的270兆瓦托管合同承包额外基设施的选择权。 新协议将增加约112兆瓦的托管容量@CoreWeave @nvidia#GPUs,从2024年底开始,预计2026年 初投入运营。 这份为期12年的合同将使Core Scientific的预计收入增加20亿美元,使其@CoreWeave合同总额达到67亿美元,并使其#HPC基础设施总容量达到382兆瓦。"}],"imageCount":0,"langContent":"CN","totalScore":0},{"id":309204705951952,"gmtCreate":1716517295487,"gmtModify":1716518965847,"author":{"id":"4146626026374032","authorId":"4146626026374032","name":"资本小鳄鱼","avatar":"https://static.tigerbbs.com/04365eb77e1da637a92d1cd526d619c3","crmLevel":7,"crmLevelSwitch":0,"followedFlag":false,"idStr":"4146626026374032","authorIdStr":"4146626026374032"},"themes":[],"title":"财报预期到底是谁的预期?","htmlText":"说明下美股公司财报预期的数据到底是怎么个情况,以及他们之间的区别。这里仅以营收预期为例,美股收益/EPS以及其他的财务或关键运营指标的逻辑也是一模一样的,就不再赘述了。 1. 公司自己给出的预期营收数字:一般公司在进行上一季度财报时,都会同时给出当前所在季度的营收指引。这个被称为公司自己的预期指引。这个数字一般在财报时给出后就不会再更改,一直保留到下次财报时用于对比,看到底是超预期(beat),还是低于预期(miss),或与预期持平(in-line)。大多数公司都会自己给出一个相对略保守点的数字,以便自己下次财报时更有机会打破,而不是达不到。偶尔,企业也会在下次财报前的非噤声期内突然做一个预期指引的更新,大多是因为有特别的情况发生之类的,很多是下调预期指引,但也有公司突然做出更新是上调指引的。但通常公司自己给出的这个预期数字都不会有任何更新。比如上次Q4财报时 <a href=\"https://laohu8.com/S/NVDA\">$英伟达(NVDA)$</a> 自己给出的Q1营收预期是240亿美金,然后这一个季度以来都没有上调或下调过指引,今天盘后实际公布的Q1营营收数据是260.4亿美金,妥妥地huge beat。 2. 华尔街sell-side给出的预期营收数字:一点背景说明,美国金融机构从资金走向的角度可以非常粗略地分为sell-side和buy-side,所谓的卖方机构和买方机构,简单理解是很容易的,取字面意思即可,即那些通常帮助客户卖出股票或债券等/ipo/增发融资的或者出售各种金融服务业务的投行基本就是sell-side方面的典型机构,大家经常看到的比如大小摩,高盛等给股票评级设定目标价的分析师也都来自sell-side即卖方机构;与之相对的,用自身资本买入各类头寸的就是所谓买方机构,比如典型的就是各路对冲基金,pension funds等等。于是,这里就有一","listText":"说明下美股公司财报预期的数据到底是怎么个情况,以及他们之间的区别。这里仅以营收预期为例,美股收益/EPS以及其他的财务或关键运营指标的逻辑也是一模一样的,就不再赘述了。 1. 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