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咕咚咕咚LiLi
咕咚咕咚LiLi
·
11-17
$Richtech Robotics(RR)$
整个市场都在跌,保持耐心中~
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咕咚咕咚LiLi
咕咚咕咚LiLi
·
10-09
$Richtech Robotics(RR)$
$英伟达(NVDA)$
终归是没看错,10月的势头可以啊,就看接下来能不能赚更多了[看涨]
@咕咚咕咚LiLi:
$Richtech Robotics(RR)$坚持下来,赚一波,持有一些,看6冲7
$Richtech Robotics(RR)$坚持下来,赚一波,持有一些,看6冲7
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咕咚咕咚LiLi
咕咚咕咚LiLi
·
09-23
$Richtech Robotics(RR)$
坚持下来,赚一波,持有一些,看6冲7
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咕咚咕咚LiLi
咕咚咕咚LiLi
·
09-22
短线看准时机再下手,长线小亏不必大慌[吃瓜]
到底是选择长线还是短线?
@空军大队长:
到底是选择长线还是选择短线呢? 美股本来90%是机构,只有10%是散户,但是因为2020年的时候美国政府直升机式撒钱,加上不上班上不学,手上又有钱,因为我记得是前后发了五轮,所以大家手上都有钱了,这些人有钱就买股票了,当时股票又大涨了,这些人觉得自己炒股水平还行,所以就有了大量的散户了,加上当时很多学生没有上课,也来炒股,现在大学也毕业了,差不多也工作了,因为读大学的时候有炒股经验,所以这也是散户的一大来源,散户因为在股市上不专业,也没有那么多时间来学习分析股市,所以炒了几年也不知道到底是长线还是短线好,大熊市的时候亏钱了,后面就想短线 ,结果股市大涨几年又觉得长线好,等到做长线的时候又来熊市了,所以一直在短线跟长线之间徘徊纠结。 我今天说一下长线跟短线的不同逻辑,长线股就是看五年十年,一般来说十年时间肯定是经历了多轮牛市熊市,美股是没有十年熊市的,所以就算熊市跌得惨,拿到大牛市也能赚回来,毕竟美股长牛吗,这是宏观上面的分析,个股上的分析,一般来说如果做十年长线的话,那肯定不会考虑没有前景的垃圾股了,都是先有未来前景的朝阳行业,每个时代的朝阳行业都是能看到的,比如说铁路刚刚出来的时候,那铁路就是朝阳行业,汽车刚刚出来的时候汽车就是朝阳行业,电脑刚刚出来的时候电脑就是朝阳行业,互联网刚刚出来的时候互联网就是朝阳行业,现在AI刚刚出来,那么AI就是朝阳行业,我这个大方向判断是没有问题的,我对长线的标准是要求公司在百亿美元左右,潜在的市场规模在万亿美元以上,一旦成功就是百倍收益,然后多买几个,只要成功一个就发财了。 但是有很多人做长线不是这样的,他们要么买一些毛股,认为便宜的股票迟早会涨起来,有没有这样的情况,也是有的,就果概率低吗,大部分毛股是退市归零了,因为毛股在国内叫垃圾股,这种公司的产品在市场上没有竟争力,财务压力非常大,长期亏损,虽然特斯拉也连续亏损14年,但是因为他的
到底是选择长线还是短线?
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咕咚咕咚LiLi
咕咚咕咚LiLi
·
09-16
$Richtech Robotics(RR)$
继续冲![看涨]
@咕咚咕咚LiLi:
$Richtech Robotics(RR)$搏一把,买了RR的4美元看涨期权,有没有朋友也进场了?
$Richtech Robotics(RR)$搏一把,买了RR的4美元看涨期权,有没有朋友也进场了?
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咕咚咕咚LiLi
咕咚咕咚LiLi
·
09-10
$Richtech Robotics(RR)$
搏一把,买了RR的4美元看涨期权,有没有朋友也进场了?
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咕咚咕咚LiLi
咕咚咕咚LiLi
·
09-02
美股,港股双拿[微笑]
中概过去总是“走两步,退两步”!但现在已经不一样了?
@小虎AV:
美国金瑞基金CIO Brendan Ahern强烈看好非美资产,并表示阿里基本面的改变,也直接关系到 $中国海外互联网ETF-KraneShares(KWEB)$ 的表现(他的持仓):8月外资疯狂抢筹,买入 $中国海外互联网ETF-KraneShares(KWEB)$、 $中国ETF-iShares MSCI(MCHI)$、 $中国大盘股ETF-iShares(FXI)$ 等中国资产ETF,大家觉得现在中国资产的投资逻辑是否发生了变化?9月你更看好美股还是港A市场?评论区分享你的观点或操作策略,一起赢取虎币奖励! $阿里巴巴(BABA)$ $英伟达(NVDA)$
中概过去总是“走两步,退两步”!但现在已经不一样了?
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咕咚咕咚LiLi
咕咚咕咚LiLi
·
08-27
$Richtech Robotics(RR)$
$英伟达(NVDA)$
坚持持有,终于涨拉[爱你]
@咕咚咕咚LiLi:
$Richtech Robotics(RR)$冲冲冲
$Richtech Robotics(RR)$冲冲冲
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咕咚咕咚LiLi
咕咚咕咚LiLi
·
08-19
科技股就是风向标
静待杰克逊霍尔
@期权小班长:
周五杰克逊霍尔会议,大型科技股本周行情偏向回避风险。 $英伟达(NVDA)$ 本周有概率会跌到175以下,如果有的话非常适合做sell put。机构sell call行权价跟上周几乎一致,就不一一举例了,在此基础上多了sell call 182.5 $NVDA 20250822 182.5 CALL$ ,本周有一定回调倾向。股价高于182时可以做sell call操作。 $特斯拉(TSLA)$ 机构上周价差区间是卖出355call买入360call ,本周价差区间是卖出345call买入370call。单腿sell call可以选择350以上行权价 $TSLA 20250822 350.0 CALL$ 。看跌期权开仓方面,空头依然非常极端,比前几周都厉害。虽然有第三方数据称本季度特斯拉销量回升,但稳妥起见sell put行权价还是300以下靠谱。 $标普500ETF(SPY)$ 机构对冲近期波动,spy对冲回调到640以下620以上。 $联合健康(UNH)$ 虽然有巴菲特抄底,但Q2业绩和展望都很差,且短期无显著改善,2026年预计同比增长低于10%。所以看多策略应偏向保守。看涨期权400以上开仓
静待杰克逊霍尔
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咕咚咕咚LiLi
咕咚咕咚LiLi
·
08-15
$Richtech Robotics(RR)$
冲冲冲
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美股本来90%是机构,只有10%是散户,但是因为2020年的时候美国政府直升机式撒钱,加上不上班上不学,手上又有钱,因为我记得是前后发了五轮,所以大家手上都有钱了,这些人有钱就买股票了,当时股票又大涨了,这些人觉得自己炒股水平还行,所以就有了大量的散户了,加上当时很多学生没有上课,也来炒股,现在大学也毕业了,差不多也工作了,因为读大学的时候有炒股经验,所以这也是散户的一大来源,散户因为在股市上不专业,也没有那么多时间来学习分析股市,所以炒了几年也不知道到底是长线还是短线好,大熊市的时候亏钱了,后面就想短线 ,结果股市大涨几年又觉得长线好,等到做长线的时候又来熊市了,所以一直在短线跟长线之间徘徊纠结。 我今天说一下长线跟短线的不同逻辑,长线股就是看五年十年,一般来说十年时间肯定是经历了多轮牛市熊市,美股是没有十年熊市的,所以就算熊市跌得惨,拿到大牛市也能赚回来,毕竟美股长牛吗,这是宏观上面的分析,个股上的分析,一般来说如果做十年长线的话,那肯定不会考虑没有前景的垃圾股了,都是先有未来前景的朝阳行业,每个时代的朝阳行业都是能看到的,比如说铁路刚刚出来的时候,那铁路就是朝阳行业,汽车刚刚出来的时候汽车就是朝阳行业,电脑刚刚出来的时候电脑就是朝阳行业,互联网刚刚出来的时候互联网就是朝阳行业,现在AI刚刚出来,那么AI就是朝阳行业,我这个大方向判断是没有问题的,我对长线的标准是要求公司在百亿美元左右,潜在的市场规模在万亿美元以上,一旦成功就是百倍收益,然后多买几个,只要成功一个就发财了。 但是有很多人做长线不是这样的,他们要么买一些毛股,认为便宜的股票迟早会涨起来,有没有这样的情况,也是有的,就果概率低吗,大部分毛股是退市归零了,因为毛股在国内叫垃圾股,这种公司的产品在市场上没有竟争力,财务压力非常大,长期亏损,虽然特斯拉也连续亏损14年,但是因为他的","listText":"到底是选择长线还是选择短线呢? 美股本来90%是机构,只有10%是散户,但是因为2020年的时候美国政府直升机式撒钱,加上不上班上不学,手上又有钱,因为我记得是前后发了五轮,所以大家手上都有钱了,这些人有钱就买股票了,当时股票又大涨了,这些人觉得自己炒股水平还行,所以就有了大量的散户了,加上当时很多学生没有上课,也来炒股,现在大学也毕业了,差不多也工作了,因为读大学的时候有炒股经验,所以这也是散户的一大来源,散户因为在股市上不专业,也没有那么多时间来学习分析股市,所以炒了几年也不知道到底是长线还是短线好,大熊市的时候亏钱了,后面就想短线 ,结果股市大涨几年又觉得长线好,等到做长线的时候又来熊市了,所以一直在短线跟长线之间徘徊纠结。 我今天说一下长线跟短线的不同逻辑,长线股就是看五年十年,一般来说十年时间肯定是经历了多轮牛市熊市,美股是没有十年熊市的,所以就算熊市跌得惨,拿到大牛市也能赚回来,毕竟美股长牛吗,这是宏观上面的分析,个股上的分析,一般来说如果做十年长线的话,那肯定不会考虑没有前景的垃圾股了,都是先有未来前景的朝阳行业,每个时代的朝阳行业都是能看到的,比如说铁路刚刚出来的时候,那铁路就是朝阳行业,汽车刚刚出来的时候汽车就是朝阳行业,电脑刚刚出来的时候电脑就是朝阳行业,互联网刚刚出来的时候互联网就是朝阳行业,现在AI刚刚出来,那么AI就是朝阳行业,我这个大方向判断是没有问题的,我对长线的标准是要求公司在百亿美元左右,潜在的市场规模在万亿美元以上,一旦成功就是百倍收益,然后多买几个,只要成功一个就发财了。 但是有很多人做长线不是这样的,他们要么买一些毛股,认为便宜的股票迟早会涨起来,有没有这样的情况,也是有的,就果概率低吗,大部分毛股是退市归零了,因为毛股在国内叫垃圾股,这种公司的产品在市场上没有竟争力,财务压力非常大,长期亏损,虽然特斯拉也连续亏损14年,但是因为他的","text":"到底是选择长线还是选择短线呢? 美股本来90%是机构,只有10%是散户,但是因为2020年的时候美国政府直升机式撒钱,加上不上班上不学,手上又有钱,因为我记得是前后发了五轮,所以大家手上都有钱了,这些人有钱就买股票了,当时股票又大涨了,这些人觉得自己炒股水平还行,所以就有了大量的散户了,加上当时很多学生没有上课,也来炒股,现在大学也毕业了,差不多也工作了,因为读大学的时候有炒股经验,所以这也是散户的一大来源,散户因为在股市上不专业,也没有那么多时间来学习分析股市,所以炒了几年也不知道到底是长线还是短线好,大熊市的时候亏钱了,后面就想短线 ,结果股市大涨几年又觉得长线好,等到做长线的时候又来熊市了,所以一直在短线跟长线之间徘徊纠结。 我今天说一下长线跟短线的不同逻辑,长线股就是看五年十年,一般来说十年时间肯定是经历了多轮牛市熊市,美股是没有十年熊市的,所以就算熊市跌得惨,拿到大牛市也能赚回来,毕竟美股长牛吗,这是宏观上面的分析,个股上的分析,一般来说如果做十年长线的话,那肯定不会考虑没有前景的垃圾股了,都是先有未来前景的朝阳行业,每个时代的朝阳行业都是能看到的,比如说铁路刚刚出来的时候,那铁路就是朝阳行业,汽车刚刚出来的时候汽车就是朝阳行业,电脑刚刚出来的时候电脑就是朝阳行业,互联网刚刚出来的时候互联网就是朝阳行业,现在AI刚刚出来,那么AI就是朝阳行业,我这个大方向判断是没有问题的,我对长线的标准是要求公司在百亿美元左右,潜在的市场规模在万亿美元以上,一旦成功就是百倍收益,然后多买几个,只要成功一个就发财了。 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继续冲![看涨]"}],"imageCount":0,"langContent":"CN","totalScore":0},{"id":474161604870408,"gmtCreate":1756793816707,"gmtModify":1756793819639,"author":{"id":"4193202022537080","authorId":"4193202022537080","name":"咕咚咕咚LiLi","avatar":"https://community-static.tradeup.com/news/default-avatar.jpg","crmLevel":1,"crmLevelSwitch":0,"followedFlag":false,"authorIdStr":"4193202022537080","idStr":"4193202022537080"},"themes":[],"htmlText":"美股,港股双拿[微笑]","listText":"美股,港股双拿[微笑]","text":"美股,港股双拿[微笑]","images":[],"top":1,"highlighted":1,"essential":1,"paper":1,"likeSize":1,"commentSize":0,"repostSize":0,"link":"https://laohu8.com/post/474161604870408","repostId":"473907391693000","repostType":1,"repost":{"id":473907391693000,"gmtCreate":1756727582698,"gmtModify":1756754401907,"author":{"id":"3514329116425907","authorId":"3514329116425907","name":"小虎AV","avatar":"https://static.tigerbbs.com/162e12f8dcec770ec19f66f2abb0d5db","crmLevel":1,"crmLevelSwitch":0,"followedFlag":false,"authorIdStr":"3514329116425907","idStr":"3514329116425907"},"themes":[],"title":"中概过去总是“走两步,退两步”!但现在已经不一样了?","htmlText":"\n 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Robotics(RR)$冲冲冲","images":[],"top":1,"highlighted":1,"essential":1,"paper":1,"likeSize":0,"commentSize":0,"repostSize":0,"link":"https://laohu8.com/post/467794090664120","isVote":1,"tweetType":1,"viewCount":0,"authorTweetTopStatus":1,"verified":2,"comments":[],"imageCount":0,"langContent":"CN","totalScore":0},"isVote":1,"tweetType":1,"viewCount":1393,"authorTweetTopStatus":1,"verified":2,"comments":[],"imageCount":0,"langContent":"CN","totalScore":0},{"id":469169998905616,"gmtCreate":1755574277884,"gmtModify":1755574279595,"author":{"id":"4193202022537080","authorId":"4193202022537080","name":"咕咚咕咚LiLi","avatar":"https://community-static.tradeup.com/news/default-avatar.jpg","crmLevel":1,"crmLevelSwitch":0,"followedFlag":false,"authorIdStr":"4193202022537080","idStr":"4193202022537080"},"themes":[],"htmlText":"科技股就是风向标","listText":"科技股就是风向标","text":"科技股就是风向标","images":[],"top":1,"highlighted":1,"essential":1,"paper":1,"likeSize":1,"commentSize":0,"repostSize":0,"link":"https://laohu8.com/post/469169998905616","repostId":"469022650818760","repostType":1,"repost":{"id":469022650818760,"gmtCreate":1755529852255,"gmtModify":1755532473367,"author":{"id":"3527667590215376","authorId":"3527667590215376","name":"期权小班长","avatar":"https://static.tigerbbs.com/e785bea87af8baf08d2b24111b78c16a","crmLevel":1,"crmLevelSwitch":0,"followedFlag":false,"authorIdStr":"3527667590215376","idStr":"3527667590215376"},"themes":[],"title":"静待杰克逊霍尔","htmlText":"周五杰克逊霍尔会议,大型科技股本周行情偏向回避风险。 <a href=\"https://laohu8.com/S/NVDA\">$英伟达(NVDA)$</a> 本周有概率会跌到175以下,如果有的话非常适合做sell put。机构sell call行权价跟上周几乎一致,就不一一举例了,在此基础上多了sell call 182.5 <a href=\"https://laohu8.com/OPT/NVDA%2020250822%20182.5%20CALL\">$NVDA 20250822 182.5 CALL$</a> ,本周有一定回调倾向。股价高于182时可以做sell call操作。 <a href=\"https://laohu8.com/S/TSLA\">$特斯拉(TSLA)$</a> 机构上周价差区间是卖出355call买入360call ,本周价差区间是卖出345call买入370call。单腿sell call可以选择350以上行权价 <a href=\"https://laohu8.com/OPT/TSLA%2020250822%20350.0%20CALL\">$TSLA 20250822 350.0 CALL$</a> 。看跌期权开仓方面,空头依然非常极端,比前几周都厉害。虽然有第三方数据称本季度特斯拉销量回升,但稳妥起见sell put行权价还是300以下靠谱。 <a href=\"https://laohu8.com/S/SPY\">$标普500ETF(SPY)$</a> 机构对冲近期波动,spy对冲回调到640以下620以上。 <a href=\"https://laohu8.com/S/UNH\">$联合健康(UNH)$</a> 虽然有巴菲特抄底,但Q2业绩和展望都很差,且短期无显著改善,2026年预计同比增长低于10%。所以看多策略应偏向保守。看涨期权400以上开仓","listText":"周五杰克逊霍尔会议,大型科技股本周行情偏向回避风险。 <a href=\"https://laohu8.com/S/NVDA\">$英伟达(NVDA)$</a> 本周有概率会跌到175以下,如果有的话非常适合做sell put。机构sell call行权价跟上周几乎一致,就不一一举例了,在此基础上多了sell call 182.5 <a href=\"https://laohu8.com/OPT/NVDA%2020250822%20182.5%20CALL\">$NVDA 20250822 182.5 CALL$</a> ,本周有一定回调倾向。股价高于182时可以做sell call操作。 <a href=\"https://laohu8.com/S/TSLA\">$特斯拉(TSLA)$</a> 机构上周价差区间是卖出355call买入360call ,本周价差区间是卖出345call买入370call。单腿sell call可以选择350以上行权价 <a href=\"https://laohu8.com/OPT/TSLA%2020250822%20350.0%20CALL\">$TSLA 20250822 350.0 CALL$</a> 。看跌期权开仓方面,空头依然非常极端,比前几周都厉害。虽然有第三方数据称本季度特斯拉销量回升,但稳妥起见sell put行权价还是300以下靠谱。 <a href=\"https://laohu8.com/S/SPY\">$标普500ETF(SPY)$</a> 机构对冲近期波动,spy对冲回调到640以下620以上。 <a href=\"https://laohu8.com/S/UNH\">$联合健康(UNH)$</a> 虽然有巴菲特抄底,但Q2业绩和展望都很差,且短期无显著改善,2026年预计同比增长低于10%。所以看多策略应偏向保守。看涨期权400以上开仓","text":"周五杰克逊霍尔会议,大型科技股本周行情偏向回避风险。 $英伟达(NVDA)$ 本周有概率会跌到175以下,如果有的话非常适合做sell put。机构sell call行权价跟上周几乎一致,就不一一举例了,在此基础上多了sell call 182.5 $NVDA 20250822 182.5 CALL$ ,本周有一定回调倾向。股价高于182时可以做sell call操作。 $特斯拉(TSLA)$ 机构上周价差区间是卖出355call买入360call ,本周价差区间是卖出345call买入370call。单腿sell call可以选择350以上行权价 $TSLA 20250822 350.0 CALL$ 。看跌期权开仓方面,空头依然非常极端,比前几周都厉害。虽然有第三方数据称本季度特斯拉销量回升,但稳妥起见sell put行权价还是300以下靠谱。 $标普500ETF(SPY)$ 机构对冲近期波动,spy对冲回调到640以下620以上。 $联合健康(UNH)$ 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