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恒生指数(HSI)
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-131.800
-0.57%
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CN宇宙_Larry
·
10:59
$恒指瑞银七八熊A.P(59772)$
$恒生指数(HSI)$
$恒生指数2506(HSI2506)$
那就说好了季节轮变 我们不变 你 我的全世界
$恒指瑞银七八熊A.P(59772)$ $恒生指数(HSI)$ $恒生指数2506(HSI2506)$ 那就说好了季节轮变 我们不变 你 我的全世界
# 晒晒更赚钱
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過路人
·
08:08
5月份大市点评及个股分享
星期五
$恒生指数(HSI)$
当日在结算后的交易日随时大跌 [看跌] 283点。晚上夜期跌幅 亦相若,持续回吐。今次惨啰 跌咁多。但不多货在身既我,紧系见到都开心[开心] 。因为机会黎喇飞云 。下跌[思考] 的表面原因:借朗朗发动关税战又有新的消息,但我个人应该是5月份升幅不少,以点数计过千点,现在是借势回调而已。 暂至5月份结算我的投资状况:目前大幅盈利[财迷] ,跑赢大市,6月份我的看法仍然是看跌 ,港股我暂不看到有利好的消息能带动大市上升。投资部署方面:个人仍然是以卖put多于直接买正股。卖put期权:我个人著重于回报与风险是否合乎正例。价钱岩就做,不岩就不做。所以什么引伸波幅我是不看的 个股分析:
$阿里巴巴(BABA)$
巴巴星期五晚又大跌 ,不过愈跌就愈吸引 [害羞] 。本来想卖put,谂谂下,都系决定跌多一,两日先。唔急既。一急就好易乱。忍 。比我感觉6月份都是横行即机会较大,处于105至120游来游去。要突破120不是容易既事,不过跌至100之下亦不是容易既事。个人部署策略:卖put 110至95之间。始终今年升幅不少达34%,跑赢众多科技股,但若万一有一个坏消息,回调速度和力道可以很大[思考]
$拼多多(PDD)$
5月份大市点评及个股分享
# 晒晒更赚钱
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远征牛
·
10:03
6月2日,端午时节雨纷纷,6月的港股可能不得不为关税战再次下蹲
周末的特朗普又没闲着,加征钢铝关税至50%,又嘴炮说中国没有遵守日内瓦协议,稀土出口的审批流程太慢,随着90天的到期,这样的情况会越来越多,特朗普四面出击,但碰钉子会越来越多,如之前我提过的,中美的日内瓦协议,做了一个“坏”榜样,短期利用好美国内压力是最好的策略。 上周五港股大幅回调,MSCI 指数换仓带来的流动性放大也不够,市场情绪转向谨慎。 恒指期货开盘后震荡走低,夜盘失守 23,000 点关口,最低触及 22,808 点,较现货低水350多点,市场对6月份走势的悲观预期愈发明显。
$恒生指数(HSI)$
下跌 283 点,跌1.2%,收报 23,289 点,成交2700亿港元,但未能突破 3000 亿关口,扣除指数换股因素,成交进一步缩减。今日关注23000的争夺。
$恒生科技指数(HSTECH)$
大跌 2.48%,收报 5,170 点,科技股成为抛售重灾区。南下资金净流出 42 亿港元,连续两日减持科技股,信号意义非常明显。 短期更种不利消息还将发酵,市场也需要一个消化的过程,仓位降下来的股友,可以忙点其他事情,让市场的子弹飞一会,仓位重的还是要寻机减仓,哪怕小幅止损,也要有控制住仓位,一定要把有限的子弹留出一些。 我们短期的操作也非常少,仅少量操作做空ETF的加减仓,中线仓位都会更加谨慎。 阿里巴巴大跌 3.56%,收报 113.9 港元,近日110将接受考验,我们将观察盘面情况,考虑加仓中线布局。 腾讯跌破 500 港元关口,收报 498.2 港元,等待480的机会。 美团冲高回落跌 1.5%,收报 138 港元,连续三日冲击 140 港元阻力未果,仓位重的抓住机会减
6月2日,端午时节雨纷纷,6月的港股可能不得不为关税战再次下蹲
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付轶啸
·
18:02
新琪安:缩量发行,要搞套路回拨的小盘妖股?
最近港股打新市场突然热闹起来,宁德、恒瑞和几个小票连着暴涨,搞得不少老铁在后台催我分析新股新琪安。 从基本面来看,新琪安是一家给可口可乐、雀巢这类跨国快消巨头提供代糖的化工企业,打新层面核心要关注到是它是一个小市值博弈票,在这就不详细啰嗦什么基本面了,主要看看发行面和情绪面。 看发行面,典型的"饥饿游戏",天然适合搞套路回拨的剧本。 缩量发行:发行规模小,这次IPO仅发行2亿港币出头,刨去28.2%的基石,流通盘更小,才1.4亿港币,香港公开发售这边募资额才2200多万港元,照目前港股打新的情绪热度,预计上百倍不成问题,一方面风险分散,比较安全可控,另一方面套路回拨可能性大,看到有基石Reynold Lemkins,他们以往参与基石的3个小票EDA集团控股、西安经发和众淼控股全部套路回拨。 分析估值更有意思。2024 PE 40x,2025 PE 25-30x,横向对比同行例如A股公司金禾20多倍的PE,新琪安这2024年40多倍PE看着吓人,但换个角度、逆向思考,现在行业平均估值才25倍,新琪安敢顶着溢价发行,还能找到基石投资人买账,敢定高价还能发出去的票,不正更说明被包盘了吗?这不就是明牌告诉你:幕后有神秘资金操盘,结合没绿鞋,妥妥的妖股,放心打等吃肉就行了。 操盘阵容除了保荐人民银,妖股制造机瑞邦和百惠赫然在团,去年EDA集团控股缩量回拨然后首日猛拉80%、健康之路首日36%几个月暴涨4倍的手法大家还记得吧?都是缩量发行+套路回拨,把流通盘控得死死的,推测这次也可能复制这个剧本。 情绪面,最近打新市场有点小牛市的感觉,赚钱效应较强。最近像新琪安这样的博弈票也挺多的,比如沪上阿姨、觅瑞,最终都达到上百倍融资,要么像觅瑞、博雷顿套路回拨起飞,要么像沪上阿姨流通盘实在太小完全有承接,至少也有20-30%的收益,所以从安全性角度考虑,我觉得新琪安也可以小摸一把,赔率不错的。
新琪安:缩量发行,要搞套路回拨的小盘妖股?
# 2025年香港IPO热潮:中国A股公司引领浪潮
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萌生财经
·
17:06
今天,港股为何突然“V型”向上? 港股今天开盘的走势很吓人,但是随后还是出现了一路向上的格局,到16点收盘无论是恒生指数还是恒生科技指数,跌幅都出现了明显收窄,恒生指数从下跌2.67%到最终收盘时下跌0.57%,相当于盘中将下跌失地收回了2%,恒生科技指数也是如此,最大跌幅3.11%到收盘时下跌0.7%,可以说也收回了盘中的大部分失地。 对于港股今天的这种走势,其实跟我预期的差不多,我原本觉得今天可能收盘跌幅在2%,明天大概率会反攻的,因为目前的所谓利空仅仅是心理层面,看不到影响的实质性,那么对市场产生的波动也就成为了短期因素。 特别是对A股,我想港股明天走势逆转,那么A股也会跟随受益,也就是说万万没有想到港股竟然能够出现盘中V型向上,这是超出预期的,走势上这么呈现,这会直接化解明天A股的风险,使得A股的低开幅度不会那么明显了。 今天,港股为何突然“V型”向上? 从我的理解角度而言,外资当前大的思路还是比较看重中国资产的,这波从4月2日之后的走势,恒生指数的独立性已经说明了问题,内资或者南下资金是难以形成这样的合力,我感觉主要还是外资对中国资产的态度变了,毕竟未来美元走弱是大趋势,美股的风险逐步凸显,这个时候外资自然会寻求全球估值洼地了,港股就成了必然选择。 而之所以今天港股能够出现V型向上,主要还是低开的幅度过大,因为受到了利空消息的影响,而这对场外资金来说是比较合适的低吸机会,港股能从低位一路向上,恰恰说明了有增量资金逢低介入的概率。 由此可以得出的结论是,感觉港股短期有点一步调整到位的可能性,当然了还有一个更好的办法,就看短期内今天的低点会不会再被回探,如果不去二次探底的话,那见短期内底部的概率就更大了。 免责声明:文中内容仅
今天,港股为何突然“V型”向上? 港股今天开盘的走势很吓人,但是随后还是出现了一路向上的格局,到16点收盘无论是恒生指数还是恒生科技指数,跌幅都出现了明显...
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輪證贏家
·
10:53
【轮证赢家】恒指牛博Swing Trade
依家8点53分,忙住同作战室一样出淡仓追落向下杀肥牛,由上个星期中段开始出淡仓到依家终于都见佢向下行落去杀重货牛,开市半个钟都未够,
$HSI(HSI)$
已经跌咗500点有多,重货牛嗰层已经穿过,10点前指数低位做过22754点。 作战室啲淡仓玩咗半个钟之后开始走得八八九九,先收今日第一注正数,咁之后都有本钱再玩落去;10点后有见恒指再向下落,22700点都确认穿埋,喺牛熊证街货图上见首五层牛证街货已经被收回,合共有相当于3174张期指街货。 望望钟已经10点16分,作战室里头 开始连过夜淡仓都清埋,五分钟图上见整条保历加通道有开始向下,指数亦见落到22700点后有止步,依家稍为上行往10线方向。 怕且今日恒指都食饱饱,连日线图上都有见指数向下落到50线水平。 但如果day Trade计,小时图上目前虽然仍见保历加通道口拓阔,不过「锤头」出现+Slow STC(14.3)两线处于超卖位。拉近啲个五分钟图就见整条保历加通道向下,咁即系比返个Swing Trade出嚟啦。
$UB#HSI RC2712E.C(69243)$
,收回价22368点,同现价有约417点距离,杠杆约59.8倍,做Day Trade架咋。 再到10点47分,五分钟图上应该见指数企返上五分钟图10线,Day Trade以此作为下方量度线,先睇住中轴,过得到先再博保历加顶/Slow STC(14.3)上返超买啦。 作者阿珊,以技术分析专心玩轮证,唔贪心,努力赚取我家肥猫罐罐。 资讯只适用于合资格的香港投资者。结构性产品由瑞银发行,瑞银证券为流通量提供者,可能是唯一报价者或巿场参与者。结构性产品价格可急升或急跌,投资者可能会蒙受全盘损失。
【轮证赢家】恒指牛博Swing Trade
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理想之城
·
05-30 21:41
永远要明白一句话,短线靠龙头,不是龙头股都不适合做短线,越高的越安全,大妖出自迷茫,龙头来自抱团,万绿丛中一点红,那是真的红,很多时候,不是你不知道龙头是谁,而是你知道了怕高不敢买,.买了恐高也拿不住,旺季价格心中无顶底,顺应趋势龙头需要胆量和格局,那最后其实就是交给模式,你只需要记住两个原则,龙头收盘断板那就减仓,次日不反包那就清仓只要反包弱短强,那就大胆加仓。
$恒生指数(HSI)$
$恒生科技指数(HSTECH)$
永远要明白一句话,短线靠龙头,不是龙头股都不适合做短线,越高的越安全,大妖出自迷茫,龙头来自抱团,万绿丛中一点红,那是真的红,很多时候,不是你不知道龙头是...
# 【讨论】高胜率炒股,是该顺人性or逆人性?
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小白菜369:
悟到了大师已经在天台了 [微笑]
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過路人
·
05-29
$恒生指数(HSI)$
回吐百余点,夜期亦续跌过百点。今日就恒指结算。睇下守唔守得住二万三千大关。
$阿里巴巴-W(09988)$
昨日表现算系差既一只,现价大有食之无味,弃之可惜之感,感觉又好似好难升穿120,随时又会回到110之下。得几蚊水位,都系一样,卖下put好过直接持有正股。今日我亦有多只巴巴结算,但距离现价很远,等收钱[财迷]
$快手-W(01024)$
昨日是表现好既一只,受惠于业绩好,而大升5%。业绩好与坏,都是市场大户如何演绎。我够觉得它不太好。卖put左43月结。轻松过关[胜利]
$纳斯达克(.IXIC)$
尾段跌得比较,仲以为它已经不行了,下跌了0.51%。盘后就
$英伟达(NVDA)$
业绩带动下,期货反弹
$恒生指数(HSI)$ 回吐百余点,夜期亦续跌过百点。今日就恒指结算。睇下守唔守得住二万三千大关。 $阿里巴巴-W(09988)$ 昨日表现算系差既一只,...
# 晒晒更赚钱
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最强大脑袋
·
05-30
$盛业(06069)$
近期港股走势呈现冲高回落态势,5月2日因宣布派发超9亿元特别股息创历史新高后,股价于5月30日回落至11.7港元,区间振幅达24.59%。尽管短期回调,公司基本面支撑强劲:平台科技服务收入同比激增104%,占总营收38%,轻资产模式;叠加连续11年盈利、高分红策略(股息率超90%)及AI+供应链的差异化竞争力,获多家券商机构看好。
$恒生指数(HSI)$
$盛业(06069)$ 近期港股走势呈现冲高回落态势,5月2日因宣布派发超9亿元特别股息创历史新高后,股价于5月30日回落至11.7港元,区间振幅达24....
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微量德丰
·
05-30
$恒生指数(HSI)$
打新党还是猛,发的大部分新股首日都有溢价。打新胜率高、资金占用短暂,非常适合稳健投资者。关键在于筛选基本面
$恒生指数(HSI)$打新党还是猛,发的大部分新股首日都有溢价。打新胜率高、资金占用短暂,非常适合稳健投资者。关键在于筛选基本面
# 【复盘】打新党 vs 波段王!大家5月靠什么赚钱?
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果子哥家老汉
·
05-29
$黄金2506(GC2506)$
看来有可能要跌到3000点哦。唉。头大,没仔细看,在高位接了盘。看来亏损已经成定局了。
$恒生指数(HSI)$
$纳斯达克(.IXIC)$
$标普500(.SPX)$
$道琼斯(.DJI)$
$黄金2506(GC2506)$ 看来有可能要跌到3000点哦。唉。头大,没仔细看,在高位接了盘。看来亏损已经成定局了。$恒生指数(HSI)$ $纳斯达克...
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雁门关向东二万五千里:
花街上车晚,肯定要拉到20000点,高位出货才能减小损失。
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過路人
·
05-30
$恒生指数(HSI)$
在结算日借朗朗关税可能违法所带动下急升[看涨] 310点,趁机挟淡。可是夜期却下跌[看跌] 153点,回吐近半。看来市场对此有保留。
$美团-W(03690)$
之前跌得咁耐,终于都识升了,一日追回6%。低位无买,升咁多我更加唔会买[摊手]
$手回集团(02621)$
正所谓唔怕生错性,至怕改坏名[邪恶] ,举手不回,买定离手,开呀。超额990倍,破发收场[惊吓] ,实属罕见。成间公司都系得果18亿,真系咁劲就唔会咁低市值啦[摊手]
$纳斯达克(.IXIC)$
盘前期货时段一度升超过2%咁多,盘中竟然试过倒跌,睇见都惊。美股咁儿戏既,高追真系有一定风险[嘘]
$恒生指数(HSI)$ 在结算日借朗朗关税可能违法所带动下急升[看涨] 310点,趁机挟淡。可是夜期却下跌[看跌] 153点,回吐近半。看来市场对此有保留...
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果子哥家老汉
·
05-27
$黄金主连 2506(GCmain)$
我也是为什么非要鬼使神差的去买黄金呢?亏了50%。唉😮💨。
$恒生指数(HSI)$
$道琼斯(.DJI)$
$纳斯达克(.IXIC)$
$上证指数(000001.SH)$
$黄金主连 2506(GCmain)$ 我也是为什么非要鬼使神差的去买黄金呢?亏了50%。唉😮💨。$恒生指数(HSI)$ $道琼斯(.DJI)$ $纳斯达克...
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T2022031402:
这个最低交易是多少?200 可以买吗?
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鹿鼎公韦小宝
·
05-26
真心请教一下各位股神、大佬们。为啥我买股票,跌了套牢的我能死死拿住,大涨的我拿三天就卖飞了?这种心态怎么改?求救求教!
$小米集团-W(01810)$
$恒生指数(HSI)$
$阿里巴巴-W(09988)$
真心请教一下各位股神、大佬们。为啥我买股票,跌了套牢的我能死死拿住,大涨的我拿三天就卖飞了?这种心态怎么改?求救求教! $小米集团-W(01810)$ $...
# 车圈风波再起!YU7量产在即,大家看好小米吗?
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好韭不贱贱:
运气问题 [贱笑],其实可以看看股票的历史走势综合分析下这一回能涨到多少。
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Blackland
·
05-29
$恒生指数(HSI)$
短期震荡向下,看到7月前。各类大型新股港股上市,抽水不断。光伏式,新能源车,互联网式内卷如出一辙,严重抽干未来市场需求,企业利润将受到严重影响。观察半年报,决定接下来操作和布局方向。
$恒生指数(HSI)$ 短期震荡向下,看到7月前。各类大型新股港股上市,抽水不断。光伏式,新能源车,互联网式内卷如出一辙,严重抽干未来市场需求,企业利润将...
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鹿鼎公韦小宝
·
05-29
股票是人的游戏,股票是死的,他不会跟你斗。股票前面临的对手是人,就是因为是人,所以股票才会千变万化。股票是人的游戏,散户是人庄也是,在博弈中,重要的不光是你怎么看,而是对手怎么看。
$标普500(.SPX)$
$NQ100指数主连 2506(NQmain)$
$恒生指数(HSI)$
股票是人的游戏,股票是死的,他不会跟你斗。股票前面临的对手是人,就是因为是人,所以股票才会千变万化。股票是人的游戏,散户是人庄也是,在博弈中,重要的不光是...
# 【讨论】高胜率炒股,是该顺人性or逆人性?
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买股票的打铁匠
·
05-29
炒股赚的就是反人性的钱。在底部收恐慌者的筹码,顶部卖给贪婪者。 底部与顶部往往伴随着极端情绪,市场跌至底部时恐慌情绪蔓延,投资者因恐惧盲目抛售筹码,忽视资产实际价值,而成熟交易者此时会保持冷静,利用市场恐慌,以较低成本吸纳优质筹码。 当市场上行至顶部时贪婪情绪主导,投资者被上涨冲昏头脑,不惜高价追入,此时理**易者顺势将持仓卖出,让贪婪者承接高位筹码。 这一过程本质是对市场情绪的精准把握,通过反人性操作实现低买高卖的盈利目标。
$恒生指数(HSI)$
$标普500(.SPX)$
$上证指数(000001.SH)$
炒股赚的就是反人性的钱。在底部收恐慌者的筹码,顶部卖给贪婪者。 底部与顶部往往伴随着极端情绪,市场跌至底部时恐慌情绪蔓延,投资者因恐惧盲目抛售筹码,忽视资...
# 【讨论】高胜率炒股,是该顺人性or逆人性?
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港股聶Sir
·
06-01 09:50
【聂Sir市评】6月开局前港股夜期走弱 关注恒指失守二万三后下一站 (2025/06/02)
继4月恒指
$恒生指数(HSI)$
累跌1,000点后,5月港股未见「五穷」,反而见升,全月累跌1,170点,成功修复4月失地后再有百余点进帐。5月尾二交易日 (5月29日,期结日) 恒指虽上升315点;但于最后交易日偏软,下跌283点,收报23,289点,10天移动平均线得而复失,20天线 (23,268点) 亦仅险守,4月25日以来未尝失守,故应关注本周此线能否继续守住。 这两日港股波幅较大,相信与美国「对等关税」措施在环球见「空欢喜」有关。先是国际贸易法院对此措施颁布临时禁令,市场一度以为环球能摆脱「对等关税」阴霾。 多只中概股及预托走弱 因此上周四港股升逾300点有迹可寻,岂料不足一日事态发展又有新变数,白宫提出上䜣,继而获美国上诉法院裁定,特朗普政府可暂时恢复执行「对等关税」措施。港股利好消息立时消失,拖累上周五恒指跌逾280点。 目前恒指要守二万三关口考验大,皆因周五晚上夜期续跌,周末收报22,901点,下跌285点,倘若今日 (6月2日) 恒指下跌点数相同,便收于23,004点,距离二万三关口仅一步之遥。 上周五美股交易时段多只大型中概股或预托证券表现欠佳,于美国上市的阿里巴巴 (BABA.US)
$阿里巴巴(BABA)$
、京东 (JD.US) 和百度 (BIDU.US) 分别下跌2.85%、1.61%和2.95%
$京东(JD)$
,较港股上周五收市价低2.29%、1.52%和1.39%。 缺稀土美国车厂现危机 美团─W (3690)、小米集团─W
【聂Sir市评】6月开局前港股夜期走弱 关注恒指失守二万三后下一站 (2025/06/02)
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輪證贏家
·
05-30
【轮证赢家】再试恒指熊睇肥牛
嚟到5月最后一个交易日,依家9点8分指数仲行紧U盘,但如果用㖊日收市价计嘅话,5月累升1454点或6.57%。睇返㖊日期结日,指数Chok上Chok落嘅速度比较快,Day Trade真系唔易做,还好作战室班战友训练有素;即开即食,无太多嘅顾虑同烦恼。 直接去Patreon七日免费试用即市作战教室 依家9点49分,作战室已经有几注货即日开出食埋,皆因第一个出淡仓嘅Check Point就系追咗个五分钟图 Slow STC(14.3)落返超卖先。 第二个Check Point就要等10点后指数摆位仲系唔系喺10/20/100线以下,有嘅话注淡仓就可以进一步追埋小时图嘅Slow STC(14.3)两线落到超卖。 10点后有见指数同Slow STC914.3)继续向下,同时
$HSI(HSI)$
今日有重新再向牛证街货方向出发,10点三个字都未到,恒指已经将第一层嘅牛证全清,即有穿过23200点呢口价,皆因为层牛只得一只,而收回价系23200点。 少少有见指数于23200点徘徊,作战室都先收起淡仓保正数;如果之后恒指再向下穿23200点揾肥牛嘅话,
$UB#HSI RP28044.P(56737)$
,收回价23682点,同现价有约430点距离,杠杆约38.1倍够做Day Trade。 到时或者五分钟图上面一早见整条保历加通道向下行,唔紧要,即使指数行Swing,但如果系沿住一条向下运行嘅保历加通道而落嘅话,方向都系指向淡的;反而比较留意小时图嘅Slow STC同保历加底线位置,仲有23200点呢个位穿定唔穿。 作者阿珊,以技术分析专心玩轮证,唔贪心,努力赚取我家肥猫罐罐。 资讯只适用于合资格的香港投资者。结构性
【轮证赢家】再试恒指熊睇肥牛
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来自空中的客人
·
05-28
$恒生指数(HSI)$
恭喜香港 但愿你能安好!
$恒生指数(HSI)$ 恭喜香港 但愿你能安好!
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href=\"https://ttm.financial/S/HSI\">$恒生指数(HSI)$ </a><v-v data-views=\"0\"></v-v> 当日在结算后的交易日随时大跌 [看跌] 283点。晚上夜期跌幅 亦相若,持续回吐。今次惨啰 跌咁多。但不多货在身既我,紧系见到都开心[开心] 。因为机会黎喇飞云 。下跌[思考] 的表面原因:借朗朗发动关税战又有新的消息,但我个人应该是5月份升幅不少,以点数计过千点,现在是借势回调而已。 暂至5月份结算我的投资状况:目前大幅盈利[财迷] ,跑赢大市,6月份我的看法仍然是看跌 ,港股我暂不看到有利好的消息能带动大市上升。投资部署方面:个人仍然是以卖put多于直接买正股。卖put期权:我个人著重于回报与风险是否合乎正例。价钱岩就做,不岩就不做。所以什么引伸波幅我是不看的 个股分析:<a href=\"https://ttm.financial/S/BABA\">$阿里巴巴(BABA)$ </a> 巴巴星期五晚又大跌 ,不过愈跌就愈吸引 [害羞] 。本来想卖put,谂谂下,都系决定跌多一,两日先。唔急既。一急就好易乱。忍 。比我感觉6月份都是横行即机会较大,处于105至120游来游去。要突破120不是容易既事,不过跌至100之下亦不是容易既事。个人部署策略:卖put 110至95之间。始终今年升幅不少达34%,跑赢众多科技股,但若万一有一个坏消息,回调速度和力道可以很大[思考] <a href=\"https://ttm.financial/S/PDD\">$拼多多(PDD)$ </a><v-v data-views=\"0\"></v-v>","plainDigest":"星期五$恒生指数(HSI)$ 当日在结算后的交易日随时大跌 [看跌] 283点。晚上夜期跌幅 亦相若,持续回吐。今次惨啰 跌咁多。但不多货在身既我,紧系见到都开心[开心] 。因为机会黎喇飞云 。下跌[思考] 的表面原因:借朗朗发动关税战又有新的消息,但我个人应该是5月份升幅不少,以点数计过千点,现在是借势回调而已。 暂至5月份结算我的投资状况:目前大幅盈利[财迷] ,跑赢大市,6月份我的看法仍然是看跌 ,港股我暂不看到有利好的消息能带动大市上升。投资部署方面:个人仍然是以卖put多于直接买正股。卖put期权:我个人著重于回报与风险是否合乎正例。价钱岩就做,不岩就不做。所以什么引伸波幅我是不看的 个股分析:$阿里巴巴(BABA)$ 巴巴星期五晚又大跌 ,不过愈跌就愈吸引 [害羞] 。本来想卖put,谂谂下,都系决定跌多一,两日先。唔急既。一急就好易乱。忍 。比我感觉6月份都是横行即机会较大,处于105至120游来游去。要突破120不是容易既事,不过跌至100之下亦不是容易既事。个人部署策略:卖put 110至95之间。始终今年升幅不少达34%,跑赢众多科技股,但若万一有一个坏消息,回调速度和力道可以很大[思考] $拼多多(PDD)$","sourceLanguage":"CN","currentLanguage":"CN","editable":false,"auditStatus":"PASSED","topFlag":false,"totalScore":0,"gmtCreate":1748822918969,"gmtModify":1748851843717,"symbols":["00003","BABA","HSI","PDD"],"themeIds":["5bfad02ab61749c8bfe6573ac7bbe8a3"],"themes":[{"themeId":"5bfad02ab61749c8bfe6573ac7bbe8a3","themeType":0,"name":"晒晒更赚钱"}],"popularizeThemeFlag":false,"imageCount":2,"images":[{"url":"https://community-static.tradeup.com/news/d96289276a65919516e8de6ce64bec2f","width":"720","height":"1600"}],"repostCount":0,"viewCount":383,"likeCount":0,"liked":false,"collected":false,"commentCount":0,"hotComments":[],"voteFlag":false,"rewardFlag":false,"videoFlag":false,"articleFlag":false,"paperFlag":true,"essentialFlag":false,"highlightedFlag":false,"shareLink":"https://laohu8.com/post/441484362010952","orderFlag":false,"starInvestorRankings":[],"featuresForAnalytics":["晒单贴"],"commentAndTweetFlag":false,"upFlag":true,"length":1385,"displayRows":2,"foldSize":0,"authorId":"4182426465066882"}]},{"cardType":"TWEET","cardId":"TWEET.441512830128280","cardData":[{"tweetId":"441512830128280","author":{"authorId":"3459375985172368","idStr":"3459375985172368","name":"远征牛","avatar":"https://static.tigerbbs.com/30e71fb6d5e0f279dcb141a98989c9ff","userType":1,"introduction":"","crmLevel":1,"crmLevelSwitch":0,"individualDisplayBadges":[],"fanSize":41,"starInvestorFlag":false,"userFollowAuthorFlag":false,"authorFollowUserFlag":false},"userFollowAuthorFlag":false,"authorFollowUserFlag":false,"title":"6月2日,端午时节雨纷纷,6月的港股可能不得不为关税战再次下蹲","digest":"周末的特朗普又没闲着,加征钢铝关税至50%,又嘴炮说中国没有遵守日内瓦协议,稀土出口的审批流程太慢,随着90天的到期,这样的情况会越来越多,特朗普四面出击,但碰钉子会越来越多,如之前我提过的,中美的日内瓦协议,做了一个“坏”榜样,短期利用好美国内压力是最好的策略。 上周五港股大幅回调,MSCI 指数换仓带来的流动性放大也不够,市场情绪转向谨慎。 恒指期货开盘后震荡走低,夜盘失守 23,000 点关口,最低触及 22,808 点,较现货低水350多点,市场对6月份走势的悲观预期愈发明显。 <a href=\"https://laohu8.com/S/HSI\">$恒生指数(HSI)$ </a> 下跌 283 点,跌1.2%,收报 23,289 点,成交2700亿港元,但未能突破 3000 亿关口,扣除指数换股因素,成交进一步缩减。今日关注23000的争夺。 <a href=\"https://laohu8.com/S/HSTECH\">$恒生科技指数(HSTECH)$ </a> 大跌 2.48%,收报 5,170 点,科技股成为抛售重灾区。南下资金净流出 42 亿港元,连续两日减持科技股,信号意义非常明显。 短期更种不利消息还将发酵,市场也需要一个消化的过程,仓位降下来的股友,可以忙点其他事情,让市场的子弹飞一会,仓位重的还是要寻机减仓,哪怕小幅止损,也要有控制住仓位,一定要把有限的子弹留出一些。 我们短期的操作也非常少,仅少量操作做空ETF的加减仓,中线仓位都会更加谨慎。 阿里巴巴大跌 3.56%,收报 113.9 港元,近日110将接受考验,我们将观察盘面情况,考虑加仓中线布局。 腾讯跌破 500 港元关口,收报 498.2 港元,等待480的机会。 美团冲高回落跌 1.5%,收报 138 港元,连续三日冲击 140 港元阻力未果,仓位重的抓住机会减","plainDigest":"周末的特朗普又没闲着,加征钢铝关税至50%,又嘴炮说中国没有遵守日内瓦协议,稀土出口的审批流程太慢,随着90天的到期,这样的情况会越来越多,特朗普四面出击,但碰钉子会越来越多,如之前我提过的,中美的日内瓦协议,做了一个“坏”榜样,短期利用好美国内压力是最好的策略。 上周五港股大幅回调,MSCI 指数换仓带来的流动性放大也不够,市场情绪转向谨慎。 恒指期货开盘后震荡走低,夜盘失守 23,000 点关口,最低触及 22,808 点,较现货低水350多点,市场对6月份走势的悲观预期愈发明显。 $恒生指数(HSI)$ 下跌 283 点,跌1.2%,收报 23,289 点,成交2700亿港元,但未能突破 3000 亿关口,扣除指数换股因素,成交进一步缩减。今日关注23000的争夺。 $恒生科技指数(HSTECH)$ 大跌 2.48%,收报 5,170 点,科技股成为抛售重灾区。南下资金净流出 42 亿港元,连续两日减持科技股,信号意义非常明显。 短期更种不利消息还将发酵,市场也需要一个消化的过程,仓位降下来的股友,可以忙点其他事情,让市场的子弹飞一会,仓位重的还是要寻机减仓,哪怕小幅止损,也要有控制住仓位,一定要把有限的子弹留出一些。 我们短期的操作也非常少,仅少量操作做空ETF的加减仓,中线仓位都会更加谨慎。 阿里巴巴大跌 3.56%,收报 113.9 港元,近日110将接受考验,我们将观察盘面情况,考虑加仓中线布局。 腾讯跌破 500 港元关口,收报 498.2 港元,等待480的机会。 美团冲高回落跌 1.5%,收报 138 港元,连续三日冲击 140 港元阻力未果,仓位重的抓住机会减","sourceLanguage":"CN","currentLanguage":"CN","editable":false,"auditStatus":"PASSED","topFlag":false,"totalScore":0,"gmtCreate":1748829829432,"gmtModify":1748830378254,"symbols":[".DJI",".SPX",".IXIC","HSI","HSTECH"],"themeIds":[],"popularizeThemeFlag":false,"imageCount":0,"images":[],"repostCount":0,"viewCount":779,"likeCount":1,"liked":false,"collected":false,"commentCount":1,"hotComments":[],"voteFlag":false,"rewardFlag":false,"videoFlag":false,"articleFlag":false,"paperFlag":true,"essentialFlag":false,"highlightedFlag":false,"shareLink":"https://laohu8.com/post/441512830128280","orderFlag":false,"starInvestorRankings":[],"featuresForAnalytics":[],"commentAndTweetFlag":false,"upFlag":false,"length":1502,"displayRows":2,"foldSize":0,"authorId":"3459375985172368"}]},{"cardType":"TWEET","cardId":"TWEET.441631334171424","cardData":[{"tweetId":"441631334171424","author":{"authorId":"4096254028809090","idStr":"4096254028809090","name":"付轶啸","avatar":"https://static.tigerbbs.com/c48d7f6fd931043edfcdc025f48fb4cc","userType":2,"introduction":"窝轮牛熊证专家、港美A股实盘达人","crmLevel":1,"crmLevelSwitch":0,"wearingBadge":{"badgeId":"3f8f4b8c193b4343a88817ce07587dbd-1","templateUuid":"3f8f4b8c193b4343a88817ce07587dbd","name":"Star 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缩量发行:发行规模小,这次IPO仅发行2亿港币出头,刨去28.2%的基石,流通盘更小,才1.4亿港币,香港公开发售这边募资额才2200多万港元,照目前港股打新的情绪热度,预计上百倍不成问题,一方面风险分散,比较安全可控,另一方面套路回拨可能性大,看到有基石Reynold Lemkins,他们以往参与基石的3个小票EDA集团控股、西安经发和众淼控股全部套路回拨。 分析估值更有意思。2024 PE 40x,2025 PE 25-30x,横向对比同行例如A股公司金禾20多倍的PE,新琪安这2024年40多倍PE看着吓人,但换个角度、逆向思考,现在行业平均估值才25倍,新琪安敢顶着溢价发行,还能找到基石投资人买账,敢定高价还能发出去的票,不正更说明被包盘了吗?这不就是明牌告诉你:幕后有神秘资金操盘,结合没绿鞋,妥妥的妖股,放心打等吃肉就行了。 操盘阵容除了保荐人民银,妖股制造机瑞邦和百惠赫然在团,去年EDA集团控股缩量回拨然后首日猛拉80%、健康之路首日36%几个月暴涨4倍的手法大家还记得吧?都是缩量发行+套路回拨,把流通盘控得死死的,推测这次也可能复制这个剧本。 情绪面,最近打新市场有点小牛市的感觉,赚钱效应较强。最近像新琪安这样的博弈票也挺多的,比如沪上阿姨、觅瑞,最终都达到上百倍融资,要么像觅瑞、博雷顿套路回拨起飞,要么像沪上阿姨流通盘实在太小完全有承接,至少也有20-30%的收益,所以从安全性角度考虑,我觉得新琪安也可以小摸一把,赔率不错的。","plainDigest":"最近港股打新市场突然热闹起来,宁德、恒瑞和几个小票连着暴涨,搞得不少老铁在后台催我分析新股新琪安。 从基本面来看,新琪安是一家给可口可乐、雀巢这类跨国快消巨头提供代糖的化工企业,打新层面核心要关注到是它是一个小市值博弈票,在这就不详细啰嗦什么基本面了,主要看看发行面和情绪面。 看发行面,典型的\"饥饿游戏\",天然适合搞套路回拨的剧本。 缩量发行:发行规模小,这次IPO仅发行2亿港币出头,刨去28.2%的基石,流通盘更小,才1.4亿港币,香港公开发售这边募资额才2200多万港元,照目前港股打新的情绪热度,预计上百倍不成问题,一方面风险分散,比较安全可控,另一方面套路回拨可能性大,看到有基石Reynold Lemkins,他们以往参与基石的3个小票EDA集团控股、西安经发和众淼控股全部套路回拨。 分析估值更有意思。2024 PE 40x,2025 PE 25-30x,横向对比同行例如A股公司金禾20多倍的PE,新琪安这2024年40多倍PE看着吓人,但换个角度、逆向思考,现在行业平均估值才25倍,新琪安敢顶着溢价发行,还能找到基石投资人买账,敢定高价还能发出去的票,不正更说明被包盘了吗?这不就是明牌告诉你:幕后有神秘资金操盘,结合没绿鞋,妥妥的妖股,放心打等吃肉就行了。 操盘阵容除了保荐人民银,妖股制造机瑞邦和百惠赫然在团,去年EDA集团控股缩量回拨然后首日猛拉80%、健康之路首日36%几个月暴涨4倍的手法大家还记得吧?都是缩量发行+套路回拨,把流通盘控得死死的,推测这次也可能复制这个剧本。 情绪面,最近打新市场有点小牛市的感觉,赚钱效应较强。最近像新琪安这样的博弈票也挺多的,比如沪上阿姨、觅瑞,最终都达到上百倍融资,要么像觅瑞、博雷顿套路回拨起飞,要么像沪上阿姨流通盘实在太小完全有承接,至少也有20-30%的收益,所以从安全性角度考虑,我觉得新琪安也可以小摸一把,赔率不错的。","sourceLanguage":"CN","currentLanguage":"CN","editable":false,"auditStatus":"PASSED","topFlag":false,"totalScore":0,"gmtCreate":1748858560357,"gmtModify":1748858566177,"symbols":["HSI","02573","01333"],"themeIds":["4e53e987816ab60293403a7be6fef657"],"themes":[{"themeId":"4e53e987816ab60293403a7be6fef657","themeType":2,"name":"2025年香港IPO热潮:中国A股公司引领浪潮"}],"popularizeThemeFlag":false,"imageCount":0,"images":[],"repostCount":0,"viewCount":216,"likeCount":0,"liked":false,"collected":false,"commentCount":0,"hotComments":[],"voteFlag":false,"rewardFlag":false,"videoFlag":false,"articleFlag":false,"paperFlag":true,"essentialFlag":false,"highlightedFlag":false,"shareLink":"https://laohu8.com/post/441631334171424","orderFlag":false,"starInvestorRankings":[],"featuresForAnalytics":[],"commentAndTweetFlag":false,"upFlag":false,"length":1646,"displayRows":2,"foldSize":0,"authorId":"4096254028809090"}]},{"cardType":"TWEET","cardId":"TWEET.441618470781544","cardData":[{"tweetId":"441618470781544","author":{"authorId":"4202207851945830","idStr":"4202207851945830","name":"萌生财经","avatar":"https://static.tigerbbs.com/f76d2d4785c6ba99ccbd622b321baed6","userType":1,"introduction":"","crmLevel":1,"crmLevelSwitch":0,"individualDisplayBadges":[],"fanSize":121,"starInvestorFlag":false,"userFollowAuthorFlag":false,"authorFollowUserFlag":false},"userFollowAuthorFlag":false,"authorFollowUserFlag":false,"digest":"今天,港股为何突然“V型”向上? 港股今天开盘的走势很吓人,但是随后还是出现了一路向上的格局,到16点收盘无论是恒生指数还是恒生科技指数,跌幅都出现了明显收窄,恒生指数从下跌2.67%到最终收盘时下跌0.57%,相当于盘中将下跌失地收回了2%,恒生科技指数也是如此,最大跌幅3.11%到收盘时下跌0.7%,可以说也收回了盘中的大部分失地。 对于港股今天的这种走势,其实跟我预期的差不多,我原本觉得今天可能收盘跌幅在2%,明天大概率会反攻的,因为目前的所谓利空仅仅是心理层面,看不到影响的实质性,那么对市场产生的波动也就成为了短期因素。 特别是对A股,我想港股明天走势逆转,那么A股也会跟随受益,也就是说万万没有想到港股竟然能够出现盘中V型向上,这是超出预期的,走势上这么呈现,这会直接化解明天A股的风险,使得A股的低开幅度不会那么明显了。 今天,港股为何突然“V型”向上? 从我的理解角度而言,外资当前大的思路还是比较看重中国资产的,这波从4月2日之后的走势,恒生指数的独立性已经说明了问题,内资或者南下资金是难以形成这样的合力,我感觉主要还是外资对中国资产的态度变了,毕竟未来美元走弱是大趋势,美股的风险逐步凸显,这个时候外资自然会寻求全球估值洼地了,港股就成了必然选择。 而之所以今天港股能够出现V型向上,主要还是低开的幅度过大,因为受到了利空消息的影响,而这对场外资金来说是比较合适的低吸机会,港股能从低位一路向上,恰恰说明了有增量资金逢低介入的概率。 由此可以得出的结论是,感觉港股短期有点一步调整到位的可能性,当然了还有一个更好的办法,就看短期内今天的低点会不会再被回探,如果不去二次探底的话,那见短期内底部的概率就更大了。 免责声明:文中内容仅","plainDigest":"今天,港股为何突然“V型”向上? 港股今天开盘的走势很吓人,但是随后还是出现了一路向上的格局,到16点收盘无论是恒生指数还是恒生科技指数,跌幅都出现了明显收窄,恒生指数从下跌2.67%到最终收盘时下跌0.57%,相当于盘中将下跌失地收回了2%,恒生科技指数也是如此,最大跌幅3.11%到收盘时下跌0.7%,可以说也收回了盘中的大部分失地。 对于港股今天的这种走势,其实跟我预期的差不多,我原本觉得今天可能收盘跌幅在2%,明天大概率会反攻的,因为目前的所谓利空仅仅是心理层面,看不到影响的实质性,那么对市场产生的波动也就成为了短期因素。 特别是对A股,我想港股明天走势逆转,那么A股也会跟随受益,也就是说万万没有想到港股竟然能够出现盘中V型向上,这是超出预期的,走势上这么呈现,这会直接化解明天A股的风险,使得A股的低开幅度不会那么明显了。 今天,港股为何突然“V型”向上? 从我的理解角度而言,外资当前大的思路还是比较看重中国资产的,这波从4月2日之后的走势,恒生指数的独立性已经说明了问题,内资或者南下资金是难以形成这样的合力,我感觉主要还是外资对中国资产的态度变了,毕竟未来美元走弱是大趋势,美股的风险逐步凸显,这个时候外资自然会寻求全球估值洼地了,港股就成了必然选择。 而之所以今天港股能够出现V型向上,主要还是低开的幅度过大,因为受到了利空消息的影响,而这对场外资金来说是比较合适的低吸机会,港股能从低位一路向上,恰恰说明了有增量资金逢低介入的概率。 由此可以得出的结论是,感觉港股短期有点一步调整到位的可能性,当然了还有一个更好的办法,就看短期内今天的低点会不会再被回探,如果不去二次探底的话,那见短期内底部的概率就更大了。 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作战室啲淡仓玩咗半个钟之后开始走得八八九九,先收今日第一注正数,咁之后都有本钱再玩落去;10点后有见恒指再向下落,22700点都确认穿埋,喺牛熊证街货图上见首五层牛证街货已经被收回,合共有相当于3174张期指街货。 望望钟已经10点16分,作战室里头 开始连过夜淡仓都清埋,五分钟图上见整条保历加通道有开始向下,指数亦见落到22700点后有止步,依家稍为上行往10线方向。 怕且今日恒指都食饱饱,连日线图上都有见指数向下落到50线水平。 但如果day Trade计,小时图上目前虽然仍见保历加通道口拓阔,不过「锤头」出现+Slow STC(14.3)两线处于超卖位。拉近啲个五分钟图就见整条保历加通道向下,咁即系比返个Swing Trade出嚟啦。 $UB#HSI RC2712E.C(69243)$ ,收回价22368点,同现价有约417点距离,杠杆约59.8倍,做Day Trade架咋。 再到10点47分,五分钟图上应该见指数企返上五分钟图10线,Day Trade以此作为下方量度线,先睇住中轴,过得到先再博保历加顶/Slow STC(14.3)上返超买啦。 作者阿珊,以技术分析专心玩轮证,唔贪心,努力赚取我家肥猫罐罐。 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