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南方两倍做多恒科(07226)
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小加
·
04-16
$南方两倍做多恒科(07226)$
$南方两倍做多恒科(07226)$
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小加
·
04-16
$南方两倍做多恒科(07226)$
$南方两倍做多恒科(07226)$
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雪哥观澜
·
04-14
纳指都快新高了,恒科呢?
公众号又改了推送算法,为免失联,请关注+⭐️星标仗还在打,川宝和伊朗还在两小儿辩日,最近写的行情分析少了,因为两小儿说的各有各的道理,孔子不能决也。市场行情也比较分化,原油还在100附近上蹿下跳,美股以闪电般的速度修复打仗跌幅,一眨眼标普和纳指都已经离前期新高不远了。大A也回到了4000点,虽然修复...
纳指都快新高了,恒科呢?
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超弦投资机会
·
04-16
26-4-17 恒科(中概)超跌反弹走高t掉一笔多(2)
伊美冲突缓和,美股大涨了,导致a股也涨,至于科技股的中概也是涨了不少了,之前老是等不给,后边给了都不敢买了,第二次再给自然必须的买了,只会亏时间不会亏钱的存在,那么这种便宜干嘛不要呢,现在反弹了大概10%+吧,那么自然的先吃上一口肉了,毕竟现在ai来回折腾人的,宁可少赚点也得吃到嘴里才是真的。 图片 图片 恒科给到了5k1附近,后边要是一口气给5k5和6k就都给他好了,短期赚这么多也不少了,要是做长线的就没必要折腾了,就是逢低持续买入就行了,继续看中长期的6k5,8k和过万,不过过程会比较曲折罢了。 图片 图片 后续暂时就是这样安排的了,持续大跌是利好,震荡走高可以差价,持续走高除非基本面或者是趋势稳定,不然非常容易被ai量化钓鱼了,宁可低位慢慢接被套,也尽量的不要去乱追高来的好了,何况就买低位优质的资产,而且是分批的来做就不差了,个人看不少权益市场都开始疯狂了,疯狂后就灭亡了,谨慎点没有什么坏事。 参考文章: 26-4-5 恒科(中概)逐步慢慢继续布局做多稳赢 26-3-7 恒科指数等3k-4k5附近持续布局即可(3) 26-2-19 港股之恒科阴跌该怎么差价玩呢 25-12-17 注意港股和中概的成分股变化风险(2*) 本文记于26-4-16
26-4-17 恒科(中概)超跌反弹走高t掉一笔多(2)
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价值投资为王
·
04-09
恒生科技指数已自10月高点回落26%,该指数的远期市盈率降至约19倍。这一水平大致与2023年1月中国在新冠疫情后全面重启以来的平均远期市盈率相当,但仍明显高于去年约14倍的低点。
$南方恒生科技(03033)$
$安硕恒生科技(03067)$
$南方两倍做多恒科(07226)$
$恒生科技ETF(03032)$
$XI二南方恒科(07552)$
恒生科技指数已自10月高点回落26%,该指数的远期市盈率降至约19倍。这一水平大致与2023年1月中国在新冠疫情后全面重启以来的平均远期市盈率相当,但仍明...
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WalterBurns:
市盈率19倍了,不算贵吧?
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小加
·
04-02
$南方两倍做多恒科(07226)$
$南方两倍做多恒科(07226)$
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超弦投资机会
·
04-06
26-4-5 恒科(中概)逐步慢慢继续布局做多稳赢
市场好做的时候就做多,市场高位就等空,市场调整很久慢慢考虑做多,多个市场和板块等,就看那个有机会了,其实停下来想想还是挺累人的了,后续要减少这部分的投入了,就做一些差不多的机会就行了,钱是赚不完的了。 港股没啥的了,美股跌,a股郭嘉対走了,恒指自然是跌的了,不过里面有不少的金融和资源,要大跌也难,反而是科技股的恒科更加的跟跌一些了,目前恒科跌到一个比较尴尬的位置了。 图片 图片 图片 也就是说美股横着,那么这里恒科就可能起来,但说太好的价格不至于,只不过长期看还不吃亏罢了,前面在6k附近多了一把坑死了,当然了错了就止损了,现在给到预期的4k5附近,最低在4k6左右,那么不吃亏就可以了,后续可能会买到3000-2500附近,没啥不可能的了,不过未来看6k5-8k-1w附近,这样计算平均值就是3750附近,那么空间就是70-120-170%附近吧,折算下来熬个3-5-7年,折算下来年化15-20%还是有的,那么就没啥犹豫的了,慢慢的往下买就是了,不过的定投模式,而且是跌10%附近就可以加倍的买了,后续看涨到6500/8500和1w附近了,这个是中长线的目标位看法了。 未来ai大模型会破灭,但后续还是会起来,科技公司还是有发展,这样自然是恒科还算可以了,不过目前是配置的头寸罢了,后续走跌才开始逐步的买入即可。 图片 没有定投的打算稳健就稍微等等周月线了,长线的玩法差不多就行了,做到是稳健安全的,少赚点都行,也不怕被套,但对于精密的玩法就要求很高了。 算算年化15/20%也不差了,就是的做好持久战的准备了,慢慢可以买个一年半载的,要是给到位置就打完,没给到就慢慢买,太高就停止定投,大概可以配置个最多二三成头寸吧。 图片 图片 腾讯是在450/300附近布局,间隔三五十块一次即可,阿里是110-90-70附近布局,间隔10块为一个单位就差不多了。 图片 参考文章: 26-3-7 恒科
26-4-5 恒科(中概)逐步慢慢继续布局做多稳赢
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有银子
·
03-27
$南方两倍做多恒科(07226)$
到 4.5 的综合概率: 👉 约 60–65%(中等偏高,但不是确定) 👉 时间: • 最快:2–3周 • 主流:1–2个月 • 拖延:2–3个月+
$南方两倍做多恒科(07226)$ 到 4.5 的综合概率: 👉 约 60–65%(中等偏高,但不是确定) 👉 时间: • 最快:2–3周 • 主流:1–...
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老韭菜进化论
·
03-23
恒科跌27%南向狂买1800亿——但散户别自作多情,这钱和你没关系
结论先说:南向资金年初至今净买入超1800亿港元,3月9日单日破纪录372亿——但这些钱是公募、保险、社保在做资产配置,不是在给你发抄底信号。恒科PE 20倍看起来便宜,但如果龙头盈利继续恶化,这个"便宜"可能是陷阱。 数据摆在这里。$HSTECH 4872,去年10月高点6715,-27%。小米单日-7.8%,中芯-4.9%。恒指连跌三周。CNN恐慌指数15,极度恐慌。 南向资金里大头是机构——公募、保险、社保。它们有年度考核周期、有期权期货对冲、在做配置而非赌方向。散户没有这三样东西,跟着机构的节奏买,等于用步枪跟坦克打一个位置。 恒科"便宜"?华泰拆解:互联网+软件占57%,消费属性占51%。美团2025年亏230亿+,阿里京东GMV增速回落至8-10%。这不是中国版纳斯达克,是互联网消费指数——竞争格局问题不是AI叙事能解决的。 如果E在跌,PE 20倍可能很快变成25倍——不是因为股价涨了,是因为利润缩水了。这才是"估值陷阱"的经典定义。 上周FOMC 14/19官员只看0-1次降息,PCE预测上调至2.7%。联邦基金期货定价30%加息概率。港股离岸市场对美元流动性高度敏感——零降息环境下,恒科估值压缩可能没到头。 我手里腾讯阿里浮亏15%,没割没加。等3月财报季和流动性方向明确。 我的预判:如果腾讯美团年报利润率企稳+鲍威尔5月卸任前释放鸽派信号,恒科有望从4800反弹到5500。但如果盈利继续恶化+年内零降息确认,恒科可能再跌到4200-4500。你赌哪个?
恒科跌27%南向狂买1800亿——但散户别自作多情,这钱和你没关系
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TobyZacharias:
等财报出来再动
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Perfect99
·
03-20
$南方两倍做多恒科(07226)$
还是美股好[流泪]
$南方两倍做多恒科(07226)$ 还是美股好[流泪]
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