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BenBina
·
03-26
$中芯国际(00981)$
特么的不是今天盘后出财报吗?
$中芯国际(00981)$ 特么的不是今天盘后出财报吗?
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小虎老师
·
03-30
市场周评:上周股指连跌、能源领涨,本周非农与耶稣受难日休市将至
上周回顾 1. 美股市场:指数延续跌势,能源板块一枝独秀 股指回调:美股主要指数连续第五周下跌,
$纳斯达克(.IXIC)$
跌 3.23%,
$标普500(.SPX)$
跌 2.12%,
$道琼斯(.DJI)$
跌 0.9%。 风格切换:成长股跑输价值股,年内成长板块跌幅近 13%,价值股小幅收涨。 大小盘分化:
$罗素2000指数ETF(IWM)$
小盘指数周涨 0.5%,
$罗素1000指数ETF-iShares(IWB)$
大盘指数跌 2.0%。 能源爆发:能源板块 周涨超 6%,3 月以来涨近 13%,年内累计上涨 41%,受油气价格大涨支撑。 信心回落:美国消费者信心指数跌至 2026 年以来新低,扭转此前回升态势。 收益率上行:10 年期美债收益率升至 4.43%,创 8 个多月新高。 非农在即:本周五将公布 3 月非农数据;2 月非农减少 9.2 万人,为五个月内第三次下滑。 2. 美股板块与个股:地缘冲击科技,AI、汽车、光通信凭基本面交易 板块:中东局势与油价波动导致标普 500、纳指 100 分别下跌 2.12%、3.23%。高估值 AI 与科技板块回调,传统能源股随油价走强。
$特斯拉(TSLA)$
:-1.7%,与 xAI、SpaceX 合作的 2nm Terafab 芯片项目引
市场周评:上周股指连跌、能源领涨,本周非农与耶稣受难日休市将至
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真灼财经
·
03-24
【真灼机构观点】美股在中东局势暂现缓和背景下明显反弹,港股通周一净流入297港元
大市点评 昨晚美股在中东局势暂现缓和背景下明显反弹,科技与增长股领涨,风险偏好回升。特朗普在社群媒体声称与伊朗展开“良好且具建设性”对话后,原油期货单日暴跌逾一成,贴文前数分钟股指与油价期货成交量放大,引发市场对潜在内线交易与监管风险的忧虑。油价急挫虽暂时舒缓通胀与利率压力、支持高估值增长股与美股指数表现,但也提高能源股获利不确定性与资本开支收缩风险。 港股通周一净流入 297 港元,其中
$盈富基金(02800)$
净流入最多,达 132.7 亿港元,其次是
$南方恒生科技(03033)$
;
$中芯国际(00981)$
则面对最大净流出,达 5.2 亿港元,其次是阿里巴巴(09988.HK)。 来源:凯基证券
【真灼机构观点】美股在中东局势暂现缓和背景下明显反弹,港股通周一净流入297港元
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执笔生财
·
03-23
$晶科电子股份(02551)$
$兆易创新(03986)$
刚刷到这个消息,重点布局第三代半导体产业,没看到跟着半导体板块走
$中芯国际(00981)$
$晶科电子股份(02551)$ $兆易创新(03986)$ 刚刷到这个消息,重点布局第三代半导体产业,没看到跟着半导体板块走 $中芯国际(00981)$
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搏尽佢啦
·
04-01
港美股覆盘 : 美伊拉扯接近尾声 , 但市场早已千疮百孔
如标题,虽然这是黄金坑,但因为被拉扯了太久,港股很多票的大支撑已经一破再破,包括美股 $纳斯达克指数 IXIC$ 也在上周破了重要的位置,哪怕昨晚有伊朗总统的"结束战争"的发言,让市场集体反弹,但这种"反弹"很难"持续",因为目前大部分属于超趺反趺,从反弹到反转重回上升趋势需要很长时间,即使美股一直以来都能V,但也会比之前慢很多,比如最快也要4-8周(从下面这些最大市值的日线图便能知道,反弹到反转到重新走单边要经历好几浪) , 所以短线和波段的还是要多操作才行,中线的大部分是能忍能等的,就没什么影响,只要出底了,基本上就没什么可担心的了,出底的时间也快到的了。 而港股
$恒生科技指数主连 2604(HTImain)$
更不用说,更惨,更久,所以今天的内容主要围绕著几个问题: 1)4月份能不能大涨? 2)能的话什么版块大涨还是共涨? 1)4月份能不能大涨? 港股来讲,科指目前虽然超趺更多,空间更大,但从技术面反弹的条件来讲,是远不如恒指
$恒生指数主连 2604(HSImain)$
的,所以第1个问题可以直接否掉大涨的说法,科指从月线来讲正常最多只看5150-5180,而且在这之前还要面对5000的大压(5180距离现在4750只有430点,也就是9%, 指数18天的交易日最多只涨9%的话,那肯定就不是连续上涨的) ; 2)能的话什么版块大涨还是共涨? 指数能弹但不大涨的前提下,权重们只有2种可能性 1)分化,象之前 $阿里巴巴-W hk09988$ $百度集团-SW hk09888$ , $腾讯控股
港美股覆盘 : 美伊拉扯接近尾声 , 但市场早已千疮百孔
精彩
KittyBruno:
港股真係磨人,反彈等耐啲先有戲!
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易方达香港
·
03-20
一图看懂|易方达亚洲半导体 ETF(3486)
$易方达亚洲半导体(03486)$
$华虹半导体(01347)$
$台积电(TSM)$
$中芯国际(00981)$
$ASMPT(00522)$
一图看懂|易方达亚洲半导体 ETF(3486)
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真灼财经
·
03-19
【真灼机构观点】通胀棘手+鹰派信号 港股料维持高位震荡
受 2 月 PPI 超预期(3.4%)及核心 PPI 走高影响,美国通胀压力依然棘手。美联储维持利率不变,最新位图释放强烈鹰派信号:2026 年利率中位数维持在 3.4%,暗示全年仅减息一次;且 19 位官员中多达 14 位预期仅减息一次或不减息,长期利率预测更上调至 3.1%。鲍威尔明确表示“不急于减息”,令市场首次降息预期推迟至年底。美债收益率攀升与美元走强,对黄金及高估值科技股构成显著压制,短期大市在“更高、更久”的利率预期与中东局势双重打压下,料将维持高位震荡,操作宜趋保守。 港股通星期三净流入 12.17 亿元,其中,
$阿里巴巴-W(09988)$
流入最多,达 15.36 亿港元;其次是小米集团W(01810.HK)。
$中芯国际(00981)$
则录得最多净流出,为 7.74 亿港元;其次是腾讯控股(00700.HK)。 来源:凯基证券
【真灼机构观点】通胀棘手+鹰派信号 港股料维持高位震荡
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WilliamZhao聊港股
·
03-19
3.19 股灾来了??
2026年3月19日收盘后复盘 恒指跟随外围下跌,但仍然在25236点重要支撑上 持续走出多头趋势 目前回调但趋势没有破坏
$恒生科技指数(HSTECH)$
多头趋势延续,防守位上升到3月10日k线低位4960 目前仍然多头趋势
$百度集团-SW(09888)$
防守位3月9日k线低位111.8 目前多头趋势延续 收盘不跌破防守位可以持有
$腾讯控股(00700)$
今日大跌,防守位3月13日k线低位543 收盘跌破防守位,先止盈卖出
$小米集团-W(01810)$
小幅上涨, 防守位3月13日k线低位32.78 收盘不跌破防守位可以持有
$中芯国际(00981)$
小幅下跌,防守位3月9日k线低位58.3 收盘不跌破防守位可以持有 00941中国移动:小幅下跌,防守位3月13日k线低位78.6 收盘不跌破防守位可以持有 09988阿里巴巴:大幅下跌,防守位3月13日k线低位125.1 收盘不跌破防守位可以持有 02015理想汽车:小幅下跌,防守位3月11日k线低位69 周三跌破目前空头趋势延续 03690美团:小幅上涨,防守位3136日k线低位75.85 收盘不跌破防守位可以持有 01211比亚迪:小幅上涨,防守位3月9日k线低位90.4 收盘不跌
3.19 股灾来了??
精彩
BrienD:
回調正常,趨勢未破,繼續觀察!
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易方达香港
·
03-20
腾讯财报出炉,AI投入翻倍至180亿,易方达AI ETF(3489.HK)把握长期机遇
一、事件核心:腾讯财报出炉,AI 投入再加码 易方达AI ETF(3489.HK)
$易方达人工智能ETF(03489)$
前十大重仓股腾讯
$腾讯控股(00700)$
发布最新财报,主业表现强劲,游戏、广告、云业务多点开花——游戏收入同比增长 21%,广告收入增长17%,云业务增速达 22%。与此同时,公司宣布将 AI 领域资本支出翻倍至 180 亿元,加码布局 AI 领域。受此影响,2026年净利润增速预期下调,财报后股价承压。 二、核心解读:AI 布局聚焦长期,行业景气度持续 腾讯正全面进入“AI智能体时代”的重金投资期,此次加大 AI 资本投入,是用短期利润让步换取下一代AI生态的门票。从行业逻辑来看,AI 产业正从 “对话式”向“实用化”升级,而腾讯的 AI 布局,依托自身稳固的主业基础提供充足支撑,有望进一步推动AI应用场景落地。未来3-6个月,混元3.0大模型、微信AI助手的商业化进展,或成为港股科技板块估值修复的重要催化剂,推动AI产业链景气度提升。 三、投资工具:易方达 AI ETF(3489.HK),把握中美AI机遇 面对 AI 产业的长期发展机遇,普通投资者可通过易方达AI ETF(3489.HK)高效布局: 1. 全产业链覆盖,兼顾算力与应用两大主线:产品紧密跟踪富时定制全球人工智能精选指数,覆盖 AI 产业链核心环节,上至英伟达
$英伟达(NVDA)$
、博通
$博通(AVGO)$
、中芯国际
腾讯财报出炉,AI投入翻倍至180亿,易方达AI ETF(3489.HK)把握长期机遇
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WilliamZhao聊港股
·
03-17
3.17 港股继续强势📈
港股继续强势!恒生指数开盘后突破26000,现报约26094点涨幅超1%;恒生科技指数冲5172点,涨幅超1.3%,而全球其他市场震荡。在中东冲突持续升级下,布伦特原油维持102美元高位。日本韩国高度依赖中东石油,面临能源成本暴升和输入性通胀。但中国能源结构独特(煤炭主导发电+电动车普及率逼近60%),冲击较小。油价高企反而加速全球(尤其是欧洲)电动车需求,中国新能源产业链(如比亚迪欧洲销量持续爆发)直接受益。今天港股新能源、科技制造板块领涨!更有重磅资金信号:受迪拜风险影响,中东富裕家族正咨询在香港设立家族办公室,部分资金考虑回流或增配香港资产。复盘验证:我们过去强调的恒指25000入场位/重要支撑、恒科4750防守位,本周全部守住并反弹,现在直接突破26000/5172!视频拆解油价反向利好逻辑 + 当前关键技术位防守策略。投资有风险,独立判断,仅供参考。点赞订阅开铃铛,评论区说说你最看好哪只新能源股?本视频为市场趋势分析,仅供学习交流参考。不构成任何投资建议。市场有风险,投资需理性决策。港股走势|恒生科技指数|纳斯达克|全球宏观|金融危机预警
$小米集团-W(01810)$
$中芯国际(00981)$
$理想汽车-W(02015)$
$恒生科技指数(HSTECH)$
$腾讯控股(0070
3.17 港股继续强势📈
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公司概况
公司名称
中芯国际集成电路制造有限公司
所属行业
计算机、通信和其他电子设备制造业
上市日期
2020-07-16
注册资本
3205万元
公司概况
中芯国际集成电路制造有限公司的主营业务是基于多种技术节点和技术平台的集成电路晶圆代工业务,并提供设计服务与IP支持、光掩模制造等配套服务。公司的主要产品是集成电路晶圆代工、设计服务与IP支持、光掩模制造。公司累计获得授权专利共14,511件,其中发明专利12,621件。此外,公司还拥有集成电路布图设计权94件。
暂不提供行情数据
热议股票
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