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标普500ETF(SPY)
盘后
682.87
-0.17
-0.03%
18:26 EST
683.04
-0.59
-0.09%
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期权小班长
·
12-09 22:54
H200喜获解禁,英伟达趋势要走强吗?
$英伟达(NVDA)$
标题答案是,下限极大改善了,上限稍微上挪187.5。12月和1月因为堆积了大量未平仓期权,所以这两个月主要以区间震荡为主,除非爆出重大利好,比如新出了一个现象级的AI应用,那么所有的AI板块会一起飞。如果没有现象级产品拉动,预期12月~1月16号就是在160~200区间震荡。1月16日到期200call未平仓数据有15.9万手,19号到期200call有10.6万手,这种情况下股价不会高于200。但是利好消息大大提升了看跌期权开仓的行权价,极端对冲减少,支撑位变高,我觉得总体震荡区间可以谨慎提升至170~200。理论上H200解禁应该是重大利好消息,不过额外增加25%的税收抵消部分利好,预计贡献每股收益大约只有20~50美分。但我觉得这个消息重要点在于打开了中国市场的想象空间,为以后的财报预测铺路了。
$标普500ETF(SPY)$
做极端对冲的大大减少,闪崩概率降低,维持周一观点,大盘处于正常高位回调状态,在680~685之间震荡。
$奈飞(NFLX)$
奈飞近期受收购案影响股价暴跌,很多人关心能不能抄底。看跌期权开仓来看目前价位很有吸引力,看跌期权行权价开仓集中在90~95,月线ma20有比较强的支撑。不过也有空头继续看空到日线ma120位置价格80
$NFLX 20260821 80.0 PUT$
,开仓3000手,成交额约150万美元。值得注意的是,收购案的另一方华纳兄弟
H200喜获解禁,英伟达趋势要走强吗?
# 期权Q&A:期权知识,你问我答
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充满热情的三流牌手:
文章当然有意义,每天必看,一旦看不到更新都不怎么敢下手,支持班长[爱你]
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阿呆宝
·
12-09 17:44
美联储降息影响判断
综合考虑各大机构预测、经济基本面、政策环境和风险因素,我们对2025年末标普500点位做出如下判断: 基准情景(概率60%):6,500-6,800点 在这一情景下,美联储12月降息25个基点,2026年再降息1-2次。美国经济实现软着陆,GDP增长保持在2.5%-3%区间。企业盈利增长5%-8%,主要由AI投资和生产率提升驱动。估值维持在22-23倍PE,略高于历史平均但仍可接受。 支撑这一判断的理由包括: • 历史上预防式降息周期平均带来15%的12个月回报 • 企业盈利增长趋势良好,Q3财报季显示70%以上公司超预期 • 流动性环境改善,美联储结束缩表并继续降息 • 季节性因素有利,12月通常是美股表现较好的月份 乐观情景(概率25%):6,900-7,200点 在乐观情景下,美国经济展现超预期韧性,避免衰退并实现3%以上增长。美联储降息幅度超预期,2026年可能降息3-4次。企业盈利增长10%以上,AI投资带来的生产率提升超出预期。贸易紧张局势缓解,关税影响低于预期。在这种情况下,标普500可能挑战7,000点甚至更高。 悲观情景(概率15%):5,800-6,200点 悲观情景下,美国经济陷入衰退,GDP出现负增长。企业盈利下滑5%-10%,主要受需求疲软和利润率压缩影响。贸易战升级,关税导致通胀反弹,迫使美联储暂停降息。地缘政治冲突加剧,避险情绪上升。在最悲观情况下,标普500可能测试5,800点支撑,甚至更低。 需要强调的是,即使在悲观情景下,我们也不认为会出现类似2008年的系统性金融危机。当前美国金融体系更加稳健,企业资产负债表状况良好,这将提供一定的缓冲。
美联储降息影响判断
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coolguy001:
数据挺细的,但实际走势可能更复杂
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价值投资为王
·
12-09 09:55
在9月发布的预测报告中,美联储官员们平均预期2026年仅需再降息一次,2027年亦为一次。
在9月发布的预测报告中,美联储官员们平均预期2026年仅需再降息一次,2027年亦为一次。
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期权小班长
·
12-08 22:52
三巫日目标:杀put
$英伟达(NVDA)$
大盘再次返回高点,未来三周走向又成悬念。FOMC召开前如何形容市场风险,有一个值得注意的现象是:英伟达long call
$NVDA 20260220 170.0 CALL$
减仓了1.4万手。机构long call减仓不太常见,但也不是说减仓就一定会跌的很多,也可能是预期到盘整时间很长,会消耗期权的时间价值。做sell call的机构本周选择sell 187.5call
$NVDA 20251212 187.5 CALL$
,buy195call对冲
$NVDA 20251212 195.0 CALL$
,跟上周行权价选择类似,意味本周很难有所突破,可以逢高sell call。本周波动范围大概率还是在170~185之间,不过建议逢低sell put的时候不要重仓。
$标普500ETF(SPY)$
spy在Q4三巫日的主要任务是杀海量堆积的未平仓put,所以预计到下周月权日到期前spy会在660~680之间震荡。不排除周二会大幅回调,但也不用太紧张。
$美国超微公司(AMD)$
同样是表现平平的一周,机构sell cal
三巫日目标:杀put
# 期权Q&A:期权知识,你问我答
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不做赔本交易:
你这玩意没有任何参考意义。
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科技Geek
·
12-09 06:03
$标普500ETF(SPY)$
$687这波回调挺健康,圣诞行情随时准备发车
$标普500ETF(SPY)$ $687这波回调挺健康,圣诞行情随时准备发车
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科技Geek
·
12-09 05:10
$标普500ETF(SPY)$
评论区熊气弥漫,但别被迷惑。短期回调不改大势,市场依然看涨。
$标普500ETF(SPY)$ 评论区熊气弥漫,但别被迷惑。短期回调不改大势,市场依然看涨。
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半岛T
·
12-09 04:58
$标普500ETF(SPY)$
每波回调都是进货良机,誓要捂到地老天荒
$标普500ETF(SPY)$ 每波回调都是进货良机,誓要捂到地老天荒
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发發虎
·
12-09 21:04
【一起发财】不追下一只英伟达,他靠这只股票,稳赚2万美金
在AI行情震荡、热门个股反复横跳的时候,有些人开始犹豫:到底还能买什么?市场越是不确定,越能看出稳健资产的价值。就在许多人观望时,有虎友悄悄抄底了标普500 ETF($VOO)——如今一看,他们不仅避开了波动,还实打实地赚了一笔:让我们一探究竟。恭喜
@nahwu
抄底VOO盈利 22,334美元恭喜
@del
piero 抄底VOO盈利 11,444美元以上虎友欢迎添加虎妞微信(微信号:itiger2014),分享你的投资故事,赢取老虎限量周边,还有机会接受专访!为什么那么多人,兜兜转转又回到了标普500?巴菲特不止一次为标普 500 “站台”。在 2014 年的致股东信中,他写得很直白:“我的遗嘱里,留下的现金有 10% 放在短期美国国债里,其余 90% 全部买标普 500 指数基金。”这背后的逻辑,其实一点都不复杂:与其花大量精力去选股、择时,不如干脆把钱交给一整篮子头部公司。标普 500 指数跟踪的是美国股市中约 500 家最大的上市公司,覆盖了大约 80% 的美国股票总市值,自 1957 年创立至今,已经走过了六十多年。我们耳熟能详的苹果、微软、亚马逊、特斯拉、谷歌、伯克希尔、强生等公司,都包含在这只指数里。相比只押注一两只个股,投资指数本身的抗风险能力更强,也就是常说的“不要把鸡蛋放在一个篮子里”。而且标普 500 的成分股并不是一成不变的,而是动态调整:每个季度都会把符合资格的新公司纳入进来,同时剔除掉不再符合标准的公司。换句话说,买标普,你不需要每天纠结“到底是苹果更强,还是微软更强”,你只需要问自己一个更底层的问题:如果未来二三十年,美国这一套经济和资
【一起发财】不追下一只英伟达,他靠这只股票,稳赚2万美金
# 晒晒更赚钱
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IrisJack:
我也把VOO当底仓,稳稳的幸福~大家都配了多少比例?
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狗狗祟祟的打工刘
·
12-09 04:03
$标普500ETF(SPY)$
按埃隆的说法,等人工智能榨干有机生命体后,咱们就该直奔巅峰了。
$标普500ETF(SPY)$ 按埃隆的说法,等人工智能榨干有机生命体后,咱们就该直奔巅峰了。
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白日梦想甲乙丙
·
12-08 20:49
$标普500ETF(SPY)$
这行情简直像装上了火箭推进器
$标普500ETF(SPY)$ 这行情简直像装上了火箭推进器
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卖方笔记
·
12-09 18:11
读懂美联储12月会议:降息在即,市场如何布局?
大家好!如果你是刚开始接触美股的朋友,面对本周三(12月10日)即将到来的美联储重磅会议,可能会感到一头雾水。别担心,本文将以最直白的语言,为你拆解这次会议到底有多重要,并手把手教你一种适合当前市场的经典期权策略。为什么这次会议是“超级星期三”?简单说,美联储(美国的央行)很可能要宣布降息了,这将是今年以来的第一次。但市场纠结的不是“降不降”,而是“怎么降”以及“降完后说什么”。1. 特殊的“闭卷考试”通常,美联储决策要看最新的就业和通胀数据。但巧的是,因为之前美国政府停摆,10月和11月的关键数据都推迟发布了。这就好比美联储要在不看最新成绩单的情况下决定要不要给学生(市场)放松要求,难度很大,说出来的话也会格外谨慎。2. “鹰派降息”是什么新玩法?市场几乎100%认定会降息。所以真正的看点在于美联储的“语气”。现在流行一个词叫 “鹰派降息” 。可以这样理解:“降息”(鸽派行为):好比给你糖吃,是放松。“鹰派”语气:同时严肃地说“只此一次,下不为例”,警告你别指望马上有第二颗糖。美联储可能会通过一份叫“点阵图”的预测表,暗示明年降息次数有限,以此来给过热的市场预期泼点冷水。他们能不能“吓住”市场,是最大悬念。3. 美联储内部“吵翻了”美联储不是一个人说了算,由一群委员投票决定。目前内部意见分裂严重:“鹰派”(谨慎派):担心通胀反弹,觉得经济还行,不想那么快降息。“鸽派”(宽松派):更担心经济下滑和就业市场疲软,觉得可以多降点。这种公开的分歧会让会议结果变得更难预测,也意味着公布后市场波动可能更大。经济状况给降息“开了绿灯”美联储之所以考虑降息,是因为经济环境发生了变化:就业市场凉了:失业率连续三个月上升,找工作没那么容易了。新增工作几乎全靠医疗行业撑着,其他行业已经在减少岗位。企业裁员的消息也变多了。通胀真的下来了:物价上涨速度(尤其是除掉波动大的食品和能源后)已经接近美联
读懂美联储12月会议:降息在即,市场如何布局?
# 期权Q&A:期权知识,你问我答
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MariaEvelina:
SPY铁秃鹰这波610-640区间设置有点东西,明天先小仓位试试水!
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口罩哥KZG
·
12-07 18:19
CRYPTO WEEKEND : SEC定调比特币为金融体系基础,下周等待美联储
每个周末,复盘Crypto!本周比特币突破10万美元后高位震荡,最高触及10.4万美元。 BitcoinTreasuries数据显示全球前100家上市公司持仓突破105万枚BTC,其中8家过去7天继续增持。 继续整理 宏观面利好频传:SEC主席明确表态比特币将成为全球金融体系底层基础,美银宣布明年起允许财富顾问主动推荐加密ETF,美联储12月降息预期升至86%。 从监管认可到机构入场,加密行业正加速融入主流金融。 重点新闻 1. SEC主席表示比特币与加密资产将在未来数年成为全球金融体系底层基础,传统金融基础设施将逐步向加密原生技术过渡。 2. 美国银行宣布自2026年1月起,旗下财富顾问可向客户主动推荐加密ETF,不设账户门槛,从"执行指令"升级为"配置建议"。 3. Paradigm联创Matt Huang称当前正是加密货币的"iPhone时刻",行业规模前所未有,机构与密码朋克层面均在加速发展。 4. Bloomberg ETF专家Balchunas表示比特币不应与郁金香泡沫类比,其历经17年多次冲击后创新高,耐久性已充分证明资产价值。 5. 全球前100家持币上市公司合计持仓达105.9万枚BTC,8家过去7天内增持,企业级配置已成主流财务策略。 6. Strategy CEO透露公司美元储备可支撑至少21个月运营而无需出售比特币,有效回应市场对被迫抛售的担忧。 7. Vitalik提出链上Gas期货市场构想,用户可对冲未来Gas价格甚至提前锁定费用,为技术升级带来的成本不确定性提供方案。 8. 西联汇款将发行稳定币预充值支付卡,瞄准阿根廷等高通胀经济体,帮助用户应对本币贬值。 9. CME数据显示美联储12月降息25个基点概率达86%,北京时间12月11日凌晨公布结果。 下周前瞻 下周核心变量在于美联储利率决议的措辞细节。降息已被充分定价,博弈焦点是鲍威尔对明年政
CRYPTO WEEKEND : SEC定调比特币为金融体系基础,下周等待美联储
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AbnerKeppel:
机构抢筹停不下来,SEC和美银这波神助攻!大趋势挡不住
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真灼财经
·
12-09 09:09
【真灼港股名家】市场观望美联储议息结果,国际铜价近日连续再创新高
港股走势及分析 美股周一表现向下,市场观望美联储议息结果,大市缺乏方向,三大指数均录得跌幅收市。美元反复企稳,美国十年期债息回升至4.16厘水平,金价先升后回,油价则表现受压。港股预托证券大致企稳,预料大市早段变动不大。内地股市昨日上升,政治局会议释放更多正面政策信号,内地出口表现超预期,均有利大市气氛,沪综指高开高走,收市上升0.5%,沪深两市成交额亦明显增加。港股昨日走势反复,指数在26,000点遇到阻力,尾市跌幅进一步扩大,整体成交亦略为增加。蓝筹股普遍下跌,市场观望外围息口去向及内地政策消息,预料市况未有太大变化,指数继续于25,200至26,200点水平徘徊。 行业消息 国际铜价近日连续再创新高,年内涨幅超过两成,市场普遍预期铜价将继续上涨。铜价上升动力来自矿产供应紧张、新能源及数据中心等行业需求强劲,以及宏观环境的有利条件,机构普遍预期明年铜价将在每吨1.2万美元至1.3万美元区间内运行。铜价和铜业股,因结构性供需缺口将持续支撑上行势头。投行报告预计2025年全球矿山供给零增长,2026年仅温和回升1.4%。此外,中国铜原料联合谈判小组近期决定将2026年铜矿产能利用率削减逾10%,将进一步加大全球电解铜供应下行风险,加剧市场趋紧格局。中国铜需求近期因高价等因素趋缓,但下游买家并未停购,只是改为按需采购。预计2026年全球精炼铜市场缺口约33万吨,预计有利铜价及铜业股盈利增长,前景值得看好。 海湾家族办公室业务发展总监 郭家耀 CFA 日期:2025年12月9日 星期二 (笔者为证监会持牌人士,本人及相关人士没有持有上述股份)
【真灼港股名家】市场观望美联储议息结果,国际铜价近日连续再创新高
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一博投资 周期为王
·
12-09 07:54
哈赛特若执掌美联储,全球市场将迎何种风暴?
近日,关于美联储主席换届的讨论逐渐升温。随着现任主席鲍威尔任期将满,凯文·哈赛特(Kevin Hassett)被外界视为潜在继任人选之一。若哈赛特真的执掌全球最重要的央行,将对各类市场产生怎样的影响? 哈赛特并非传统意义上的央行技术官僚。作为保守派经济学家,他在税收政策、经济增长和市场监管方面有着鲜明立场。他曾公开支持大幅降税,主张减少监管对市场的干预,并在通胀问题上持相对温和的立场。与鲍威尔的“数据驱动”方式相比,哈赛特可能更倾向于支持经济增长的政策,即使这可能带来一定的通胀压力。 对各类资产的潜在影响 1.美股:短期提振,长期存疑 哈赛特若上任,初期可能会被市场解读为利好。他支持企业减税和宽松监管的立场可能推动股市,特别是金融和传统行业板块上涨。然而,若他的政策导致通胀持续高于美联储目标,可能迫使美联储在后期采取更激进的加息措施,反而会压制估值较高的成长股。 2.黄金:避险属性凸显 面对可能更高的通胀容忍度和潜在的政策不确定性,黄金的避险吸引力将增强。尤其是在实际利率可能保持低位甚至为负的情况下,黄金作为通胀对冲工具的需求将会增加。但若美元因其他原因大幅走强,可能会部分抵消这一影响。 3.加密货币:监管环境成关键 哈赛特对加密货币的态度尚不明朗,但考虑到他总体上支持创新和减少监管的立场,可能会采取比当前更友好的监管框架。这可能在短期内提振比特币等主要加密货币。但另一方面,如果他的政策导致通胀飙升,加密货币作为“数字黄金”的叙事可能得到强化。 4.美元指数:可能承压下行 哈赛特若倾向于维持更长时间的宽松货币政策,与其他主要央行(特别是欧洲央行)的货币政策差异可能缩小,这将削弱美元的相对吸引力。此外,对更高通胀的容忍度也可能侵蚀美元的购买力预期。然而,如果美国经济增长因他的政策而显著增强,可能会部分支撑美元。 5.白银
哈赛特若执掌美联储,全球市场将迎何种风暴?
# 美联储决议来袭!现在你会加仓or减仓?
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ScottGonzales:
历史证明政策转向难料,保持灵活仓位才是关键
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期权小班长
·
12-05
$标普500ETF(SPY)$
年底前最大不确定是大盘是否会回调到650,从spy的看跌行权价来看有不少策略在为此对冲,比如buy
$SPY 20251231 680.0 PUT$
sell
$SPY 20251231 650.0 PUT$
$英伟达(NVDA)$
下周依然是在170~190之间震荡,波动可能比本周剧烈。想省事可以sell call200
$NVDA 20251219 200.0 CALL$
,甚至可以考虑卖1月到期的。另外看跌期权显示对圣诞节前行情有很大不确定性,也可以理解,股价如果涨不上去肯定就要向下波动。但总体来说还是在180~200区间内。
$特斯拉(TSLA)$
机构开仓价差策略,sell call
$TSLA 20251212 470.0 CALL$
,buy call
$TSLA
$标普500ETF(SPY)$年底前最大不确定是大盘是否会回调到650,从spy的看跌行权价来看有不少策略在为此对冲,比如buy $SPY 2025123...
# 期权Q&A:期权知识,你问我答
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100bucks:
请教班长 spy 的开仓情况是不是也会受到spx gamma gex结构影响?目前看到gex在7000正gamma和6850负gamma聚集区。
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小虎老师
·
12-08 12:28
周报:关注12月9–10日美联储会议与潜在“圣诞行情”
上周回顾 1. 美国市场 —— 在信心回升与降息预期中小幅上扬
$标普500ETF(SPY)$
和
$道琼斯(.DJI)$
分别距离10月末与11月中创下的历史高点不到1%;
$NQ100指数2512(NQ2512)$
距离历史高点也不到2%。 就业市场走弱:ADP数据显示11月减少32,000个岗位,逆转10月的47,000个新增;官方数据推迟至12月16日公布。消费者信心回升:情绪小幅改善;核心PCE通胀9月降至2.8%(前值2.9%)。三季度财报强劲:标普500盈利环比增长13.4%,为连续第四个季度双位数增长;科技板块涨幅达29%。美债收益率上升:10年期国债收益率升至4.14%;30年期升至4.79%(三个月新高)。市场押注降息:市场预计12月10日会议有87%的概率降息25个基点。2. 美国行业与个股 —— 科技与AI在强劲财报下领涨 板块方面:科技领涨,通讯服务YTD涨36%,信息科技涨26%,尽管巨头波动较大。AI/半导体活跃——
$英伟达(NVDA)$
投资S
$新思科技(SNPS)$
,亚马逊推出新芯片。 重点个股表现:
$微软(MSFT)$
:因下调AI软件销售目标而下跌1.8%,市场对AI产品采用度存疑。
周报:关注12月9–10日美联储会议与潜在“圣诞行情”
# 澳洲投资圈
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Brant0402
·
12-08 14:43
年末最关键一周!美联储的下一步,将决定美股“圣诞行情”能否突破历史新高
美东时间12月10日下午两点(北京时间12月11日凌晨3点)美联储即将公布12月利率决议。 全球市场都在屏息以待,然而市场关注的焦点却远不止“是否降息”这么简单。 表面看,第三次降息几乎是板上钉钉。但市场真正紧张的,是利率之外的两个变量: l 美联储是否暗示重新扩大资产负债表? l Kevin Hassett——特朗普意向中的新任美联储主席——对货币政策路径意味着什么? 这三者共同构成了本周最关键的宏观拐点,决定着美股这轮年底的圣诞行情能否继续,也决定着全年涨幅已接近17%的标普500指数能否继续突破历史新高。 降息概率锁定:88.4%的押注与“鸽派”证据 目前,市场对美联储降息的预期已达到了乐观的高点。 根据最新CME FedWatch数据(截至12月7日),美联储在12月会议上降息25个基点至350-375个基点的概率高达88.4%。相较于一个月前低于67%的概率,这一激增态势无疑反映了市场对“圣诞降息”的高度确定性。 支撑降息预期的经济信号包括: 通胀温和:9月份的PCE报告显示,消费者在关键领域的支出放缓,服务业通胀保持温和。 劳动力市场软化:即将公布的10月JOLTS职位空缺数据,以及上周喜忧参半的劳动力数据,可能预示着劳动力需求正在温和软化。 内部共识:白宫国家经济委员会主任、被视为“美联储影子主席”的凯文·哈塞特也公开表示存在降息25个基点的共识。 彭博经济研究预计,尽管本次会议缺乏部分关键数据,美联储仍将遵循9月点阵图的路径,在两次降息的基础上再次下调利率25个基点。 比降息更重要的“资产负债表”流动性信号 对于正在创纪录高位徘
年末最关键一周!美联储的下一步,将决定美股“圣诞行情”能否突破历史新高
# 美联储决议来袭!现在你会加仓or减仓?
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KevinKelly:
关键在资产负债表,流动性才是硬道理!
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勇敢_小虎
·
12-06
偏利好,鲍威尔比较保守,新的肯定哈哥,鸽派代表人[微笑]
偏利好,鲍威尔比较保守,新的肯定哈哥,鸽派代表人[微笑]
# 鲍威尔即将卸任?!利好or利空市场?
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话题虎
·
12-08 14:34
不care过程,只关心结果!2025年,.SPX能收于7000点以上吗?
又到年末了,先回顾一下2024年各大行点年末点位预测~ [吃瓜]
华尔街最新目标价预测!年底.SPX是去4200,还是6100?
2024年标普500指数收于5881点,年涨幅+23%,预测最准的是这俩机构。今年又会是谁呢?今年标普4月那次大跌,虽然回撤达到了17%左右,但截至目前仍实现了近17%的回报率。当前受降息预期的利好影响,上周五收盘
$标普500(.SPX)$
再次逼近纪录高位🔥🔥正好现在来看看今年各机构大行对2025年年末点位的预测判断:整体看下来,只能说不管过程是如何的曲折,最终结果普遍都是偏乐观的。去年预测最准的Oppenheimer,2025年给出了最高预测区间:7000+(7100点相较于上周五收盘价,还有3.35%的上升空间);但另外一家Yardeni Research,从之前的7000点,下调到了6400点,估计和高盛对“盈利增速&行业集中度风险”的前景预测观点相似——“三年牛市后,不要以为美国股市会永远跑赢,音乐大概率要停了。”华尔街这些机构大多数预测集中在 6600–7000 区间,但预测分歧扩大,从最高的7100,到最低的5500,差距达1600点。那么现在高度押注美联储12月降息,市场会信什么?[思考]野村直接给出了接下来可能出现的两种市场反应:相信央行是鹰派,那么美债弱、美股弱、美元强;相信经济复苏与宽松即将共存,那么美债曲线陡峭、美元弱、风险资产走强。小虎们,大家觉得2025年,标普500指数会收高于7000点吗?本周美联储决议,你看好股市再创新高吗?评论区分享你的观点或操作策略,一起赢取1000虎币奖励!
不care过程,只关心结果!2025年,.SPX能收于7000点以上吗?
# 美联储决议来袭!现在你会加仓or减仓?
精彩
AliceSam:
今年标普4月那次大跌,虽然回撤达到了17%左右,但截至目前仍实现了近17%的回报率。当前受降息预期的利好影响,上周五收盘 $标普500(.SPX)$ 再次逼近纪录高位
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鲸吞2030
·
12-06
$SPY 20251205 686.0 CALL$
$SPY 20251205 686.0 CALL$
# 晒晒更赚钱
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公司概况
公司名称
标普500ETF
所属市场
ARCA
成立日期
- -
员工人数
- -
办公地址
- -
公司网址
http://us.spdrs.com/en/etf/spdr-sp-500-etf-SPY
邮政编码
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联系电话
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公司概况
该ETF价格与标普500指数波动方向相同,波动幅度约等同于标普500指数,即标普500指数上涨1%对应该ETF指数上涨约1%。
2013-01-23
SEC问询函
2009-02-23
自愿退市
分时
5日
日
周
月
数据加载中...
最高
685.39
今开
683.15
量比
0.92
最低
682.59
昨收
683.63
换手率
5.63%
热议股票
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