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德州仪器(TXN)
盘后
302.31
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16:51 EDT
302.31
+1.71
+0.57%
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小虎老师
·
04-29
🎯 2026 Q1 美股财报复盘:谁是真黑马?谁在"假beat"?
截至4月29日,约27.6%的标普500公司已交卷。整体超预期率79%,混合盈利增长约13.2%——连续第六个季度双位数增长。 但市场正在变得越来越"挑剔":单纯的beat已经不够,指引(Guidance)才是决定股价生死的判官笔。以下是本期财报季的三大阵营全景扫描。🚀 阵营一:真黑马——业绩+指引双杀,股价暴力突破这一季最大的惊喜,来自一群被市场"低估太久"的老面孔,以及医药与金融板块的几匹意外之马。科技 & 工业:老树发新芽
$英特尔(INTC)$
上演了本季最戏剧性的反转。Q1营收136亿美元(+7%),连续六季超预期;非GAAP EPS 0.29美元,而市场预期只是盈亏平衡。更狠的是Q2指引:138-148亿美元,显著高于市场预期。数据中心与AI业务增长22%,加上与谷歌深化至强处理器合作、启动"Terafab"代工项目——4月24日当天,INTC暴涨23.6%,创1987年以来最大单日涨幅,股价直接创历史新高。
$特斯拉(TSLA)$
也给了空头一记重拳。Q1营收223.9亿美元(+16%),营业利润暴增136%至9.4亿美元。最惊艳的是自由现金流:意外转正14.4亿美元,而市场预期是净流出15.8亿。毛利率回升至21.1%,Cybertruck销量增长更快,FSD还在荷兰获批——盘后涨近4%,马斯克终于让市场看到了"盈利兑现"而非"画饼"。
$波音(BA)$
的翻身同样值得高亮。Q1营收222亿美元(+14%),核心运营利润增长47%,运营现金流从-16.16亿大幅改善至-1.79亿。积压订单创纪录6950亿美元,737月产能稳
🎯 2026 Q1 美股财报复盘:谁是真黑马?谁在"假beat"?
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Vinsa8
·
04-24
$德州仪器(TXN)$
对标A股的全志科技
$德州仪器(TXN)$ 对标A股的全志科技
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v哥纵横四海:
模拟芯片,对标的是圣邦
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小虎老师
·
04-27
(4月20日-4月24日)周报:市场横盘整理,油价飙升,Mag7扛起大旗:四大市场必读
上周回顾 1. 纳斯达克涨1.5%由半导体引领,但消费者信心跌破50:周度盘点 涨速放缓 —— 美股三大指数在连续三周创新高后走平。纳斯达克上涨1.5%(半导体领涨),标普500微涨,道指小幅下跌。 能源冲击 —— 中东局势紧张推动美国原油从约83美元/桶飙升至约95美元/桶,但仍远低于4月7日约113美元/桶的峰值。 头部集中 —— 据FactSet数据,"科技七巨头"(Magnificent Seven)一季度EPS预计同比增长22.8%,而标普500其余成分股仅增长10.1%。 成长跑赢价值 —— 成长股连续第四周跑赢价值股,期间累计上涨16%,价值股上涨8%,价值股的年初至今(YTD)领先优势收窄。 零售反弹 —— 3月零售销售激增1.7%(逾3年来最快),但主要由汽油销售驱动;剔除汽油后,销售仅温和增长0.6%。 信心疲软 —— 密歇根大学消费者信心指数4月降至49.8,较2月/3月水平大幅下滑,因能源价格飙升。 收益率攀升 —— 10年期美债收益率从4.24%升至4.30%,但仍低于3月27日4.44%的高点。 美联储前瞻 —— CME FedWatch显示,4月29日美联储维持利率不变的概率高达99%,这将是自2025年底最后一次降息以来的连续按兵不动。 2. 美股板块与个股:半导体与能源基础设施领涨
$费城半导体指数(SOX)$
将连涨纪录扩大至17-18天。模拟芯片和逻辑芯片巨头的一季度业绩爆表,加上AI基础设施需求复苏,推动芯片制造商和能源设备类股票全面重估。 行业领涨板块: 重型电气设备(+13.24%)和英伟达概念股(+11.19%)领涨,油气设备与服务(+9.09%)也因原油价格持稳于95美元/桶(中东供应担忧)而上涨。 十大热门个股:
(4月20日-4月24日)周报:市场横盘整理,油价飙升,Mag7扛起大旗:四大市场必读
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Sumire_9572
·
04-23
$德州仪器(TXN)$
马上开始跳水了
$德州仪器(TXN)$ 马上开始跳水了
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Sumire_9572
·
04-23
$德州仪器(TXN)$
马上开始跳水了,,,,
$德州仪器(TXN)$ 马上开始跳水了,,,,
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交易员说
·
04-24
油价走高,德州仪器暴涨约20%丨EBC环球焦点
周五(4月24日)在和平谈判破裂后,伊朗发布了一段特种部队乘坐快艇突袭一艘巨型货轮的视频,油价随之上涨。特朗普表示,他不会为结束冲突设定“时间表”。 图片 据称,在两国代表于白宫椭圆形办公室举行高级别会晤后,以色列和黎巴嫩已同意将停火期限延长三周。 国际能源署警告称,世界正面临历史上最大的能源安全威胁。该机构还警告称,欧洲即将面临航空燃油短缺,部分国家数周内将出现供应短缺。 据美国能源信息署数据显示,截至4月17日当周,美国汽油和馏分油库存意外减少,而原油库存降幅也超出预期。 欧盟能源政策负责人表示,欧盟正考虑要求各国储备航空燃油,并可能根据各地区的供需状况进行重新分配。 高盛预计,一旦霍尔木兹海峡重新开放,海湾地区的石油产量将相对较快地恢复,同时警告称,油轮运输受限、油井受以及各国特有的风险可能导致全面恢复至战前供应水平出现显著延迟。 图片 一周以来,布伦特原油价格一直稳步上涨,特朗普的计划仍不明朗。预计未来几个交易日价格将继续攀升,直至触及103美元以上的高位。 热门品种简报 截至4月23收盘,在EBC主要产品中,
$德州仪器(TXN)$
器股价领涨,公司上调业绩预期,原因是来自工业客户的需求强劲,以及数据中心建设的推进。 图片
$ServiceNow(NOW)$
公布的第一季度财报显示,其业绩略微超出预期,中东冲突拖累了订阅收入。该公司还宣布将扩大与谷歌云的合作。 随着伊朗战争可能长期化的迹象显现,澳元走软。特朗普表示,他已下令美国海军“击沉任何在霍尔木兹海峡布雷的船只”。 【EBC平台风险提示及免责条款】:本材料仅供一般参考使用,无意作为(也不应被视为)值得信赖的财务、投资或其他建议。
油价走高,德州仪器暴涨约20%丨EBC环球焦点
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財報話你知
·
04-20
⏰本周TSLA,UNH,英特尔,仲有航空股财报嚟袭,你期待边家?
小虎们,本周老虎财报季继续,美股巨头财报正陆续揭榜中![Cool] 本周包括全球电车EV巨头
$特斯拉(TSLA)$
,此前饱受关注多番暴涨暴跌的
$联合健康(UNH)$
,
$英特尔(INTC)$
等![666] 此外还有诸多航空股财报来袭,包括
$波音(BA)$
,
$联合大陆航空(UAL)$
,
$GE航空航天(GE)$
等,不知这些公司是否会受不断飙涨又暴跌的油价而拖垮财报呢?[YoYo] 本周一,美股盘前,
$克利夫兰克里夫(CLF)$
将公布财报! 本周一,美股盘后,
$阿拉斯加航空集团有限公司(ALK)$
,
$Steel Dynamics(STLD)$
将公布财报! 本周二,美股盘前,保险巨头
$联合健康(UNH)$
,
$3M(MMM)$
,
⏰本周TSLA,UNH,英特尔,仲有航空股财报嚟袭,你期待边家?
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小虎老师
·
04-20
美股周报 | 上周地缘风险降温, 市场V型反弹,本周关注特斯拉、英特尔财报
上周市场回顾 一、市场概览:美股主要指数大涨 上周美股大幅反弹,中东紧张局势缓和叠加油价暴跌推动风险偏好回升。主要指数表现:
$标普500(.SPX)$
:+4.54%,收于7,126.06点
$纳斯达克(.IXIC)$
:+6.84%,连涨13个交易日(1992年以来最长连涨纪录)
$道琼斯(.DJI)$
:+3.19%
$罗素2000指数ETF(IWM)$
:+5.56%,创下历史新高 风格上,成长股连续第三周跑赢价值股(+6.7% vs +2.4%)。
$标普500波动率指数(VIX)$
波动率指数下跌9.1%至17.48。 宏观与大宗
$WTI原油主连 2606(CLmain)$
:从4月7日高点113美元/桶跌至约83美元,但仍较去年同期上涨40%
$10年美债主连 2606(ZNmain)$
:10年期收益率从3月27日高点4.44%降至4.24%,连续四周下行 通胀:3月PPI环比仅增0.5%,远低于1.1%的预期,其中汽油价格上涨贡献约一半涨幅 财报季开局:大型银行业绩超预期,金融业Q1盈利预期从15.1%上调至19.7% 二、美股板块与个股亮点 领涨板块:数据处理外包服务(+19.87%)、互
美股周报 | 上周地缘风险降温, 市场V型反弹,本周关注特斯拉、英特尔财报
精彩
屎星人:
比特币创9万2? 我是穿越未来还是回到过去了 [捂脸]
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tc_Jesse
·
04-24
Jesse哥投资系统分享
Jesse哥投资系统分享 #投资心法 ### 股票持仓的三种类型: 一、是长线的大市值“头部象” 类似阿里巴巴、小米、腾讯、美股七巨头等。即超越赛道的顶级核心资产,它适合追求稳健复利的风险厌恶型投资者。 需要注意的是买卖点也非常重要,因为持仓成本会严重影响持仓心态,腾讯2021年高点买入至今仍未回本。但长远看终会新高。 二、是中线的超级成长“牛” 即在超级赛道模式(尤其是非常有品牌壁垒的消费赛道)中正处于野蛮成长阶段的公司,类似泡泡玛特、老铺黄金等。 它适合能看懂生意与成长价值的进取型投资者。适合做周线级别的大波段来回切换,它的核心是能判断野蛮生长的可持续性时间与看明白盈利与股价之间的赛跑。 三、是短线的困境反转“狼” 类似的标的有思摩尔、东方甄选、UNH等。抓住公司基本面可能反转的潜在机遇,利用市场情绪做短线差价,适合想赚快钱的短线交易型投资者。 这种风格做成功了盈利会非常恐怖,但反之狼也会吃人会反噬。 操作时特别需要注意两点: 1. 低位时跟踪基本面反转的确定性并确认后第一时间从“狼”调整为“牛”; 2. 从风格上把它归类五割韭菜模式可能更合适,以便一旦看错快速止损。 ### 关于买卖时机的模糊正确 这个问题非常好,但是很难量化回答,有点类似要做模糊的正确。 看好一个标的时,我一般不会直接买,先观察,等到启动点时出手介入,卖出时不一定等到目标价,理论上只要盈利,什么时候卖出都是对的。 但通常遵循以下条件: 1. 爆发标的:相当于妖股,提前买入埋伏,等待爆发。由于已经是底部,控制好仓位,一般不设置止损。当短期已经暴利,如GPRO,第二天一股冲高减仓,甚至清仓。再比如SBET,当时距离目标价还有很远,三倍才开始减仓直至清仓,之前巨幅涨跌不为所动,加上仓位控制不超过20%,睡得着觉。——短线/中线都有可能。 2. 困境狼:反弹票
Jesse哥投资系统分享
精彩
AmyMacaulay:
写得挺实在,投资就是要有自己的节奏。
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公司概况
公司名称
德州仪器
所属市场
NASDAQ
成立日期
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员工人数
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办公地址
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公司网址
http://www.ti.com
邮政编码
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联系电话
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联系传真
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公司概况
德州仪器公司设计和制造半导体,并将其销售给世界各地的电子设计师和制造商。公司于1930年开始营业。公司注册于特拉华州,总部位于德克萨斯州达拉斯,在35个国家设有设计、制造或销售业务。公司的两个主要业务是模拟和嵌入式处理。
05-14
关联方拟减持公告
Form 144 - Report of proposed sale of securities
Form 144 - Report of proposed sale of securities
05-13
关联方拟减持公告
Form 144 - Report of proposed sale of securities
Form 144 - Report of proposed sale of securities
05-11
关联方拟减持公告
Form 144 - Report of proposed sale of securities
Form 144 - Report of proposed sale of securities
05-04
关联方拟减持公告
Form 144 - Report of proposed sale of securities
Form 144 - Report of proposed sale of securities
04-30
超过5%披露
Form SCHEDULE 13G - Statement of Beneficial Ownership by Certain Investors
Form SCHEDULE 13G - Statement of Beneficial Ownership by Certain Investors
04-27
关联方拟减持公告
Form 144 | Texas Instruments高管 Katharine Kane 拟减持6125股,总价约166万美元
Form 144 | Texas Instruments高管 Katharine Kane 拟减持6125股,总价约166万美元
04-24
关联方拟减持公告
Form 144 | Texas Instruments 董事 Pamela Patsley 拟减持4306股,市值约118.89万美元
Form 144 | Texas Instruments 董事 Pamela Patsley 拟减持4306股,市值约118.89万美元
04-24
关联方拟减持公告
Form 144 | Texas Instruments董事 Todd Bluedorn拟减持4306股,总价约118万美元
Form 144 | Texas Instruments董事 Todd Bluedorn拟减持4306股,总价约118万美元
04-24
关联方拟减持公告
Form 144 | 德州仪器高管 Christine Witzsche 拟减持3625股,总价约99.9万美元
Form 144 | 德州仪器高管 Christine Witzsche 拟减持3625股,总价约99.9万美元
04-24
关联方拟减持公告
Form 144 | Texas Instruments高管Rafael Lizardi拟减持40541股,总价约1112万美元
Form 144 | Texas Instruments高管Rafael Lizardi拟减持40541股,总价约1112万美元
04-24
关联方拟减持公告
Form 144 | Texas Instruments高管Shanon Leonard拟减持18189股,总价约505.57万美元
Form 144 | Texas Instruments高管Shanon Leonard拟减持18189股,总价约505.57万美元
04-24
关联方拟减持公告
Form 144 | Texas Instruments董事 Mark A Blinn 拟减持15000股,总价约414.8万美元
Form 144 | Texas Instruments董事 Mark A Blinn 拟减持15000股,总价约414.8万美元
04-24
季度报告
Form 10-Q - Quarterly report [Sections 13 or 15(d)]
Form 10-Q - Quarterly report [Sections 13 or 15(d)]
04-22
重要事件披露
Form 8-K - Current report
Form 8-K - Current report
04-17
重要事件披露
Form 8-K - Current report
Form 8-K - Current report
分时
5日
日
周
月
数据加载中...
最高
305.50
今开
292.61
量比
1.11
最低
291.95
昨收
300.60
换手率
0.80%
热议股票
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#投资心法 ### 股票持仓的三种类型: 一、是长线的大市值“头部象” 类似阿里巴巴、小米、腾讯、美股七巨头等。即超越赛道的顶级核心资产,它适合追求稳健复利的风险厌恶型投资者。 需要注意的是买卖点也非常重要,因为持仓成本会严重影响持仓心态,腾讯2021年高点买入至今仍未回本。但长远看终会新高。 二、是中线的超级成长“牛” 即在超级赛道模式(尤其是非常有品牌壁垒的消费赛道)中正处于野蛮成长阶段的公司,类似泡泡玛特、老铺黄金等。 它适合能看懂生意与成长价值的进取型投资者。适合做周线级别的大波段来回切换,它的核心是能判断野蛮生长的可持续性时间与看明白盈利与股价之间的赛跑。 三、是短线的困境反转“狼” 类似的标的有思摩尔、东方甄选、UNH等。抓住公司基本面可能反转的潜在机遇,利用市场情绪做短线差价,适合想赚快钱的短线交易型投资者。 这种风格做成功了盈利会非常恐怖,但反之狼也会吃人会反噬。 操作时特别需要注意两点: 1. 低位时跟踪基本面反转的确定性并确认后第一时间从“狼”调整为“牛”; 2. 从风格上把它归类五割韭菜模式可能更合适,以便一旦看错快速止损。 ### 关于买卖时机的模糊正确 这个问题非常好,但是很难量化回答,有点类似要做模糊的正确。 看好一个标的时,我一般不会直接买,先观察,等到启动点时出手介入,卖出时不一定等到目标价,理论上只要盈利,什么时候卖出都是对的。 但通常遵循以下条件: 1. 爆发标的:相当于妖股,提前买入埋伏,等待爆发。由于已经是底部,控制好仓位,一般不设置止损。当短期已经暴利,如GPRO,第二天一股冲高减仓,甚至清仓。再比如SBET,当时距离目标价还有很远,三倍才开始减仓直至清仓,之前巨幅涨跌不为所动,加上仓位控制不超过20%,睡得着觉。——短线/中线都有可能。 2. 困境狼:反弹票","plainDigest":"Jesse哥投资系统分享 #投资心法 ### 股票持仓的三种类型: 一、是长线的大市值“头部象” 类似阿里巴巴、小米、腾讯、美股七巨头等。即超越赛道的顶级核心资产,它适合追求稳健复利的风险厌恶型投资者。 需要注意的是买卖点也非常重要,因为持仓成本会严重影响持仓心态,腾讯2021年高点买入至今仍未回本。但长远看终会新高。 二、是中线的超级成长“牛” 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