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交易员Owen
·
02-10
美股可能尚未到抄底的时候,金银阶段性见底但短线仍有大幅波动
目前的市场焦点正在逐步从金银转移到美股上来,但我们要提醒大家的是,在接下来的春节前后这段时间里,美股反而是最需要做看跌“保护”的那一端的资产。 在经历了大幅的下跌后,最近的美股市场出现了小幅的反弹,这在技术上很正常,但我不会因为这一点反弹就认定港股、A股、美股已经重新回到继续走高的趋势里。相反,我更愿意把它理解为:美股的波动周期大概率还没走完,反弹更像是波动中的一个“回补”,而不是趋势已经确认的信号。 美股可能会高位弱势的第一个信号:美元指数 我们曾看到美元指数在之前的大幅上涨中突破了重要的阻力位,在鹰派名将沃什担任美联储主席这个预期几乎落地之后,美元指数由于鹰派预期的刺激而走出了一小轮回马枪,假设美元指数在突破之前的阻力位后回踩不破,则就有可能上测100点位,并给金银,港A带来高位的回调压力。 但结果呢,隔夜市场上,美元指数弱势的不成样子,在测试了20日均线之后,又再次回跌,并连破两个支撑位,如果美元指数无法在当前的位置上找到支撑的话,则势必会再度回测前低位置95.5 ,一旦跌破则下行空间会再度打开。
$美元指数(USDindex.FOREX)$
$美元树公司(DLTR)$
$新兴市场美元债ETF-iShares(EMB)$
$做空美元指数-PowerShares(UDN)$
$美元ETF-PowerShares DB(UUP)$
最近有海外媒体传说中国的一些银行
美股可能尚未到抄底的时候,金银阶段性见底但短线仍有大幅波动
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Mediator:
同意,一堆散户现在就等着抄大底/大怨种,一会技术反弹做完,全给埋里面。
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交易员Owen
·
02-03
判断金银是反弹还是反转?有这样两个关键的观察点
在大幅的杀跌过后,很多人目前可能最焦虑的一个问题是,金银到底能不能抄底? 我们抄底金银后,面对的到底是短期的反弹行情;还是反转的,继续长期上涨的行情呢?先说结论,我认为目前我们面对的金银的上涨,只能当成短期的反弹来看,而当金银的价格反弹在没有超过一定的高度之前,我们应该报以十二分的谨慎,先假设金银还会有一次C浪杀,并在反弹的高点出现拐点向下的迹象时,再次尝试布局空头头寸。而如果行情继续走高并超过了我们空单的入场点的话,就立刻止损就好了。总之,在市场有明显的底部结构出现前,在沃什担任美联储主席这个风险事件确定的落地前,不要轻易的去猜测金银已经见底。下面咱们来详细说一下策略步骤:第一,技术面看,金银的反弹只能当成是B浪反弹,之后我们先假设还有一波C浪杀。我们看下黄金的走势,目前COMEX黄金期货的主连行情走势已经非常明显是个阶段性见底的走势,日线上行支撑位有着很明显的作用。而白银的价格主要还是跟随黄金波动。
$白银主连 2603(SImain)$
$迷你白银主连 2603(QImain)$
$白银2603(SI2603)$
$2倍做多白银ETF-ProShares(AGQ)$
$微白银主连 2603(SILmain)$
这意味着黄金的“杀跌”已经接近一个技术上的瓶颈期,后面更可能转入让人闹心的“大幅震荡行情”。但从波浪结构的表达上来说,金银这波大幅杀跌突然出
判断金银是反弹还是反转?有这样两个关键的观察点
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交易员Owen:
$黄金主连 2604(GCmain)$ $白银主连 2603(SImain)$ 我上一篇分析告诉大家,金银只能暂时以b反来看待,预计还有一轮c浪杀,黄金向上可能会反弹之前下跌的一半的幅度,目前黄金已经在到达5100之后开始了c浪杀,白银杀的幅度更大,就问这个马前炮响不响?你打多少分?$黄金ETF-SPDR(GLD)$ $黄金矿业ETF-VanEck(GDX)$ $白银ETF-iShares(SLV)$
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交易员Owen
·
01-30
金银遭遇世纪双杀!白银考虑熊市价差套利,黄金我还是等待低位看多
首先放一下我上一篇的白银和黄金走势的分析截图:我们上一期针对黄金白银的走势分析中指出,白银的短期顶点如果没有美联储突然转鹰,或者美元突然大涨的黑天鹅的话,应该是在130以上,而黄金则看到5000以上,一周多过去了,白银已经刷出了新高,而且黄金也大幅涨破了5000:
回顾:即将到来的再逼空或助推白银创新高,而黄金涨幅更可能超出想象
但现在的局面显然发生了巨大的变化,我们之前聊过,白银顶上的两大风险就是一:美联储的主席不是哈塞特而是一个鹰派的人物,导致美联储的整体转鹰,二:就是3月份白银交割的实物库存突然足够,或者交割的逼仓危机的突然解除,这两大风险都会导致白银的突然大跌,而目前显然第一个风险已经触发了,就是哈塞特已经确定不是美联储的主席,而主席竟然是沃什,一个公认的鹰派人物!这个结果很让奇怪,也非常具有着戏剧化的色彩。随即,全球市场发生了大幅的抛售,包括金银铜铁的衍生品,还有港A市场。我奇怪的点在于,相对温和的沃勒,一开始也是作为主席的热门人选,但特朗普居然没有提名沃勒而选择了沃什,同时沃勒为了想当上这个主席,甚至在这次美联储暂停降息里投了反对票,表示支持降息,但即便是这么跟懂王保持一致,懂王依旧没有选他,是不是感觉比较奇怪,我认为,特朗普选择沃什,一方面也是认为沃什也会听他的话继续推行宽松政策之外,另一方面,这个人还是有点心口不一,他并不一定完全赞同弱美元,而是还是想通过相对鹰派一些的美联储形成制衡,来保持一下美元指数残存的信用,维持住岌岌可危的美元指数的走势:
$美元指数(USDindex.FOREX)$
金银遭遇世纪双杀!白银考虑熊市价差套利,黄金我还是等待低位看多
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韭韭那个艳阳天啦哎嗬哟:
特地留帖来感谢大佬。盘前AUG已经跌了25%,开盘后在$275附近买了几手AUG近期的put, 半夜醒来AUG已经跌了六十几,吓死人了。还好几手put给对冲了,不错的点位果断给卖了整体还有不错的盈利。中远期的call没买。但是AUG还留着没清仓先留着,如果后期能回调又是利润了啦。
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交易员Owen
·
01-28
特朗普突然为弱美元做官方背书?金银原油恒生的好机会到了?
就在本周二,美国财经记者向特朗普抛出了一个广泛让华尔街担忧的问题“您是否担心最近的美元贬值?”而特朗普的回答却出乎市场的意料,特朗普回答说: “不,我觉得这很棒。就让它达到它自己的水平,这才是公平的做法,如果你看看中国和日本,他们总是想让自己的货币贬值。” 这个表态,很明显是一种对美元走软的“默许”甚至“欢迎”态度,这个采访内容也在一夜之间重塑了外汇市场的底层逻辑。彭博美元指数应声重挫1.2%,创下自去年关税威胁以来的最大单日跌幅。 从技术层面上看:美元指数目前非常危险,如果下跌加速,美元指数跨过技术上的下落悬崖的话,将影响到未来很长一段时间内全球资产配置的主线。
$做空美元指数-PowerShares(UDN)$
$美元指数(USDindex.FOREX)$
$美元ETF-PowerShares DB(UUP)$
美元会跌落技术上的悬崖边缘吗? 虽然市场上曾流行“强美元代表强美国”的传统信仰,但著名的“美元微笑理论”提出者、前摩根士丹利外汇策略师斯蒂芬·任(Stephen Jen)却在最近刊文指出,我们正在进入一个全新的历史阶段:美国经济依然强劲,但美元却在走弱,这标志着美元贬值进入了新的阶段,特朗普政府的目标是有利于美国出口商的汇率。 虽然我曾经认为特朗普此前搞乱世界的动作是为了支撑美债进而支撑美元指数的走高,但最近的市场方向似乎说明了另外一个事实,就是特朗普更倾向于弱美元的环境,而不论美元指数是否走弱,美债的价格可能都不会失控,这很可能得益于特朗普和几大美债持有国之间的一种默契,就是关税不会轻易加征,而各国也不会轻易
特朗普突然为弱美元做官方背书?金银原油恒生的好机会到了?
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哇咔哇咔哇咔:
铜除了期货之外有什么好的交易标的吗
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交易员Owen
·
01-14
半个月时间引战11个国家!川普要干嘛?金银和港A市场还能追高吗?
目前我终于可以大致判断出来特朗普是在做着一件什么样的事情了。他先是冒天下之大不韪抓走了委内瑞拉的总统,搞乱了委内瑞拉的局势,搞垮了委内瑞拉的经济,之后又威胁伊朗要发动对伊军事打击,还在前天发布了安全警示,让所有的在伊朗的美国公民立刻撤离伊朗,造出声势似乎要真的开展军事行动,我简单统计了下2026年的1月以来,特朗普都威胁、或者真的发起行动打击了哪些国家,不查不知道,一查吓一跳,这位美国总统在短短的半个月时间里,已经发布了针对11个国家的打压,威胁的言论或者动作:他这是要干嘛?悬崖边的美元指数才是原因事出反常必有妖!这背后有很深的宏观逻辑原因,一句话总结根源就是:特朗普在通过搞乱他国经济和全球资金的流动秩序,来为美债或者说是美元资产寻找买盘,通过作乱全球市场吸引大量的热钱往美元资产中避险,从而维持住目前即将破位下跌的美元指数,之前我们也聊过,美元指数距离破位加速下跌其实就一步之遥。
$美元指数(USDindex.FOREX)$
$做空美元指数-PowerShares(UDN)$
$美元ETF-PowerShares DB(UUP)$
美元指数的月线走势:而如果美元指数能在这个关键的技术点上企稳并反弹上去,则美国经济可能就能平稳的过度,并为特朗普在2026年的中期选举提供一个良好的环境,如果美元指数加速下跌,那么美债买盘的流失会让收益率再度冲高,造成美股的高位抛压。同时最重要的是,通胀会失控,你要知道,当前的美联储在特朗普明牌影响下,已经向着全面鸽派进展了,不管发生什么,2026年的50个基点的两次降息都是大概率的,而如果这时候通
半个月时间引战11个国家!川普要干嘛?金银和港A市场还能追高吗?
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乔恩广:
所以核心逻辑是,美国把全球搞的剑拔弩张,外资来港 A 避险,mark
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程俊Dream
·
01-05
从委内瑞拉的变局看美元的宿命,美元低位突然反弹影响有多大?
首先祝大家新年好,希望2026年无论行情如何演变,各位投资者朋友都能游刃有余。这个假期最大的话题毫无疑问是美国对马杜罗的出手,相关的各种分析已经覆盖了大多数有直接影响的资产,而我想来聊一聊这一行为背后的隐藏菜单:美元(霸权)。市场比较容易得出的看法一是美国(特朗普)想霸占委内瑞拉丰富的石油和商品资源,二是相较于80年代石油战争的大打出手,新时代的“战法”虽然没有武德但是却更为好用。然而却忘记了,我们古人早就说过不战而屈人之兵才是最高手段,当需要亲自下场动手的时候,局势多多少少已经失去了控制。 (美元指数近60年表现) 长期以来,无论南美还是北美的加拿大,都是在美国的完全辐射之中的。通过债务、美元两大金融法宝,拉美诸国一直在充当牛马角色。再加上各种所谓的制裁和恫吓,纵使你资源再充裕,也只不过是个随时启用的提款机。举个不恰当的例子,银行卡和密码都在你手上的情况下,你有必要把ATM放在自己家里才安心么?除非你发现存放ATM的地方,房东正在偷偷尝试拆解你的ATM。 显然,时代变了。过往的第一个变量来自于中国所带来的大宗商品需求和超级周期,而最新一个变量则来自于多种形式的去美元化。虽然拉美国家的民众依然相信美元的稳定性,但是华盛顿的法则已经不再是桎梏。美联储依然可以印钞,依然可以调控利率,但通过货币政策来操控他国经济命运的能力已经大不如往昔。以这次的倒霉蛋委内瑞拉为参考,该国大量的石油收入以稳定币形式收取。而其暗囤的比特币储备传闻也可以匹敌微策略(未有官方数据,但可以参考日买一枚比特币的萨尔瓦多)。与此同时,中阿货币互换和中巴本币结算,也让大国博弈的背景映射到了南美国家。而内部的情况,也在微妙的发生变化。过去数年黄金的持续上涨和去年白银的轧空都是对冲风险的必然结果。那些看起来最忠实的守门人也可能是整个体系中最为致命的内部空头。 (2
从委内瑞拉的变局看美元的宿命,美元低位突然反弹影响有多大?
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EdRoy:
白银新高机会大,美元反弹别错过
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胖胖虎up
·
2025-10-25
$美元ETF-PowerShares DB(UUP)$
为什么没有双倍和三倍美元etf?
$美元ETF-PowerShares DB(UUP)$ 为什么没有双倍和三倍美元etf?
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Double爱涨跌
·
2025-09-17
时隔9个月,美联储降息在即,哪些品种受益最多?
美联储在周三结束为期两天的政策会议后,也就是北京时间的周四凌晨宣布降息,但是市场已基本消化这一举措,有部分观点表示市场已计入本次会议降息25个基点甚至到明年4月前再降三次的预期。投资者可能还将重点关注鲍威尔的讲话以判断未来利率路径,所以今晚对于全球投资来说是个有意思的时点。 本文将从降息是什么、历史上美联储降息、降息有哪些利好以及我们可以如何应对四个方面给大家做介绍。 一 降息是什么 降息是指中央银行或货币当局降低利率水平的一种货币政策操作,这里的利率通常指的是基准利率,它是金融市场上具有普遍参照作用的利率,其他利率水平或金融资产价格均可根据这一基准利率水平来确定。以下从不同维度为你介绍: 1 降息主体 实施降息操作的主体通常是各个国家的中央银行,比如中国的中国人民银行、美国的联邦储备系统(美联储)、欧洲的欧洲中央银行等。这些央行负责制定和执行国家的货币政策,通过调节利率等手段来实现宏观经济目标。 2 降息的具体形式 存贷款利率:降低商业银行等金融机构与央行之间的存贷款基准利率。比如,央行降低存款准备金利率,意味着商业银行存放在央行的资金收益减少,促使其将更多资金投放到市场中;降低贷款基准利率,企业和个人从银行贷款的成本就会下降。 市场利率:通过公开市场操作等手段影响市场利率水平。例如,央行在公开市场上买入债券,向市场投放大量资金,增加资金的供给量,使得市场上的资金变得充裕,从而推动市场利率下降。 3 降息的目的 刺激经济增长:当经济处于低迷状态,增长乏力时,企业和个人的投资与消费意愿往往较低。降息后,企业贷款成本降低,会更有动力进行扩大生产、研发创新等投资活动;个人贷款消费的成本也下降,如购房、购车等消费行为可能增加,进而刺激社会总需求,推动经济增长。 降低失业率:企业投资和生产规模扩大后,需要招聘更多的员工,从而创造更多的就业岗位,降低社会的失业率。
时隔9个月,美联储降息在即,哪些品种受益最多?
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美股解毒师
·
2025-05-26
一周宏观:标普风险暂时解除?轧空却在高位!
上周
$标普500(.SPX)$
出现明显回调,债券市场是重要诱因。长期债券供应问题(美日拍卖混乱)、美国预算提案的赤字压力(未来数年锁定2万亿美元赤字)、全球利率曲线后端压力加剧,以及债务可持续性担忧和关税不确定性(“零夏普比率的猜测游戏”),共同导致交易环境波动剧烈。股票市场方面则是受需求强度放缓(尽管企业仍有买盘),风险偏好降温的影响较大,技术面上显示近期需求趋势减弱。主要观点与展望风险回报与增量利好:基本风险回报缺乏吸引力,市场需贸易协议、核心美国数据或英伟达财报等增量利好才能突破当前区间。若缺利好,标普或维持震荡。市场韧性与策略:市场韧性超预期(类比1990年代),股票有支撑但需聚焦“间隙机会”(interstices),即市场非单边上涨时的结构性机会。资产讨论美国国债市场
$20+年以上美国国债ETF-iShares(TLT)$
长期债券缺乏支撑(政策不确定性、期限溢价上升、去美元化、美联储主席鸽派预期等),收益率曲线料继续陡峭化(前端受经济数据驱动,后端受定价压力)。未来几年30年期国债收益率大幅上升的可能性较低(非核心情景)。关税政策美国仅与英国达成协议,多数国家观望。市场将“延迟”与“协议”混淆,关税政策基准情景为“90天暂停期”结束后无重大变化(特朗普或通过“关税利率”施压,但6月1日欧盟50%关税等截止日历史表现显示市场已定价风险)。国际贸易法院的初步禁令风险(阻碍“解放日”关税)为上行风险,当前关注较少。而周末川普发文表示与欧盟的关系缓和,将关税日期推后至7月9日,同时继续进行谈判。目前风险资产上行。美元走势
$美元ETF-P
一周宏观:标普风险暂时解除?轧空却在高位!
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狮子做趋势交易
·
2025-05-02
做空美元,未来长时间稳赚的生意。 投非美资产,除此之外还有什么?
$美元ETF-PowerShares DB(UUP)$
$美元指数(USDindex.FOREX)$
$做空美元指数-PowerShares(UDN)$
做空美元,未来长时间稳赚的生意。 投非美资产,除此之外还有什么? $美元ETF-PowerShares DB(UUP)$ $美元指数(USDindex.F...
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米呀米:
老师,美元也做空,黄金也做空,那是要做多人民币吗[笑哭]
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公司概况
公司名称
美元ETF-PowerShares DB
所属市场
ARCA
成立日期
- -
员工人数
- -
办公地址
- -
公司网址
http://www.invescopowershares.com/products/overview.aspx?ticker=UUP
邮政编码
- -
联系电话
- -
联系传真
- -
公司概况
该ETF价格与美元汇率波动方向相同,波动幅度约等同于美元汇率,即美元汇率上涨1%对应该ETF指数上涨约1%
2025-11-07
季度报告
Form 10-Q - Quarterly report [Sections 13 or 15(d)]
Form 10-Q - Quarterly report [Sections 13 or 15(d)]
2025-08-07
季度报告
Form 10-Q - Quarterly report [Sections 13 or 15(d)]
Form 10-Q - Quarterly report [Sections 13 or 15(d)]
2025-05-08
季度报告
Form 10-Q - Quarterly report [Sections 13 or 15(d)]
Form 10-Q - Quarterly report [Sections 13 or 15(d)]
2025-02-26
年度报告
Form 10-K - Annual report [Section 13 and 15(d), not S-K Item 405]
Form 10-K - Annual report [Section 13 and 15(d), not S-K Item 405]
2024-11-07
季度报告
Form 10-Q - Quarterly report [Sections 13 or 15(d)]
Form 10-Q - Quarterly report [Sections 13 or 15(d)]
2024-08-23
SEC问询函
Form CORRESP - Correspondence
Form CORRESP - Correspondence
2024-08-07
季度报告
Form 10-Q - Quarterly report [Sections 13 or 15(d)]
Form 10-Q - Quarterly report [Sections 13 or 15(d)]
2024-08-02
重要事件披露
Form 8-K - Current report
Form 8-K - Current report
2024-05-08
季度报告
Form 10-Q - Quarterly report [Sections 13 or 15(d)]
Form 10-Q - Quarterly report [Sections 13 or 15(d)]
2024-02-23
年度报告
Form 10-K - Annual report [Section 13 and 15(d), not S-K Item 405]
Form 10-K - Annual report [Section 13 and 15(d), not S-K Item 405]
2023-11-29
重要事件披露
Form 8-K - Current report
Form 8-K - Current report
2023-11-08
季度报告
Form 10-Q - Quarterly report [Sections 13 or 15(d)]
Form 10-Q - Quarterly report [Sections 13 or 15(d)]
2023-08-04
季度报告
Form 10-Q - Quarterly report [Sections 13 or 15(d)]
Form 10-Q - Quarterly report [Sections 13 or 15(d)]
2023-05-09
季度报告
10-Q - Quarterly report [Sections 13 or 15(d)]
10-Q - Quarterly report [Sections 13 or 15(d)]
2023-02-24
年度报告
10-K - Annual report [Section 13 and 15(d), not S-K Item 405]
10-K - Annual report [Section 13 and 15(d), not S-K Item 405]
分时
5日
日
周
月
数据加载中...
最高
27.12
今开
27.10
量比
1.00
最低
27.05
昨收
27.10
换手率
10.75%
热议股票
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href=\"https://laohu8.com/TW/524857639071888\" target=\"_blank\">回顾:即将到来的再逼空或助推白银创新高,而黄金涨幅更可能超出想象</a>但现在的局面显然发生了巨大的变化,我们之前聊过,白银顶上的两大风险就是一:美联储的主席不是哈塞特而是一个鹰派的人物,导致美联储的整体转鹰,二:就是3月份白银交割的实物库存突然足够,或者交割的逼仓危机的突然解除,这两大风险都会导致白银的突然大跌,而目前显然第一个风险已经触发了,就是哈塞特已经确定不是美联储的主席,而主席竟然是沃什,一个公认的鹰派人物!这个结果很让奇怪,也非常具有着戏剧化的色彩。随即,全球市场发生了大幅的抛售,包括金银铜铁的衍生品,还有港A市场。我奇怪的点在于,相对温和的沃勒,一开始也是作为主席的热门人选,但特朗普居然没有提名沃勒而选择了沃什,同时沃勒为了想当上这个主席,甚至在这次美联储暂停降息里投了反对票,表示支持降息,但即便是这么跟懂王保持一致,懂王依旧没有选他,是不是感觉比较奇怪,我认为,特朗普选择沃什,一方面也是认为沃什也会听他的话继续推行宽松政策之外,另一方面,这个人还是有点心口不一,他并不一定完全赞同弱美元,而是还是想通过相对鹰派一些的美联储形成制衡,来保持一下美元指数残存的信用,维持住岌岌可危的美元指数的走势:<a 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“不,我觉得这很棒。就让它达到它自己的水平,这才是公平的做法,如果你看看中国和日本,他们总是想让自己的货币贬值。” 这个表态,很明显是一种对美元走软的“默许”甚至“欢迎”态度,这个采访内容也在一夜之间重塑了外汇市场的底层逻辑。彭博美元指数应声重挫1.2%,创下自去年关税威胁以来的最大单日跌幅。 从技术层面上看:美元指数目前非常危险,如果下跌加速,美元指数跨过技术上的下落悬崖的话,将影响到未来很长一段时间内全球资产配置的主线。 <a href=\"https://laohu8.com/S/UDN\">$做空美元指数-PowerShares(UDN)$</a> <a href=\"https://laohu8.com/S/USDindex.FOREX\">$美元指数(USDindex.FOREX)$</a> <a href=\"https://laohu8.com/S/UUP\">$美元ETF-PowerShares DB(UUP)$</a> 美元会跌落技术上的悬崖边缘吗? 虽然市场上曾流行“强美元代表强美国”的传统信仰,但著名的“美元微笑理论”提出者、前摩根士丹利外汇策略师斯蒂芬·任(Stephen Jen)却在最近刊文指出,我们正在进入一个全新的历史阶段:美国经济依然强劲,但美元却在走弱,这标志着美元贬值进入了新的阶段,特朗普政府的目标是有利于美国出口商的汇率。 虽然我曾经认为特朗普此前搞乱世界的动作是为了支撑美债进而支撑美元指数的走高,但最近的市场方向似乎说明了另外一个事实,就是特朗普更倾向于弱美元的环境,而不论美元指数是否走弱,美债的价格可能都不会失控,这很可能得益于特朗普和几大美债持有国之间的一种默契,就是关税不会轻易加征,而各国也不会轻易","plainDigest":"就在本周二,美国财经记者向特朗普抛出了一个广泛让华尔街担忧的问题“您是否担心最近的美元贬值?”而特朗普的回答却出乎市场的意料,特朗普回答说: “不,我觉得这很棒。就让它达到它自己的水平,这才是公平的做法,如果你看看中国和日本,他们总是想让自己的货币贬值。” 这个表态,很明显是一种对美元走软的“默许”甚至“欢迎”态度,这个采访内容也在一夜之间重塑了外汇市场的底层逻辑。彭博美元指数应声重挫1.2%,创下自去年关税威胁以来的最大单日跌幅。 从技术层面上看:美元指数目前非常危险,如果下跌加速,美元指数跨过技术上的下落悬崖的话,将影响到未来很长一段时间内全球资产配置的主线。 $做空美元指数-PowerShares(UDN)$ $美元指数(USDindex.FOREX)$ $美元ETF-PowerShares DB(UUP)$ 美元会跌落技术上的悬崖边缘吗? 虽然市场上曾流行“强美元代表强美国”的传统信仰,但著名的“美元微笑理论”提出者、前摩根士丹利外汇策略师斯蒂芬·任(Stephen Jen)却在最近刊文指出,我们正在进入一个全新的历史阶段:美国经济依然强劲,但美元却在走弱,这标志着美元贬值进入了新的阶段,特朗普政府的目标是有利于美国出口商的汇率。 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href=\"https://laohu8.com/S/USDindex.FOREX\">$美元指数(USDindex.FOREX)$</a> <a href=\"https://laohu8.com/S/UDN\">$做空美元指数-PowerShares(UDN)$</a> <a href=\"https://laohu8.com/S/UUP\">$美元ETF-PowerShares DB(UUP)$</a>美元指数的月线走势:而如果美元指数能在这个关键的技术点上企稳并反弹上去,则美国经济可能就能平稳的过度,并为特朗普在2026年的中期选举提供一个良好的环境,如果美元指数加速下跌,那么美债买盘的流失会让收益率再度冲高,造成美股的高位抛压。同时最重要的是,通胀会失控,你要知道,当前的美联储在特朗普明牌影响下,已经向着全面鸽派进展了,不管发生什么,2026年的50个基点的两次降息都是大概率的,而如果这时候通","plainDigest":"目前我终于可以大致判断出来特朗普是在做着一件什么样的事情了。他先是冒天下之大不韪抓走了委内瑞拉的总统,搞乱了委内瑞拉的局势,搞垮了委内瑞拉的经济,之后又威胁伊朗要发动对伊军事打击,还在前天发布了安全警示,让所有的在伊朗的美国公民立刻撤离伊朗,造出声势似乎要真的开展军事行动,我简单统计了下2026年的1月以来,特朗普都威胁、或者真的发起行动打击了哪些国家,不查不知道,一查吓一跳,这位美国总统在短短的半个月时间里,已经发布了针对11个国家的打压,威胁的言论或者动作:他这是要干嘛?悬崖边的美元指数才是原因事出反常必有妖!这背后有很深的宏观逻辑原因,一句话总结根源就是:特朗普在通过搞乱他国经济和全球资金的流动秩序,来为美债或者说是美元资产寻找买盘,通过作乱全球市场吸引大量的热钱往美元资产中避险,从而维持住目前即将破位下跌的美元指数,之前我们也聊过,美元指数距离破位加速下跌其实就一步之遥。$美元指数(USDindex.FOREX)$ $做空美元指数-PowerShares(UDN)$ $美元ETF-PowerShares 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A 避险,mark","plainContent":"所以核心逻辑是,美国把全球搞的剑拔弩张,外资来港 A 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显然,时代变了。过往的第一个变量来自于中国所带来的大宗商品需求和超级周期,而最新一个变量则来自于多种形式的去美元化。虽然拉美国家的民众依然相信美元的稳定性,但是华盛顿的法则已经不再是桎梏。美联储依然可以印钞,依然可以调控利率,但通过货币政策来操控他国经济命运的能力已经大不如往昔。以这次的倒霉蛋委内瑞拉为参考,该国大量的石油收入以稳定币形式收取。而其暗囤的比特币储备传闻也可以匹敌微策略(未有官方数据,但可以参考日买一枚比特币的萨尔瓦多)。与此同时,中阿货币互换和中巴本币结算,也让大国博弈的背景映射到了南美国家。而内部的情况,也在微妙的发生变化。过去数年黄金的持续上涨和去年白银的轧空都是对冲风险的必然结果。那些看起来最忠实的守门人也可能是整个体系中最为致命的内部空头。 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