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恒生指数(HSI)
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钉子扎出的洞
·
06-11 13:01
$恒生指数(HSI)$
地产一起大跌走起
$恒生指数(HSI)$ 地产一起大跌走起
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過路人
·
06-11 07:47
仲谂住
$恒生指数(HSI)$
寻日尾段跌少左。开始会反攻[难过] 。夜期一开又跟住下跌成百点。已经连续下跌6日啦。仲想跌到几时呀百街。[喷血] [喷血] [喷血]
琴日波动又好大。盘前试过下跌10%。盘中又倒升4%。咁既情况买卖正股风险都系好高。比著我既话。一系卖put65一系卖call 340。但一定不会买正股。
$快手-W(01024)$
琴日表现一定要比个赞佢。差不多全日都升。要知道系恒指大跌下升。不是容易的事。加上细摩大声喝彩。佢自己都有入货。唔系得把口。我觉得必有后著。
$腾讯控股(00700)$
昨日恒指不大跌功臣之一。好彩有你撑住个市。力拒空军来袭。不过我觉得唔会上得反500
$SOXL 20260612 65.0 PUT$
仲谂住$恒生指数(HSI)$ 寻日尾段跌少左。开始会反攻[难过] 。夜期一开又跟住下跌成百点。已经连续下跌6日啦。仲想跌到几时呀百街。[喷血] [喷血] ...
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過路人
·
06-10 07:41
$恒生指数(HSI)$
连续下跌5日喇。点算呀?[生病] 寻日早段又大跌[看跌] 170点。夜期更痴左线,一度暴跌超过400点[惊吓] 。见到都个淡[心碎] 。
$小米集团-W(01810)$
又创新低,全日走势麻麻地。连弹都唔识弹。连跌9个月真系不知所谓。
$曦智科技-P(01879)$
寻日大跌11%都系创新低。呢d股唔系买喇。跌几多都系贵。几时系低都无人知。
$MINIMAX-WP(00100)$
又大跌身为双雄之一既佢昨日大跌8%。比高位回吐超过5成。唔好因此而想买。随时继续会大跌。300之下我先会考虑
$恒生指数(HSI)$ 连续下跌5日喇。点算呀?[生病] 寻日早段又大跌[看跌] 170点。夜期更痴左线,一度暴跌超过400点[惊吓] 。见到都个淡[心碎...
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老猫打个新
·
06-11 13:11
精锋医疗:国产手术机器人龙头,业务持续增长,海外表现亮眼
小结: 精锋医疗
$精锋医疗-B(02675)$
当前最重要的变化,不是“又卖出多少台机器人”,而是公司已经从国产替代逻辑,升级到“国内龙头地位巩固+海外商业化加速兑现+平台化产品矩阵成形+远程/AI打开第二成长曲线”的新阶段。 ——从经营层面看,2025年公司实现收入4.56亿元、同比增长184.8%,毛利率提升至66%,经调整亏损收窄至0.21亿元;管理层重申全年约8.5亿元收入与盈亏平衡目标,同时对全年约120台商业装机保持信心,并预计截至2026年6月30日完成60台装机,显示订单兑现与收入确认节奏均较强。 ——更具投资含义的是,精锋的增长结构正在发生质变。 国内端,公司近期国内累计装机60台,在2026年国内公立医院腔镜手术机器人中标/采购口径下,精锋占比30%,仅次于达芬奇的37%,并稳居国产第一; 截至2026年5月30日公司海外累计发货/装机超过100台,其中波兰超过10台,印度/巴西也即将超过10台,意大利装机超过5台,说明公司已经突破“发展中市场试单”阶段,开始向欧洲发达市场和区域性大国复制。 结合累计手术量超过2万例、今年月均1500例的持续爬坡,以及MP+SP+MSP的产品矩阵、远程手术与Physical AI布局,精锋正在从“卖设备”走向“平台型外科机器人公司”的雏形,这才是属于公司的星辰大海 一、先上观点,为什么当前阶段的精锋值得重点关注? 精锋医疗的核心投资逻辑,已经从单一“国产替代”演化为三条并行主线: 第一,国内市场份额持续提升,且在公立医院采购中已形成国产第一的稳定卡位; 第二,海外商业化突破速度显著超预期,且不是单点爆发,而是欧洲、拉美、南亚多区域同步放量; 第三,公司正在以多孔、单孔、单多孔一体化、远程系统与AI能力,建立有别于传统国产器械公司的平台化竞争
精锋医疗:国产手术机器人龙头,业务持续增长,海外表现亮眼
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产业链X光机:
精锋国产出海第一,国内也是第一,那必须支持啊
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輪證贏家
·
06-11 10:14
【轮证赢家】再来恒指熊追年内低位
㖊日拣咗只
$HS#HSI RP2904F.P(55595)$
出嚟,策略系借返五分钟图见反抽上10/20线唔过时先至出动;甚至用返Slow STC(14.3)上到超买位后见触顶向下先至出都得,大胆地向下望住佢会唔会创年内新低。 喺下半场开市无耐,有见
$HSI(HSI)$
向下再压低见24707点后出平底再上,真系同年内低位24703点争4点咋!睇到都觉得「牙烟」;不过随住之后有见Slow STC(14.3)触底上,恒指熊(55595)当完成一趟Swing Trade计,呢一注平均都有4.14%。 㖊日嘅下半场其实喺作战室都有再追多次淡仓,不过指数回返上去244位置,以为年内低位2420x点呢个够照啦;谁不知今朝起身开电视见到外围跌到「fing ling fung lung」(拼到呢四个字我话你叻!),月初喺作战室拣嗰只恒指Put若然守到依家嘅话,已经揾得返全年会费仲有剩;放心,喺呢度都有拣到出嚟嘅。 然而,㖊日指数最低见过24207点,同3月嘅年内低位24203点只系争4点;而日线图上见指数亦都出咗低位「十字星」形态;叠多个月线图嘅20月线接住,成个整样都系有似出技术反弹,但更大嘅可能系要用「弹高熊」嘅策略。 指数今朝微跌27点之后见底开高走,依家9点49分,作战室已经有战友偷完牛再偷熊正数收工,而喺五分钟图上见指数暂时高位上到24492点,同前日嘅五分钟图开市裂口底24496点相约,上到之后见指数重新向下,果然系要出「弹高熊」。 嚟到依家9点57分,作战室再追多次淡仓都收埋正数,至于我...嘿嘿,因为今日打完个策略出嚟之后个市已緀变咗,所以作战室开糊嗰班友仔基本上都系一齐玩咗好耐、已经好熟悉技术分析
【轮证赢家】再来恒指熊追年内低位
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最强大脑袋
·
06-09 18:01
$盛业(06069)$
短期小幅回调纯属正常震荡,下方空间有限,看好后续逐步回暖
$恒生指数(HSI)$
$盛业(06069)$ 短期小幅回调纯属正常震荡,下方空间有限,看好后续逐步回暖 $恒生指数(HSI)$
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期权六艺
·
06-09 11:02
恒指‘六绝月’屡见低位
恒指本周跌至24500重要支撑位,周一/周二日内低位相同24373,巧合乎?若收低抛离24500,本月低位大有可能去24000-23800区间。下半月不易看空,庆祝气氛还得有,本周若回25000之上,月寻底之旅或完结,再去体现港股非常好。恒指已难以常规思维判研,知名股评人发声亦见少。28日至今近两周时间,有13400余张期指量恒指牛熊证被回收可谓不少,再下再有至24000还有近5000张期指量牛证。市场参与度不高,机构对手越发对标散户,隔壁股市也如此,大鱼游去大洋对岸,此时虾米也是肉,恒指的低领先于周边股市,未见值得吸纳的声音。屋漏外围连阴雨,升跌不求波动也好,低吸高抛占一边。上周二日内波幅900点威力大,买权可一日达,双买当日call认购几个价位都有效,上周双买双位25600/25800call,周二/周三均价内获利平仓,3-6月 9周胜 3 平 1 负,去年下半年至今 45周胜33周 6 平 6 负。本周双买目标25200/24200,周周不拉才能体现成功率/赢赔比,不判断方向亦不选择时机,双买策略的持久性对想成为专业散户很友好,判断方向非易事。
$恒生指数主连 2606(HSImain)$
$HSI(HSI)$
$00700(00700)$
恒指‘六绝月’屡见低位
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專業app體驗員
·
06-08
$恒生指数(HSI)$
预估6月19日会冲上26000
$恒生指数(HSI)$ 预估6月19日会冲上26000
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輪證贏家
·
06-10 10:20
【轮证赢家】恒指迫近年内低位
㖊日拣咗只
$UB#HSI RC2807J.C(58230)$
出嚟,讲到明都只系爬住格仔啫,用小时图10线做上望目标。还好指数上得到,比到个食糊位出嚟,皆因以收市价计,
$HSI(HSI)$
系重新低走于小时图10线。 美以伊战争再度重燃...其实好似都无停过,而6月初喺日线图上见100/150线出阻力+「身怀六甲」喺线前出现,恒指Put喺呢度都有拣到嘅,只不过唔知大家仲有无揸到呢依家呢一刻啫。 今日再睇个日线图,整条保历加通道保持向下而指数亦都贴住底线向下落,而今日嘅100线同150线都愈来愈近,两者只系争13点,随时明日或之前应该会见到100线低走于 150线,再出多个「死亡交叉」之余,更重要嘅系五条平均线(10/20/50/100/150线)倒序排列,属中线利淡讯号。 至于条250天线 aka 牛熊分界线,今日已经高走于50天,即系佢今日同50线出咗「死亡交叉」;同100线位都仲争331点,即系话如果日线图上再出多次「死亡交叉」嘅话,呢个就系传说中嘅「终极死亡交叉」。 再拎埋个牛熊证街货图出嚟,见今日牛证有储住过千张期指街货嘅已经有三层,喺240至242嘅范围。而由于日线图下方都无晒平均线,得返条保历加底线,所以唯有向前追索返啲低位嚟拉线,先于3月下旬有一个24409点嘅低位;再向前见3月中左右嘅低位24203点,而24203点亦都系暂时今年嘅低位,刚好亦都系牛证嘅重货区。
$HS#HSI RP2904F.P(55595)$
,收回价24962点,同现价有约513点距离,已经系市场上最贴价嘅熊证,而(55595
【轮证赢家】恒指迫近年内低位
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许亚鑫
·
06-10 22:58
通胀数据落地,黄金接连失守两道整数关口!
今晚是学院6月的第三节直播课,我分别从“37次即将达成与CPI数据”,“黄金定价与华尔街机构分歧”,“5月外贸数据与国家数据局”,“中国芯片与跨境股神”四个方面解读了基本面的一些信息,并结合中东,特朗普,通胀,美联储,中金,央行购金,实际利率,美股,金银油,进出口,计算机及零部件,集成电路,人工智能+,芯片单价,跨境股神,人民币,A股,港股等给出了接下来的布局思路。 图片 对于关心黄金的人来说,我前文《0609:未来金价面临的考验,三道潜在利空两道坎!》提到的第一道坎已经落地,数据利空黄金,不过由于市场对数据有所预期,反而在数据落地后,金价出现小幅的反弹。 美国劳工统计局周三公布数据显示,5月消费者价格指数(CPI)同比上涨4.2%,为2023年初以来最高水平,符合市场预期,这也标志着CPI通胀三年来首次突破4%关口。推动整体通胀走高的主要因素是伊朗战争引发的能源价格上涨。环比0.5%持平预期,略低于前值0.6%。 图片 "新美联储通讯社"Nick Timiraos分析指出,以三个月年化计算,5月CPI整体涨幅高达8.2%;整体CPI环比上涨0.47%,年化涨幅约5.8%,使得12个月涨幅达到4.2%,创三年来新高。 此外,核心CPI方面,5月同比上涨2.9%,与预期持平,较前值2.8%小幅抬升;环比涨幅为0.2%,低于市场预期的0.3%。核心通胀虽表现温和,但美国实际工资已出现2023年4月以来首次同比负增长,令消费者处境雪上加霜。 数据公布以前,黄金价格已经从前一天的4363美元/盎司水平一路阴跌下行,失守4300和4200两道整数关口,数据落地后触及4132美元/盎司的调整新低,随后反抽至4170附近。 历史数据显示,过去100年中,CPI一旦突破4%,标普500指数在随后3个月平均下跌4%,随后6个月平均下跌7%。 德意志银行策略师Jim Reid则提供了更长周期的
通胀数据落地,黄金接连失守两道整数关口!
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