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Kaid Osmanagic 保密 ID: 71565508
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    $麦当劳 (MCD.US)$ $微软 (MSFT.US)$ $谷歌-C (GOOG.US)$ 多年来,人们一直认为股票回购对股东来说是一件完全积极的事情。但是,回购也有一些缺点。判断公司财务状况的最重要指标之一是其每股收益。每股收益将公司的总收益除以已发行股票数量;数字越高表示财务状况越好。
    通过回购股票,公司减少了已发行股票的数量。因此,股票回购使公司能够提高这一指标,而无需实际增加收益,也不会采取任何措施来支持其财务状况变得更强的想法。
    举个例子,假设一家年收益为1000万美元、流通股为50万股的公司。因此,该公司的每股收益为20美元。如果它回购10万股已发行股票,其每股收益将立即增加到25美元,尽管其收益没有变化。使用每股收益来衡量财务状况的投资者可能会认为这家公司比每股收益为20美元的同类公司更强大,而实际上,回购策略的使用解释了5美元的差额。
    回购引起争议的关键原因:
    1。对每股收益的影响可能会人为地提振股票,掩盖仔细观察公司的比率所揭示的财务问题。
    2。各公司将使用回购作为一种方式,允许高管在不稀释每股收益的情况下利用股票期权计划。
    3。回购可能会造成股价的短期上涨,有人说这可以让内部人士获利,同时让其他投资者大吃一惊。起初这种价格上涨可能看起来不错,但积极的影响通常是短暂的,当市场意识到该公司没有采取任何措施来增加其实际价值时,平衡就会恢复。那些在碰撞之后买入的人可能会蒙受损失。
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    $耐克 (NKE.US)$ 我喜欢这里的145/140便士信贷利差的想法。11/19年运营支出为1.45美元的信贷
    与theta衰减相比,距离到期30-45天或更长时间将获得最大的溢价(根据Tasty Trades的说法是最佳选择)。
    你可以长时间赤身裸体:) 更高风险的想法。我对耐克会反弹多高和多快没有信心,所以我喜欢这里的价差交易想法
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    $Blink Charging (BLNK.US)$ i have a position on this stock from $29.19 and have stops below 24 just to give it some wiggle room since it has tagged the 61.8 before. i have targets at 79 but since it has never been that high before i will probably look to lock some profit in at previous highs and ride the rest to target if it happens. Set up is a traditional hwb all time low to all time high. 50% touched, broke above 38.2 and retest of 50% was our entry. Just discovered this set up last week and got a good price for the trade. Also forming a wedge down here so hopefully we can get a break out. With my position at 29.19 and stops $5 below, price target $35 higher (previous highs) it gives us a good risk to reward of about a 1:7. I like to keep things simple, with stocks i prefer larger time frames.
    $Aterian (ATER.US)$ YOU GUYS CAN SEE HOW HARD THEY WERE FIGHTING AND SPREADING FUD. SO STOP WITH THESE LITTLE ASS FUCKING PRICE TARGETS THIS IS ACTUALLY A HUGE ONCE IN A LIFETIME RIDE PROBABLY A BIGGER SQUEEZE THAN GME DUE TO HOW LOW THE FLOAT IS.
    Anyone that sells at anything below $100 deserves to miss out on what coming! SO PLEASE LET'S NOT RUIN IT. WE CONTROL THE FLOAT! This Rocket is about to fly to the moon the company has assets worth more than its market cap alone. Also, its earnings are out of this world so with no squeeze this is a $100 stock with a gamma squeeze this should be where GME is at or even more because of how low the float is. Look for $300 to $500! In addition, over $1 billion dollars of options expire in the money that will trigger them to buy shares to hedge for what's coming. This is a solid company with solid fundamentals.
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    $标普零售指数ETF-SPDR (XRT.US)$ 卖出 80 个看跌期权 @ 0.47 行使价 85
    入场时攻击的百分比为 10.4%
    ATR 百分位数很低
    最大收益:估计为3760美元
    BP 区块总数:75K
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    $恒大汽车(停用) (BK0719)$ 的利润率高于 $阿里巴巴-SW (09988.HK)$
    基本上,现在有90%以上的股票好于9988。
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    $腾讯控股 (00700.HK)$ After the performance, where did the rise fall back to where? Today is Friday, and Hong Kong stocks crash every Monday!
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    9月11日,我说这会很困难 $腾讯控股 (00700.HK)$ 返回到 420。即使之后市场大幅下跌,最低也为443。腾讯的这种支持力度已经足够强了。您如何看待腾讯的未来趋势?
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    $纳斯达克100指数主连(2409) (NQmain.US)$ 澳新银行希望通过15350作为上限测试。趋势线是长期的下降趋势,需要突破。虽然反弹幅度大于低点的50%,但已经进入了音量高峰期。例如:我们仅比周一的EOD反弹高出110点,该反弹发生在收盘的最后30分钟,并在隔夜持续下去,然后在周二和周三的大部分时间里抛售。在试图突破趋势线之前,NAZ将于今天开盘并重新测试15150。如果出现上述故障,则会出现一些双向移动。
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    $亚马逊 (AMZN.US)$ bearish
    PT: 2,565 - 2,939.52
    H&S On weekly with a C wave down expected. We can see that it lost purple channel, back tested and then rejected the re-entry. Blue channel is the main channel where we will most likely visit my green box and middle channel (light blue dotted line for a test there).
    Major flip point to bullish: Above 3,558.60