Norms_
参与了投票
让我们增进对日本贸易的了解。通过正确回答来获得积分!
今天的问题
🏆 为正确答案得分 10 分!
🗓时间:从 2024 年 4 月 16 日上午 11:59 到 2024 年 4 月 18 日上午 11:59
我们为什么要开始这个关于日本股市的话题?我们将在 4 月 18 日公布答案!在此之前,我们将每天进行一次每日测验!
敬请关注更多详情...
已翻译
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Norms_
参与了投票
$苹果(AAPL.US$
$特斯拉(TSLA.US$
喜欢这个活动。
使用积分开始游戏。![]()
刚刚兑换了 pushie 玩具 🧸。等待配送 🚚。
到目前为止你的猜测怎么样?我说对了大约 75%。![]()
最近上线了。通常每天都会玩,但本周错过了一天。
有人找到其他股票来玩这个活动吗?除此之外
苹果和特斯拉... ![]()
多亏了 @Alexwu5 提及,
你也可以在以下网址玩这个活动
$AMC院线(AMC.US$
$标普500指数(.SPX.US$
好极了!我的第一张红线...
$特斯拉(TSLA.US$
喜欢这个活动。
刚刚兑换了 pushie 玩具 🧸。等待配送 🚚。
到目前为止你的猜测怎么样?我说对了大约 75%。
最近上线了。通常每天都会玩,但本周错过了一天。
有人找到其他股票来玩这个活动吗?除此之外
你也可以在以下网址玩这个活动
$AMC院线(AMC.US$
$标普500指数(.SPX.US$
已翻译
![向上或向下事件](https://sgsnsimg.moomoo.com/moo-1657295957-101793897-iPhone-1-org.jpg)
![向上或向下事件](https://sgsnsimg.moomoo.com/feed_image/101793897/3db8b2d9101138dea478ff3558ad200d.jpg)
![向上或向下事件](https://sgsnsimg.moomoo.com/feed_image/101793897/7e57816ba9be377c95a114912d36275f.jpg/thumb)
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Norms_
赞并评论了
香港股市在2021年明显回落,恒指目前累计下跌超过14%,表现低于全球主要股票指数,那么明年投资者应该乐观吗?
随着许多机构发布2022年展望,支持中国资产表现的声音越来越强烈,包括对港股的看涨观点,许多机构对明年恒指的走势做出了乐观的预测。
总体而言,这些机构投资者普遍认为,经过持续调整,香港股市已经消化了大部分风险,目前的估值既合理又有吸引力。
$恒生指数(800000.HK$ $国企指数(800100.HK$ $恒生科技指数(800700.HK$ $腾讯控股(00700.HK$ $美团-W(03690.HK$ $香港交易所(00388.HK$ $比亚迪股份(01211.HK$
随着许多机构发布2022年展望,支持中国资产表现的声音越来越强烈,包括对港股的看涨观点,许多机构对明年恒指的走势做出了乐观的预测。
总体而言,这些机构投资者普遍认为,经过持续调整,香港股市已经消化了大部分风险,目前的估值既合理又有吸引力。
$恒生指数(800000.HK$ $国企指数(800100.HK$ $恒生科技指数(800700.HK$ $腾讯控股(00700.HK$ $美团-W(03690.HK$ $香港交易所(00388.HK$ $比亚迪股份(01211.HK$
已翻译
![我们现在可以买港股吗?机构投资者持乐观态度](https://ussnsimg.moomoo.com/5679325707601326038.png/thumb)
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Norms_
赞了
Norms_
赞了
According to the US Securities and Exchange Commission (SEC), Barclays Bank submitted the third quarter (Q3) position report (13F) as of September 30, 2021.
According to statistics, the total market value of Barclays Bank's positions in the third quarter reached 222.223 billion US dollars. The total market value of the previous quarter was 211.642 billion US dollars, an increase of 5% from the previous quarter. Barclays Bank added 266 new stocks to its holdings portfolio in the first quarter and increased its holdings by 2,664 stocks. At the same time, Barclays Bank also reduced its holdings of 1,371 stocks and liquidated 376 stocks. Among them, the top ten holdings accounted for 30.76% of the total market value.
From the perspective of holding preferences, IT, financial and communications stocks rank among the top three, accounting for 23.13%, 22.12% and 11.57% of the total holdings respectively.
Among the top five major stocks, the S&P 500 Index ETF (put options, SPY) ranked first, holding approximately 36.93 million shares and holdings with a market value of approximately US$15.8 billion, a decrease of 2% from the previous quarter’s holdings and accounting for a proportion of the portfolio. It was 7.13%.
The Nasdaq 100ETF (put options, QQQ) ranked second, holding approximately 25.97 million shares and holdings with a market value of approximately US$9.3 billion, a 36% decrease from the previous quarter and accounting for 4.18% of the portfolio.
Russell 2000 index ETF (put options, IWM) ranked third, holding about 32.87 million shares, holding a market value of about 7.2 billion US dollars, an increase of 1% from the previous quarter, and accounting for 3.24% of the portfolio.
The S&P 500 Index ETF (call option) ranked fourth, holding approximately 15.95 million shares and holdings with a market value of approximately US$6.8 billion, a 33% decrease in the number of holdings compared with the previous quarter, accounting for 3.08% of the portfolio.
Apple (AAPL.US) ranked fifth, holding approximately 41.92 million shares and holding a market value of approximately US$5.9 billion, an increase of 10% from the previous quarter’s holdings, accounting for 2.67% of the portfolio.
$SPDR 标普500指数ETF(SPY.US$ $纳指100ETF-Invesco QQQ Trust(QQQ.US$ $iShares罗素2000指数ETF(IWM.US$ $苹果(AAPL.US$
According to statistics, the total market value of Barclays Bank's positions in the third quarter reached 222.223 billion US dollars. The total market value of the previous quarter was 211.642 billion US dollars, an increase of 5% from the previous quarter. Barclays Bank added 266 new stocks to its holdings portfolio in the first quarter and increased its holdings by 2,664 stocks. At the same time, Barclays Bank also reduced its holdings of 1,371 stocks and liquidated 376 stocks. Among them, the top ten holdings accounted for 30.76% of the total market value.
From the perspective of holding preferences, IT, financial and communications stocks rank among the top three, accounting for 23.13%, 22.12% and 11.57% of the total holdings respectively.
Among the top five major stocks, the S&P 500 Index ETF (put options, SPY) ranked first, holding approximately 36.93 million shares and holdings with a market value of approximately US$15.8 billion, a decrease of 2% from the previous quarter’s holdings and accounting for a proportion of the portfolio. It was 7.13%.
The Nasdaq 100ETF (put options, QQQ) ranked second, holding approximately 25.97 million shares and holdings with a market value of approximately US$9.3 billion, a 36% decrease from the previous quarter and accounting for 4.18% of the portfolio.
Russell 2000 index ETF (put options, IWM) ranked third, holding about 32.87 million shares, holding a market value of about 7.2 billion US dollars, an increase of 1% from the previous quarter, and accounting for 3.24% of the portfolio.
The S&P 500 Index ETF (call option) ranked fourth, holding approximately 15.95 million shares and holdings with a market value of approximately US$6.8 billion, a 33% decrease in the number of holdings compared with the previous quarter, accounting for 3.08% of the portfolio.
Apple (AAPL.US) ranked fifth, holding approximately 41.92 million shares and holding a market value of approximately US$5.9 billion, an increase of 10% from the previous quarter’s holdings, accounting for 2.67% of the portfolio.
$SPDR 标普500指数ETF(SPY.US$ $纳指100ETF-Invesco QQQ Trust(QQQ.US$ $iShares罗素2000指数ETF(IWM.US$ $苹果(AAPL.US$
![Barclays Bank Q3 Positions](https://ussnsimg.moomoo.com/1636628213869-70040946-android-org.png/thumb)
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