Since Federal Reserve Chairman testified on Capitol Hill on July 11, the U.S. stock market has been unstable.
On July 24, we saw a 'Black Wednesday' with the S&P 500 dropping 2.3% and the Nasdaq plunging 3.64%—the worst since the AI boom began.
After a brief stabilization this week, the U.S. stock market resumed its downward trend on Thursday, August 1, with the Nasdaq index falling more than 2%.
Many investors are feeling blindsided and unsure of how to react. It's okay—let's take a moment to calm down and reassess our strategy.
Here are common responses to a market downturn:
1. Sell to cut losses
2. Implement hedging strategies
3. Stay put
4. Buy more or bottom-fish
Which one should you choose? Before making any decisions, we need to do two things: analyze the market outlook and evaluate our own situation.
Market outlook
The market is flooded with analyses on the reasons behind the downturn, which can be viewed from both short-term and mid-term perspectives.
Short-term triggers
The immediate catalysts might be the earnings reports from tech stocks. While Apple and Meta beat the market's expectations, the financial reports of Google, Microsoft, and Amazon have raised doubts among investors about whether significant investments in AI are worthwhile.
Mid-term concerns
From a mid-term perspective, the market is mainly worried about the U.S. elections, economic slowdown, and doubts about the pace of AI commercialization—fears that resurface every time AI stocks decline.
While these concerns are valid, the core issue might be the previous significant market gains, prompting profit-taking and a needed correction.
Before the rate cut hits the ground in September, the market can possibly take advantage of the negative factors to complete a round of kills, and then go back to speculating on the rate cut.
Want to bottom-fishing?
For investors considering bottom-fishing, the most important thing is to determine the turning point of this pullback.
A useful tool is the Fibonacci retracement, which is helpful to identify support levels during a pullback.
For example, Nvidia's first support is around $117 (23.6% retracement) and the second is around $102 (38.2% retracement). The stock has already breached the first level and is trending towards the second. If it stabilizes around $102, it could be a buying opportunity.
For more on using Fibonacci retracements, refer to this course: What are Fibonacci Retracements?
As we all know, predicting the market is always challenging, as anything can happen. If you lack confidence in the economy, elections, corporate earnings, or AI development, you should rule out bottom-fishing and consider the other strategies first. At this point, it's essential to evaluate your situation before making a decision.
Ask Yourself These Questions
1. Am I losing money?
- Warren Buffett advised, "Rule No. 1: never lose money; Rule No. 2: never forget rule No. 1."
- If your stocks are nearing or starting to incur losses, sell immediately to protect your capital. It's better to miss an opportunity than to get stuck in a losing position.
2. Why did I buy this stock?
- Speculative investors: If you bought for short-term gains, exit quickly if the trend turns negative. Don’t switch to a long-term view just because the market is down.
- Long-term investors: Stay calm and assess if your original reasons for investing have changed. If they haven’t, continue to hold despite market panic.
3. Can I stay calm if the market moves against me?
Be prepared mentally for market fluctuations. One or two mistakes aren’t disastrous; the key is to stay rational.
- If you’re struggling: Consider selling and taking a break. Don’t rush back if the market rebounds, as this could lead to emotional decisions and further losses.
- If you’re holding but sensitive to fluctuations: Consider using hedging tools to reduce short-term risks and stay calm.
Hedging tools
If you already own stocks and don't want to sell at a loss, consider these hedging strategies:
1. Options Hedging
- Covered Call: Sell call options on your stocks. If the stock declines or remains flat, you earn the option premium. However, this offers limited protection in a significant downturn.
- Protective Put: Buy put options on your stocks for greater protection, but at a higher cost.
To find options on moomoo, go to Markets> Options
2. Inverse ETFs
Consider adding inverse ETFs to your portfolio. These ETFs rise as the market falls. $ProShares UltraPro Short QQQ ETF (SQQQ.US)$ and $Direxion Daily Semiconductor Bear 3x Shares ETF (SOXS.US)$ are good for tech-heavy portfolios. Be cautious with position sizes, as these ETFs will fall if the market rebounds, potentially leading to losses.
To find inverse ETFs on moomoo, go to Go to Markets> ETF> Index ETF> VIX> Inverse ETF
3. VIX ETFs
During sharp market declines, the VIX (volatility index) spikes. Trade VIX through ETFs like VXX and UVXY, which surged recently. These are suitable for short-term trading only, as long-term holding is risky.
To find these ETFs on moomoo: go to Markets> ETF> Index ETF> VIX
$S&P 500 Index (.SPX.US)$ $Dow Jones Industrial Average (.DJI.US)$ $Nasdaq Composite Index (.IXIC.US)$ $Tesla (TSLA.US)$ $NVIDIA (NVDA.US)$ $Alphabet-C (GOOG.US)$
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自從聯邦儲備委員會主席在7月11日在國會山作證以來,美國股市一直不穩定。
7月24日,標普500指數下跌2.3%,納斯達克指數暴跌3.64%,成爲自人工智能繁榮開始以來最糟糕的一次。
經過本週的短暫穩定後,美國股市於8月1日星期四恢復下跌趨勢,納斯達克指數下跌超過2%。
許多投資者感到措手不及,不確定如何應對。沒關係,讓我們花點時間冷靜下來,重新評估我們的策略。
以下是應對市場下跌的常見方法:
1.賣出以減少虧損
2.實施對沖策略
3.保持觀望
4.增加買入或抄底
在做出任何決定之前,我們需要做兩件事:分析市場前景並評估我們自己的情況。
市場前景
市場上充斥着對下跌原因的分析,可以從短期和中期的角度來看待。
短期觸發器
直接引發因素可能是科技股的業績。雖然蘋果和Facebook超過了市場預期,但谷歌、微軟和亞馬遜的財務報告引發了投資者是否值得進行人工智能等重大投資的質疑。
中期關注點
從中期的角度來看,市場主要擔心美國大選、經濟放緩以及有關人工智能商業化步伐的疑慮,這些擔憂在人工智能股票下跌時反覆出現。
儘管這些擔憂是有效的,但核心問題可能是之前的顯着市場收益,導致了賺錢和所需校正。
在減息在9月落地之前,市場可能會利用負面因素完成一輪擊殺,然後回到對減息的猜測之中。
想要抄底?
對於考慮抄底的投資者,最重要的是確定這次回調的拐點。
黃金分割回撤是一個有用的工具,有助於在回撤期間確定支撐位。
例如,Nvidia的第一支撐位在117美元左右(23.6%回撤),第二支撐位在102美元左右(38.2%回撤)。股票已經突破了第一層,正在趨向第二層。如果股票穩定在102美元左右,這可能是一個買入機會。
要了解更多有關使用斐波那契回撤的內容,請參考本教程: 什麼是斐波那契回撤?
衆所周知,預測市場總是具有挑戰性,因爲任何事情都可能發生。如果您對經濟、選舉、企業盈利或人工智能的發展缺乏信心,您應該排除抄底策略,並首先考慮其他策略。此時,評估自己的情況是做出決策之前必不可少的。
問問自己這些問題
1. 我是否正在損失?
- 禾倫·巴菲特建議:“第一條規則是:永遠不要虧錢;第二條規則是:永遠不要忘記第一條規則。”
- 如果您的股票接近或開始產生虧損,請立即賣出以保護您的資本。錯過一次機會總比陷入虧損的境地好。
2. 我爲什麼會買這支股票?
- 投機型投資者:如果您是爲了短期利潤而購買的,那麼請在趨勢轉負後迅速退出。不要因爲市場下跌而轉爲長期考慮。
- 長期投資者:保持冷靜,評估您投資的原始理由是否發生變化。如果沒有,儘管市場恐慌,仍然繼續持有。
3. 如果市場朝着我不利的方向移動,我能否保持冷靜?
爲市場波動做好心理準備。一兩個錯誤並不是災難性的,關鍵是保持理性。
- 如果您感到困難:考慮賣出並休息一下。如果市場反彈,請不要急於回來,因爲這可能會導致情緒化的決策和進一步的損失。
- 如果您持有但對波動敏感:考慮使用對沖工具來降低短期風險並保持冷靜。
對沖工具
如果您已經擁有股票並且不想以虧損售出,請考慮以下對沖策略:
1. 期權對沖
- 覆蓋認購:對您的股票賣出認購期權。如果股票下跌或持平,您可以獲得期權權利金。然而,在大幅下跌時,這隻能提供有限的保護。
- 保護性購 Put:購買股票的購 Put期權,以獲得更大的保護,但成本更高。
要在moomoo上查找期權,請轉到 市場> Options
2.反向etf
考慮將反向etf加入到您的投資組合中。這些etf在市場下跌時上漲。$3倍做空納指etf-proshares(SQQQ.US)$和$3倍做空半導體etf-direxion(SOXS.US)$對於重科技股投資組合來說是好的選擇。在持倉規模上要謹慎,因爲如果市場反彈,這些etf將下跌,可能導致虧損。$3倍做空納指ETF-ProShares (SQQQ.US)$ Facebook和亞馬遜將於週四發佈收入報告。$3倍做空半導體ETF-Direxion (SOXS.US)$ 對於重科技股投資組合來說,這些etf是不錯的選擇。在持倉規模上要謹慎,因爲如果市場反彈,這些etf將下跌,可能導致虧損。
要在moomoo上查找反向etf,可以前往 市場>etf>指數etf>VIX> 反向etf
3.VIX etf
在市場急劇下跌時,波動率指數(VIX)激增。可以通過像VXX和UVXY這樣的etf來交易VIX,最近這些etf大幅上漲。這些只適合短期交易,長揸是有風險的。
要在moomoo上找到這些etf:請轉到 市場> 交易所交易基金> 指數etf> VIX
$標普500指數 (.SPX.US)$ $道瓊斯指數 (.DJI.US)$ $納斯達克綜合指數 (.IXIC.US)$ $特斯拉 (TSLA.US)$ $英偉達 (NVDA.US)$ $谷歌-C (GOOG.US)$
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