Linda800
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1. 标普期货的空头头寸创下2008年以来的最高,空头这么多,怎么跌呢?所以美股会拉爆空头,或者高位震荡再下跌。在认为大盘涨的很多的情况下就想做空时,请大家记得利弗莫尔曾经对我们的提醒:永远不要因为一只股票涨的太高就不买,也不要因为一只股票跌的太多就去买。
2. 这个位置我们不会再去做多指数了,太不可取,做多肉少,做空太早。下图可以看到指数已经是双压力交合了。选动能股交易比较好,SIGA在盘整,还是有看涨的机会。FFIE有消息提振,我们和贾会计玩一波。适合小仓位买些期权博取大利润。等30分钟出现回调信号时我们再入场做空。另外我们重仓的股票依然看涨,虽然今天没有随着大盘一起涨,但依然看好,等市场高位震荡的时候会出现板块分化。
3. 重点要和大家讲的,进来吸引眼球的HKD和AMTD,日内超短线就不提了,凭运气赚钱,但是波段长线,谁碰谁被套,这就是当年的WINS(可以去查一下这个代号)。有人为是不是因为有李嘉诚加持,或者是不是一个被低估的好基本面股票?那不可能,好股票不可能涨成这个样子,因为一家合格的投行,在帮助股票上市的时候一定是尽...
2. 这个位置我们不会再去做多指数了,太不可取,做多肉少,做空太早。下图可以看到指数已经是双压力交合了。选动能股交易比较好,SIGA在盘整,还是有看涨的机会。FFIE有消息提振,我们和贾会计玩一波。适合小仓位买些期权博取大利润。等30分钟出现回调信号时我们再入场做空。另外我们重仓的股票依然看涨,虽然今天没有随着大盘一起涨,但依然看好,等市场高位震荡的时候会出现板块分化。
3. 重点要和大家讲的,进来吸引眼球的HKD和AMTD,日内超短线就不提了,凭运气赚钱,但是波段长线,谁碰谁被套,这就是当年的WINS(可以去查一下这个代号)。有人为是不是因为有李嘉诚加持,或者是不是一个被低估的好基本面股票?那不可能,好股票不可能涨成这个样子,因为一家合格的投行,在帮助股票上市的时候一定是尽...
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$ペイパル・ホールディングス (PYPL.US)$本日のクロージング時に、主力が価格187.2円で155.5万株を買入し、オプションの大口取引では、主力が主にコールオプションを買うという状況になっています。株価を押し下げて入荷するために、格付けを引き下げたようです。
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Linda800
コメントしました
$ペイパル・ホールディングス (PYPL.US)$ Jefferies的那个Trevor Williams现在下调PYPL评级,他在上次财报后一直在睡觉吗?有毛病
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$エヌビディア (NVDA.US)$ 昨日の大口取引では、23.88万ドルの大口が今日満期の権利行使価格310のコールオプションを買ったことを示していましたが、これは今日310を超えるまで急上昇することを示唆しているのでしょうか?
翻訳済み
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Linda800
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翻訳済み
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Linda800
がいいねしました
Weekly market recap
Stock futures moved higher in overnight trading Sunday following Friday's big sell-off as investors monitor the latest developments related to the Covid omicron variant.
Futures on the $NYダウ (.DJI.US)$ Industrial Average gained about 160 points, or 0.5%. $S&P 500 Index (.SPX.US)$ futures added 0.6% and $Nasdaq Composite Index (.IXIC.US)$ 100 futures rose 0.7%.
The Dow was down 1.97%. The S&P 500 tumbled 2.20% and the Nasdaq Composite slipped 3.52% last week. The three major indexes were negative last week.
Here's a look at the return of S&P 500 sectors
This week ahead in focus
After a holiday-shortened week, investors will be back in the swing of things amid the Cyber Monday online shopping event. Earnings will be light next week, but there are still some high-profile reports to be seen. On Tuesday, GlobalFoundries, Hewlett Packard Enterprise, NetApp,and Salesforce.com report results. CrowdStrike Holdings, Okta, Snowflake and Splunk report on Wednesday. DocuSign, Dollar General, Kroger, Marvel Technology, Ulta Beauty headline Thursday's Earnings Report.
As for housing market indicators, the National Association of Realtors on Monday released its pending home sales index for October. The consensus estimate is for 117 readings, roughly even with the September figure. On Tuesday, S&P CoreLogic releases the Case-Shiller National Home Price Index for September. Economists have forecast a 19.5% year-over-year gain, down slightly from August's jump of 19.8%.
Economic data releases include the Institute for Supply Management's Chicago Purchasing Managers Index and the Conference Board's Consumer Confidence Index. Both November reports are due on Tuesday. Expectations for the former are for a reading of 68.9, roughly even with October's figures, while the expectation for the latter is to read 110.4, nearly three points lower than October.
Monday 11/29
National Association Realtors releases its Pending Home Sales Index for October. The consensus estimate is for 117 readings, roughly even with the September figure. The index, a forward-looking indicator of home sales based on contract signing, fell 8% year-on-year in September and has declined for four consecutive months from last year's levels.
Tuesday 11/30
$Bank of Nova Scotia (BNS.CA)$, $グローバルファウンドリーズ・インク (GFS.US)$, $ヒューレット・パッカード・エンタープライズ (HPE.US)$, $ネットアップ (NTAP.US)$, $セールスフォース (CRM.US)$, and $ジースケイラー (ZS.US)$ report earnings.
S&P Corelogic For September, Case-Shiller releases the National Home Price Index. Economists forecast a 19.5% year-over-year gain, slightly lower than August's 19.8% jump, the fifth consecutive record increase for the index.
Institute for Supply Management releases its Chicago Purchasing Managers Index for November. The reading is expected to be 68.9, roughly even with the October figures. The index is slightly below its record peak, which was hit in May.
Conference board releases its Consumer Confidence Index for November. The consensus call is for a 110.4 reading, down about three points from October. The index is sharply down from its highs since reaching this summer, due to inflation concerns.
Wednesday 12/1
$クラウドストライク・ホールディングス クラスA (CRWD.US)$, $オクタ (OKTA.US)$, $ピーブイエイチ (PVH.US)$, $Royal Bank of Canada (RY.CA)$, $スノーフレイク (SNOW.US)$, $スプランク (SPLK.US)$ and $シノプシス (SNPS.US)$ report quarterly results.
ADP release Its national employment report for November. Private sector employment is expected to increase to 510,000 jobs after an increase of 571,000 in October.
Census Bureau Reports data on construction expenses. Economists forecast 1% month-over-month growth for the construction outlay, a seasonally adjusted annual rate of $1.59 trillion.
Thursday, 12/2
$Canadian Imperial Bank of Commerce (CM.CA)$, $ドキュサイン (DOCU.US)$, $ダラー・ゼネラル (DG.US)$, $クローガー (KR.US)$, $マーベル・テクノロジー・グループ (MRVL.US)$, $The Toronto-Dominion Bank (TD.CA)$, and $アルタ (ULTA.US)$ holds conference calls to discuss earnings.
Labour Department Preliminary jobless claims report for the week ending November 27. Claims hit a 52-year low in last week's report, and the four-week average is now slightly higher than pre-pandemic levels.
Friday 12/3
Bureau of Labor Statistics Releases jobs report for November. Economists have forecast 525,000 benefits for non-farm payrolls, and for the unemployment rate to tick up a tenth of a percentage point to 4.5%.
$Bank of Montreal (BMO.CA)$ reports fiscal fourth quarter 2021 results.
ISM issues Its services PMI for November. The consensus estimate is for 65 readings, versus October's 66.7, which was a record for the index.
Source: CNBC, Dow Jones Newswires, jhinvestments
Stock futures moved higher in overnight trading Sunday following Friday's big sell-off as investors monitor the latest developments related to the Covid omicron variant.
Futures on the $NYダウ (.DJI.US)$ Industrial Average gained about 160 points, or 0.5%. $S&P 500 Index (.SPX.US)$ futures added 0.6% and $Nasdaq Composite Index (.IXIC.US)$ 100 futures rose 0.7%.
The Dow was down 1.97%. The S&P 500 tumbled 2.20% and the Nasdaq Composite slipped 3.52% last week. The three major indexes were negative last week.
Here's a look at the return of S&P 500 sectors
This week ahead in focus
After a holiday-shortened week, investors will be back in the swing of things amid the Cyber Monday online shopping event. Earnings will be light next week, but there are still some high-profile reports to be seen. On Tuesday, GlobalFoundries, Hewlett Packard Enterprise, NetApp,and Salesforce.com report results. CrowdStrike Holdings, Okta, Snowflake and Splunk report on Wednesday. DocuSign, Dollar General, Kroger, Marvel Technology, Ulta Beauty headline Thursday's Earnings Report.
As for housing market indicators, the National Association of Realtors on Monday released its pending home sales index for October. The consensus estimate is for 117 readings, roughly even with the September figure. On Tuesday, S&P CoreLogic releases the Case-Shiller National Home Price Index for September. Economists have forecast a 19.5% year-over-year gain, down slightly from August's jump of 19.8%.
Economic data releases include the Institute for Supply Management's Chicago Purchasing Managers Index and the Conference Board's Consumer Confidence Index. Both November reports are due on Tuesday. Expectations for the former are for a reading of 68.9, roughly even with October's figures, while the expectation for the latter is to read 110.4, nearly three points lower than October.
Monday 11/29
National Association Realtors releases its Pending Home Sales Index for October. The consensus estimate is for 117 readings, roughly even with the September figure. The index, a forward-looking indicator of home sales based on contract signing, fell 8% year-on-year in September and has declined for four consecutive months from last year's levels.
Tuesday 11/30
$Bank of Nova Scotia (BNS.CA)$, $グローバルファウンドリーズ・インク (GFS.US)$, $ヒューレット・パッカード・エンタープライズ (HPE.US)$, $ネットアップ (NTAP.US)$, $セールスフォース (CRM.US)$, and $ジースケイラー (ZS.US)$ report earnings.
S&P Corelogic For September, Case-Shiller releases the National Home Price Index. Economists forecast a 19.5% year-over-year gain, slightly lower than August's 19.8% jump, the fifth consecutive record increase for the index.
Institute for Supply Management releases its Chicago Purchasing Managers Index for November. The reading is expected to be 68.9, roughly even with the October figures. The index is slightly below its record peak, which was hit in May.
Conference board releases its Consumer Confidence Index for November. The consensus call is for a 110.4 reading, down about three points from October. The index is sharply down from its highs since reaching this summer, due to inflation concerns.
Wednesday 12/1
$クラウドストライク・ホールディングス クラスA (CRWD.US)$, $オクタ (OKTA.US)$, $ピーブイエイチ (PVH.US)$, $Royal Bank of Canada (RY.CA)$, $スノーフレイク (SNOW.US)$, $スプランク (SPLK.US)$ and $シノプシス (SNPS.US)$ report quarterly results.
ADP release Its national employment report for November. Private sector employment is expected to increase to 510,000 jobs after an increase of 571,000 in October.
Census Bureau Reports data on construction expenses. Economists forecast 1% month-over-month growth for the construction outlay, a seasonally adjusted annual rate of $1.59 trillion.
Thursday, 12/2
$Canadian Imperial Bank of Commerce (CM.CA)$, $ドキュサイン (DOCU.US)$, $ダラー・ゼネラル (DG.US)$, $クローガー (KR.US)$, $マーベル・テクノロジー・グループ (MRVL.US)$, $The Toronto-Dominion Bank (TD.CA)$, and $アルタ (ULTA.US)$ holds conference calls to discuss earnings.
Labour Department Preliminary jobless claims report for the week ending November 27. Claims hit a 52-year low in last week's report, and the four-week average is now slightly higher than pre-pandemic levels.
Friday 12/3
Bureau of Labor Statistics Releases jobs report for November. Economists have forecast 525,000 benefits for non-farm payrolls, and for the unemployment rate to tick up a tenth of a percentage point to 4.5%.
$Bank of Montreal (BMO.CA)$ reports fiscal fourth quarter 2021 results.
ISM issues Its services PMI for November. The consensus estimate is for 65 readings, versus October's 66.7, which was a record for the index.
Source: CNBC, Dow Jones Newswires, jhinvestments
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Linda800
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Linda800
コメントしました
$エヌビディア (NVDA.US)$本ラウンドの上昇余地が限られており、すぐに次のフラットフォームに到達するでしょう。来週、市場がやや調整されると、利益を得た投資家はすぐに投げ出すでしょう。特に高騰して参入した短期取引では、利益と損失の比率はあまり良くないはずです。
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