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短期: bearish
中期: bullish
周一当$vix跌到$21.16的时候就建议大家趁着便宜买点call option就当买保险了,不知大家买了没? 俺买了,但是买点不够。俺是看跌的,俺认为大市短期超买,俺的持股是net short, 不过随着周三美元的大跌,虽然俺不确定持怀疑态度,但是俺还是抱着Don't fight the tape!的态度把俺的持股调整成net long, 不过俺趁着$vix便宜又加买点保险。俺合计着咋着也能抗个暴风雨啥的,错!错!错!因为台风要来了。俺现在那个头大啊!就盼着台风到岸时候能变小点,别把俺的裤衩吹跑了,俺估计不少人还在海里裸泳哪!
^SSEC Shanghai Composite 3,170.98 2:00AM ET -119.185 (3.62%) Chart, More
^FCHI CAC 40 3,679.23 12:11PM ET -129.93 (3.41%) Components, Chart, More
^GDAXI DAX 5,614.17 11:45AM ET -188.85 (3.25%) Components, Chart, More
^FTSE FTSE 100 5,194.13 11:35AM ET -170.68 (3.18%) Components, Chart, More
^MERV MerVal 2,164.070 2:27PM ET -89.380 (3.97%) Components, Chart, More
^BVSP Bovespa 66,538.4609 2:32PM ET -1,378.62 (2.03%) Components, Chart, More
^GSPTSE S&P TSX Composite 11,476.32 2:32PM ET -160.58 (1.38%) Components, Chart,
CLF10.NYM Crude Oil Jan 10 76.23 1:14pm ET -1.73 (2.22%) Futures Chain,
HOZ09.NYM Heating Oil Dec 09 1.9558 1:14pm ET -0.0343 (1.72%) Futures Chain,
NGF10.NYM Natural Gas Jan 10 5.172 1:13pm ET +0.009 (0.17%) Futures Chain,
PNV09.NYM Propane Gas Oct 09 0.9869 Sep 18 +0.0031 (0.32%) Futures Chain,
RBZ09.NYM RBOB Gasoline Dec 09 1.955 1:07pm ET -0.0426 (2.13%) Futures Chain,
ALV09.CMX Aluminum Oct 09 0.7325 Jul 13 -0.0075 (1.01%) Futures Chain,
HGZ09.CMX Copper Dec 09 3.094 1:14pm ET -0.071 (2.24%) Futures Chain,
ZGZ09.CBT Gold 100 oz. Dec 09 929.90 Mar 27 0.00 (0.00%) Futures Chain,
GCZ09.CMX Gold Dec 09 1,192.80 1:14pm ET +5.80 (0.49%) Futures Chain,
PAZ09.NYM Palladium Dec 09 366.00 12:01pm ET - 4.95 (1.33%) Futures Chain,
PLZ09.NYM Platinum Dec 09 1,479.00 Nov 25 0.00 (0.00%) Futures Chain,
ZIZ09.CBT Silver 5000 oz. Dec 09 13.316 Mar 19 0.00 (0.00%) Futures Chain,
SIZ09.CMX Silver Dec 09 18.665 1:14pm ET -0.103 (0.55%) Futures Chain,
FUTURES
DJIA INDEX 10,263.00 -179.00 10,447.00 10,465.00 10,246.00 11:29
S&P 500 1,084.90 -24.00 1,109.00 1,111.00 1,083.20 11:29
NASDAQ 100 1,749.75 -44.50 1,793.75 1,793.75 1,747.00 11:27
昨天晚上台风从中国刮起,先把中国股市吹了个稀里哗啦,然后又席卷欧洲大陆,把欧洲股市刮的尸横遍野,再登陆美洲,先把南美吹了个人仰马翻,再杀向北美,美国具体灾情不知道,至少现在显示道琼斯要低开179点, S&P低开24点。
前天我也把这张图拿出来过,还是上证指数, 前天暴跌是传言中国政府要紧缩信贷,银行要巨额再融资。银行股领头暴跌。中国政府今年为了带动经济,让这些国有银行天量放贷,肯定造成很多呆账烂帐。看看北京今年出的那几块地王,都是中国那些大型国企中石油,中石化,等等旗下的搞的房地产公司标得的,他们多有钱啊,从银行贷款容易,自己发债利息又低。那些地皮的价格已经比附近的楼盘价格都高了,这些公司根本不在乎,有了地皮,把公司搞上市,那钱来的多容易多快,圈钱那不比搞实业容易百倍千倍,还能带动GDP,再说了万一赔了也是银行赔银行赔大头。北京的房地产业过去八年占北京GDP的50%到55%,今年肯定更多。中国所谓的刺激经济计划说白了就是钢筋水泥,修桥建路,搞基础设施,中国建的高速公路已经比美国还长。问题是高速公路建成了你得有人用才成,要不然就成产能过剩了。搞到最后就是救了钢筋水泥房地产,这些明显产能过剩泡沫的不能再泡沫的行业, 带动能源原材料commodities价格的再次上涨, 造成通货膨胀。最重要的就业问题根本没有得到解决,雇人最多的中小型企业经营环境根本没有改善,反而更加恶化。社保医疗不解决,老百姓消费不可能增加。
昨天还有个大消息就是Dubai的信贷危机
Nov. 26 (Bloomberg) -- Dubai shook investor confidence across the Persian Gulf after its proposal to delay debt payments risked triggering the biggest sovereign default since Argentina in 2001.
http://www.bloomberg.com/apps/ne ... mp;sid=aRsjlClzl500
Dubai World’s lenders include Credit Suisse Group AG, HSBC Holdings Plc, Barclays Plc, Lloyds Banking Group Plc and Royal Bank of Scotland Group Plc, according to a person familiar with the situation. Credit Suisse fell 5.4 percent in Zurich, HSBC slid 4.8 percent, Lloyds sank 5.8 percent and RBS retreated 7.8 percent in London, where a trading glitch earlier halted trading in many stocks for more than three hours.
美元作为避险货币开始强势反弹了,石油,原材料,commodities都开始下跌了。新的一波信贷危机要开始了,领头暴跌的都是银行股,不知道美国的这些投资银行在这谭子混水里有多深。也不知道会不会引发butterfly效应影响到整个金融行业整个股市。也只能拭目以待啦。
Currency Pair Price Change %Change Day Range 52 Week Range Chart Preview
EUR/USD 1.5015 -0.0122 -0.8060% 1.4959 - 1.5139 1.2456 - 1.5144
USD/JPY 86.5750 -0.7600 -0.8702% 86.3050 - 87.4750 87.1100 - 101.4800
GBP/USD 1.6518 -0.0182 -1.0898% 1.6467 - 1.6727 1.3501 - 1.7043
AUD/USD 0.9137 -0.0178 -1.9161% 0.9094 - 0.9292 0.6246 - 0.9406
USD/CAD 1.0598 +0.0142 +1.3581% 1.0458 - 1.0623 1.0207 - 1.3068
USD/CHF 1.0036 +0.0072 +0.7226% 0.9910 - 1.0071 0.9956 - 1.2254
我做的几个trade,仅供大家参考。
http://stockcharts.com/def/servl ... 646741&cmd=show |
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