1
00:00:00,080 --> 00:00:00,480
各位好
2
00:00:05,030 --> 00:00:07,410
0.64%的跌幅
3
00:00:07,410 --> 00:00:10,619
今天可能会缩量收一点点吧
4
00:00:10,619 --> 00:00:13,400
4193家的待涨
5
00:00:13,400 --> 00:00:15,710
各个板块全线下行
6
00:00:15,710 --> 00:00:19,699
这个原因呢就是油价的过百
7
00:00:19,699 --> 00:00:21,140
11.53分
8
00:00:21,140 --> 00:00:25,789
ICE复游108上涨9%
9
00:00:25,789 --> 00:00:28,230
IN一上涨18.3%
10
00:00:28,230 --> 00:00:30,890
油气板块呢是整体上行了
11
00:00:30,890 --> 00:00:32,689
煤炭大涨3%
12
00:00:32,689 --> 00:00:37,280
相应的一些航运呐啊就跌了
13
00:00:37,280 --> 00:00:39,700
工程机械啦啊就跌了
14
00:00:40,740 --> 00:00:43,729
就是油价的上行
15
00:00:43,729 --> 00:00:47,409
虽然各个国家都释放了史石油的战略储备
16
00:00:48,450 --> 00:00:52,000
但是油价的过快上行哎
17
00:00:52,000 --> 00:00:56,060
不可不免的会影响相应的行业
18
00:00:56,060 --> 00:00:57,359
相应的板块
19
00:00:57,359 --> 00:00:59,590
日本跌2.2%
20
00:00:59,590 --> 00:01:01,090
韩国跌1.3%
21
00:01:01,090 --> 00:01:03,649
恒指呢是跌1.3%
22
00:01:03,649 --> 00:01:06,579
恒科呢也是跌1.29%
23
00:01:06,579 --> 00:01:09,120
所以相应A股还是算任性的
24
00:01:09,120 --> 00:01:10,400
这是一个
25
00:01:10,400 --> 00:01:12,620
但A股的这种下跌面积
26
00:01:12,620 --> 00:01:15,760
待涨加速也是超过4000家啊
27
00:01:15,760 --> 00:01:17,959
还是面积还是偏大一些的
28
00:01:17,959 --> 00:01:19,930
硬度跌0.64%
29
00:01:19,930 --> 00:01:21,670
印度继续的下行
30
00:01:21,670 --> 00:01:25,290
印度股市的风险我也提醒了一年多了吧
31
00:01:25,290 --> 00:01:28,000
它到8万6就上不太去
32
00:01:28,359 --> 00:01:31,620
当我们谈风险是谈印度股市啊
33
00:01:31,620 --> 00:01:34,379
我们谈风险是谈日本股市
34
00:01:34,379 --> 00:01:35,200
韩国股市
35
00:01:35,200 --> 00:01:36,500
美国股市
36
00:01:36,500 --> 00:01:38,299
注意再重复一遍
37
00:01:38,299 --> 00:01:40,510
我们现在谈风险
38
00:01:40,510 --> 00:01:41,609
印度股市
39
00:01:41,609 --> 00:01:42,409
韩国股市
40
00:01:42,409 --> 00:01:43,290
日本股市
41
00:01:43,290 --> 00:01:45,189
美国股市一定要注意啊
42
00:01:46,230 --> 00:01:50,439
A股的是集中在高估的股票上面去
43
00:01:50,439 --> 00:01:53,459
像某证501千四百一十一点
44
00:01:53,459 --> 00:01:58,319
它已经跌穿了2024年11月8号的水平
45
00:01:59,560 --> 00:02:01,060
这不就明摆着风险吗
46
00:02:01,060 --> 00:02:03,138
差不多一年半的时间了
47
00:02:03,138 --> 00:02:04,978
指数恒的还跌穿了
48
00:02:04,978 --> 00:02:06,260
这不是风险吗
49
00:02:06,260 --> 00:02:07,540
风险大的很呐
50
00:02:07,540 --> 00:02:10,939
你看科创501千三百七十七点
51
00:02:10,939 --> 00:02:12,060
它也跌穿了
52
00:02:12,060 --> 00:02:15,300
2025年9月22号以来的位置
53
00:02:16,419 --> 00:02:17,419
这就是风险了
54
00:02:17,419 --> 00:02:18,300
跌了这么多
55
00:02:18,300 --> 00:02:21,120
他还有162倍的PEE呢
56
00:02:21,360 --> 00:02:22,439
明摆的风险啊
57
00:02:23,520 --> 00:02:26,539
我们再看看微盘股负的82.8倍
58
00:02:26,539 --> 00:02:29,120
这种风险已经是显而易见了
59
00:02:29,120 --> 00:02:31,439
中证两天跌了这么多
60
00:02:31,439 --> 00:02:33,689
那还有168倍呢
61
00:02:33,889 --> 00:02:37,789
那其中有一些高估的指数和高估的股票
62
00:02:37,789 --> 00:02:39,750
它的风险是显而易见的
63
00:02:39,750 --> 00:02:43,599
当然像好股票银行在跌了这么多
64
00:02:43,599 --> 00:02:45,159
还大涨0.2%
65
00:02:45,159 --> 00:02:46,060
来
66
00:02:46,060 --> 00:02:49,120
红利怒涨1.63%
67
00:02:49,120 --> 00:02:51,520
央企也是保持强势啊
68
00:02:51,520 --> 00:02:54,949
在大盘风雨飘摇的时候
69
00:02:54,949 --> 00:02:59,430
这些核心资产他仍然保持它的强势
70
00:02:59,430 --> 00:03:02,519
当然这是我个人看法啊
71
00:03:02,519 --> 00:03:04,838
不能够据此操作的
72
00:03:04,838 --> 00:03:09,659
因为我看好不等于哪户朋友买了能赚
73
00:03:09,659 --> 00:03:11,300
这是两个概念
74
00:03:11,300 --> 00:03:12,919
看好不一定能赚
75
00:03:12,919 --> 00:03:16,400
因为看好跟操作成功是两个概念
76
00:03:16,400 --> 00:03:18,819
我举个非常简单的例子
77
00:03:18,819 --> 00:03:21,280
我看好985的大学啊
78
00:03:21,280 --> 00:03:22,280
当然看好啊
79
00:03:22,280 --> 00:03:24,500
但是不等于每个人都能考得上啊
80
00:03:24,500 --> 00:03:26,639
这个道理跟操作是一模一样的
81
00:03:26,639 --> 00:03:28,430
我看好这些
82
00:03:28,430 --> 00:03:31,229
不等于所有人买了这些都能赚钱
83
00:03:31,229 --> 00:03:32,139
再见