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各位好
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各位好啊
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连续开会啊
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到现在才给大家录视频
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声音都沙了啊
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先发现啊
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首先隔夜的美股分化了
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道指下行
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纳指呢继续涨
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今天的亚太地区的市场
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日本跌一个点
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15.06分
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韩国是涨的
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印度是跌的
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一切看由物由103.7窜上来了
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黄金掉下去了
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纽约原油也窜上来了
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九八涨2%
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上海油669涨3.38%
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恒指呢是调整了
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调了0.85%
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恒科跌的多一些
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跌两个点
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隔夜的金融指数呢也是跌1.2%
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费城半导体昨天是跌一个点
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这个月涨了37
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也是一个历史第二大月涨幅
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第一大历月涨幅在2000年涨50%
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随后就是跌超过80%的一个一个调整
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那这一次会不会重蹈覆辙呢
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也不敢说
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上次的2000年的2月份涨了50%之后
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调整的幅度87.7%
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堪比1929
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一个非常严重的
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当然它调整之前是涨了十倍了
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跟这一次上涨的也不太一样
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上次一年多涨了十倍
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这次一年没涨十倍
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涨三倍
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涨三倍跟涨十倍还是不同的
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所以这一次这个月涨幅也没有上次那么大
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但是加一点小心总是有道理的
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但是情况也可能有不同
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上市2000年纯粹就是科网股泡沫
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这一次呢还是有点业绩
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跟那一次完全没有业绩不太一样
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事情就是这样上市调了87.7%
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那还是从100来点涨到1万点
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经过了短短的16年吧
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也有了100倍的增长
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所以这个就看能不能熬过
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这个堪比1929的大调整
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熬过又是一条好汉啊
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历史都是往前推进的
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但是我们作为分析员呢
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就是在市场狂热的时候呢
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还是提醒一下风险呢总是对的
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当然提醒风险的呢
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也有可能会有一些投资人呢会听了你的
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丢掉了宝贵的筹码
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千万别听我的
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为什么呢
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因为每个人的操作不一样
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比如说2000年的时候
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他能熬过87.7%的调整
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经过了26年不是也涨了100倍吗
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是吧
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所以不好说啊
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这个就看每个人的周期
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但是如果在2000年的时候加了杠杆的
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他可能就不一定熬得过去
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八十八七.7%的调整
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我是提醒这一点
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第二个呢这个钱呢得要有一个长周期的打算
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还有得买的是好公司
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因为当时的有很多股票可能不见了
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有5000家公司不见了
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就是科网股
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2000年科网股泡沫的时候
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那现在的又出来七姐妹了
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所以很难讲
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我讲这个到底是啥呢
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只是我们确实也不应该错过一个时代
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但也不应该忘掉的风险
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不矛盾
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看起来很矛盾
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其实不矛盾
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就是每个投资周期和投资理念的不一样
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还有一点
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港股今天是调整的
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先是券商涨起来之后
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银行又拖一拖
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最近的又回到了一个下跌的加速比较多的情况
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这个就是明显的又回到了一个调整阶段
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而且呢就是之前不可一世的他调整起来也很凶
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而且费城半导体这个18连阳是创纪录的
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18连阳案
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回顾一下我们2026年的1月14日
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之前的17连阳是不是有点相似呢
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回忆起来跟我们的有部分的一些板块的
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连续的连阳有没有相似的情况呢
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回忆一下日韩股市的连续的连阳是吧
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连续的创这个历史新高
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它都是有相似之处
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一荣俱荣
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一损俱损
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因为都是一个半导体的产业链上的
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同样的这个资产
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我们密切关注这个它跟传统行业也不一样
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的资产也不一样
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薄理是做空啊
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这个我们不要学它
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因为不是每个人都能成为薄理
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他在上一次的次贷危机里面一战成名
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也只有他成功了
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其他的都失败了
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其他的做空的
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要不然就早就被爆仓了
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就成功之前被爆仓了
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要不然就做多的全军覆没
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那次造成了雷曼兄弟
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多少年的老牌投资银行的这个倒闭
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其实有个段子
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差一点就不用倒的
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因为高盛是巴菲特是给他投了优优先股
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就是缓了一口气
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雷曼兄弟呢也给巴菲特发了短信了
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巴菲特当时恰好要去打电话
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恰好要去参加一个party
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电话为讲完就你给我发短信吧
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发信息嘛
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结果那个信息没看到
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如果看到了
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如很长时间翻过来哦
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原来有这么一个信息
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其实事情往往就是一秒钟
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因为那个时候都没有钱了
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只有巴菲特有钱
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他就成为最后的投资银行的救命稻草
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高盛是救回来了
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某盛吧
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哈哈某盛吧
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我们不要讲明某投资银行吧
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救回来了
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雷曼兄弟倒了
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所以事情就是在这么一瞬间就差一口气
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那个时候就差一口气
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所以不要加杠杆
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就是那个时候是60倍的杠杆
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当然不行了
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60倍波动一点点就没了
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这个事事情之后
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所有的金融机构都收紧了杠杆
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变成一个金融安全的一个铁律
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这也是后话了
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我们回顾一下历史
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回顾历史是为了防止悲剧的再度发生
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因为很多人没拿到我这个小书
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拿到的百万分之一不到
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所以我们就将书中的内容向大家分享
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最近是有些疲态的出现
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虽然他在创历史新高
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但每一次算呢
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就像那个山顶上加一块小石头那么高
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它不是气拔山河那样
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这个从山脚开始的时候那么迅猛
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已经趋缓了
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当然不排除继续
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因为什么奇迹都有可能会发生啊
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但是从巴菲特指标也好
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从集中化也好
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交易通道拥挤也好
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杠杆率也好
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总的杠杆率97%的历史分位了
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费城半导体的市净率指标是百分之百
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历史分位
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百分之百的历史分类
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我也不知道天哪
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我也不知道是怎么一个程度
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很少看到一个百分之百历史分位的
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就在当下
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就在昨天的数据
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2026年4月27号的数据
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百分之百
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历史分位天哪也许还会继续涨
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也许就柏林赢了
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当然不是每个人都是伯里
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巴菲特赢的概率是大的
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因为他一半一半涨也行
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跌也咸跌
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还有一半现金抄底涨的话
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我拿了一半
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他也不会输啊
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这就是巴菲特
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不是每个人都是巴菲特的
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只是听众朋友
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绝大部分的听众朋友的持有的股票
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都不如巴菲特那一半
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这是我表达的
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更何况很多的听众朋友手中没有现金
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更何况很多人还加了杠杆
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很多人还借钱
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很多人辞职来炒股票
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而且买的是啥东西呢
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是吧
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有巴菲特那一半那么好吗
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大家深入思考一下
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我讲的是美股
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我讲的是外围市场
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再重复一遍
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我讲的是外围市场
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再见