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昨天晚上全球集中在鲍威尔先生的讲话
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鲍威尔先生说
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美联储当前的货币政策处于有利位置
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目前判断伊朗战争对经济的影响程度为时过早
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还未到需要确定影响的时候
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可以等待相关影响逐步显现
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无需立即调整整利率
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同时警告
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若持续的供应冲击导致公众通胀预期发生漂移
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美联储将不得不采取行动
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这是一个偏鸽的表态啊
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起码打消了短时间立即提升利率的预期啊
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这个是所以才造成了呃美股昨天的和美债的这么一个反应啊
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反弹的这么一个情况
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但是由于又要有新的威胁存在啊
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美股又开始了跳水
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隔夜的美股呢
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纳指继续的跳水
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跌0.73%
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只有道指微微翻红啊
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标普也是跌0.39%
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我们注意美股有几个指数啊
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有一个叫罗素2000
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罗素2000指数
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它的空头头寸已经达到历史最高
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美股还是很有意思的啊
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可以做多啊
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也是允许做空的
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当做空的情况出现的时候
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当然现在这个阶段没有任何一个人阻止美股做空哈
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美股阻止做空是什么时候
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它它在崩盘的时候
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他有可能会采取不让做空的这样的一个情况啊
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他要救市的时候就阻止它做空
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我们观察美股还是有必要的
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其实全球都干观察一个指数
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就是费城半导体指数
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也是从8498点大幅暴跌到7142点
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这个也给全球的相关的板块呢提了一点风险警示啊
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就算是炙手可热的
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就算这个是热到发烫的指数
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它也出现了暴跌
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就算是七姐妹也出现了暴跌
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就算是全球最牛的纳指
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它也出现了暴跌
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这种情况就不是公司的基本面的问题
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基本面很好
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也超预期
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为什么暴跌
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第一个就是贵
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第二个就是到顶了呗
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它不是基本面变坏
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就是预期已经打满了
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就到顶了
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到顶了就是下跌嘛
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当然讲的是到顶的概率增大了
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我们很多东西都要谨慎一点啊
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美股还有一个观察指标
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就是纳斯达克中国金融指数
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它下行呢已经达到26了
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还有一个呢是全球一个非常热的一个指数
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就是恒生科技
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恒生科技呢是跌30%了啊
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一般来说一个调整啊
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也就是调一点点
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但跌30%啊
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我们观察是什么时候见底了
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或者是什么时候能够止跌了
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跌30%呢
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也接近跌到25年的4月7号的低点
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也有点过分了
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因为4月7号那个位置呢就有点过分了啊
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还有呢恒科呢在美股暴跌的情况底下
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今天还突然间高开万分之八
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这什么概念
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港股突然间啊今天高开0.27%
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看来看来啊
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虽然9.26分
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日经还跌1.24%
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还继续的
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当然有点跌幅收窄了
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还继续的下跌
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韩国更厉害啊
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跌3.21%
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多的时候跌4%
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日本多的时候跌百分之2.2.5左右了
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总之来看还是日韩还是继续的调整
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不油呢
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108还是保持一定的韧性啊
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中国资产还是保持了一定的韧性
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这一点呢还是在外围市场一片暴跌的情况底下
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一片哀嚎遍野的情况之下
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我们的相对而言啊
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人民币还是保持保持一个韧性
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中国资产还是保持一个稳定度
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债券市场也是相对保持一个稳定
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这个还是相对比较明显的
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有一些高估的情况
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我觉得还是要分为余钱好股啊
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需要淡定
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余钱差股啊需要谨慎一些
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杠杆要小心一些
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总的来说我们还是密切观察不油的动向
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看看他什么时候能够快速的回归啊
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现在掉了一点了
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107了
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全球啊主要的期货市场出现了急速的急拉
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看看啊有没有好事发生
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美股的股指期货业期呢是从跌0.6%
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现在回升到0.3%
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就是接近回升了一个点1%了
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5.30分
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港股是涨0.72%
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恒科呢是涨0.47%
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看看今天有没有一个反弹的出现了
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中国3月官方制造业PMI50.4
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前值为49
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还是反映了经济复苏的这个情况
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这个对今天的反弹可能会有一定的帮助
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再见