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有一个券商支持我的观点了
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有一个报告
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他说美股的涨势以宏观基本面与市场内部
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杠杆结构等关键性因素脱节了
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市场正处于高位脆弱阶段
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第一个美股与关键的宏观指标背离
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尽管美股屡创新高
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但这位券商指出
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市场以以这个众所周知的原因的风险
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能源价格及经济生信心等基本面因素全面脱钩
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众所周知的局势并未缓解
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油价以美债收益率维持高位
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但市场似乎对此不在乎
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当然不在乎屡创新高嘛
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创新高了
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当然不在乎
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法据交易AI驱动的需求叙事
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众所周知的风险被忽视
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这位券商的交易台负责人指出
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市场当前上涨主要依赖消息面的刺激
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并非实际进展
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然而物流层面的影响
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如邮轮错位炼化约束
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意味着
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即便有积极的头条新闻
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其负面影响也将持续发酵
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这构成了被市场定价忽略的风险
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确实啊这个问题还没解决呢
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就算解决了
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他还有一个衔接的问题
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还有一个量化的约束的问题
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因为秩序重新的恢复需要多长时间也很难说
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但现在的市场定价全部给忽略掉了
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第三经济信心与市场表现形成反差
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我们看到美债也好
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油价也好
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都跟美股产生了剧烈的背离
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那如果美股这么强
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那美债的表现为什么又如此
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嘞油价的表现为什么又如此
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也就是说经济面
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经济的信心跟市场的反差是越来越明显的
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还有杠杆结构失衡
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加剧回调风险
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98%分位的高位
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而净杠杆率将处于相对的低位
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这什么意思呢
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总杠杆率很高
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净杠杆率很低
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也就是说市场的持仓很拥挤
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但方向完全都是乱的
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就是市场参与的各方其实没有方向
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只是怕市场暴涨暴跌
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所以它拼命的加高了杠杆就不坚定嘛
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如果坚定的净杠杆率应该高的
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总杠杆率达到98%的历史分位
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这个是有点离谱了
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巴菲特先生的现金持有比例
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历史上第五次超过股票
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一旦情绪逆转
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可能会引发集中的去杠杆压力
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你总杠杆率那么高
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而且方向都不确定的
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他一旦有一个明确的方向
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立即兵败如山倒
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全部压住另外一边啊
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因为都是不坚定分子都是没方向的
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你像伯里那种明确方向的还是少
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还有一个方面是技术面的
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顺丰正在消退
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一个呢是宏观空头回补
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以CTA策略就是商品交易顾问策略
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系统性买入的需求
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这个太过专业
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我们就跳过去
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正接近尾声
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这什么意思呢
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技术派他这种技术派的东西正接近尾声
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比如说空头回补
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大家可能很容易理解
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就是原来放空的突然被他嘎空了
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他就回补回补的力量
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就是他一下子把他再创历史新高
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是这么一个道理
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但是这个力量已经在削弱
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已经接近尾声了
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还有一点
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市场处于高位脆弱状态
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投资者风险敞口已经大幅回升
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市场正以高仓位高估值进入月末
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而月末将会迎来大规模再平衡的卖压
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费城半导体又讲了费城半导体
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费城半导体18连阳创记录
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经过了史无前例的连续上涨
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价格已记录了大量的乐观预期
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这个券商的交易员认为
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市场开始感觉有点过了
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并为回调做好了准备
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这就是某券商支持我的一些观点
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开始出现了注意
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这里有个数据倒是可以值得值得研究的
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总杠杆率98%
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净杠杆率在低位
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所有参与者都没方向
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只有巴菲特和伯利有方向
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这就是问题
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这就是问题
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我们还是谨慎一些
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当然每个投资者他的操作节奏跟这个持仓习惯
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还有这种理念各不相同
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不能够看到我的信息来进行操作
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独立操作的
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不应该抄作业
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抄作业往往都是不对的
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要理解才是真的
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抄作业都是假的
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都是不一定能够学会的
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注意还要提醒一句
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不要买
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不要说不要
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这个不能够给出肯定的这样的一个语气
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注意回避立案鼓
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我只能点到为止了
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谨慎要谨慎
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那些东西
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其实为什么我要写这本书
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看到千千万万个散户朋友都是喜欢那些烂股票
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还是要注意咯
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高估的五类股票
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有一类是要特别小心的
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就是垃圾股
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垃圾股还是要谨慎的
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立案股也要小心一些
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再见