获利了结
Search documents
未知机构:韩国综合指数KOSPI回吐了上周全部涨幅收于主要受外资在-20260304
未知机构· 2026-03-04 02:50
韩国综合指数(KOSPI)回吐了上周全部涨幅,收于,主要受外资在中东紧张局势后进行的避险去杠杆及补仓 抛售影响。 韩国综合指数(KOSPI)回吐了上周全部涨幅,收于,主要受外资在中东紧张局势后进行的避险去杠杆及补仓 抛售影响。 外资已连续 9 个交易日(含今日)净卖出,9 天累计净卖出规模达,这既源于避险抛售,也包含获利了结 —— 尽管今日出现回调,KOSPI 今年以来的涨幅仍达。 今日市场走势分化:科技板块(KRX 半导体指数 -7.7%)成为重灾区,而国防板块(GSXAK 外资已连续 9 个交易日(含今日)净卖出,9 天累计净卖出规模达,这既源于避险抛售,也包含获利了结 —— 尽管今日出现回调,KOSPI 今年以来的涨幅仍达。 今日市场走势分化:科技板块(KRX 半导体指数 -7.7%)成为重灾区,而国防板块(GSXAKDEF +16.0%)、石 油板块(如 S-OIL (010950) +28.5%)及航运板块(如 PAN OCEAN (028670) +17.4%)表现显著优于大盘。 交易台盘面倾向于卖出(卖出压力为买入的 1.9 倍),卖压主要集中在半导体板块(来自长线资金和对冲基 金),但未出现恐 ...
今日金价:大家要有心理准备了,2月26日,金价或将重现15年历史
Sou Hu Cai Jing· 2026-02-26 17:52
今日金价:大家要有心理准备了,2月26日,金价或将重现15年历史 潍坊:谢瑞麟金项链1570元、金至尊1570元、老庙黄金1566元(工费另计); 长沙:老凤祥1566元、菜百首饰1538元、周六福1565元; 蚌埠:老庙黄金金项链1566元、周大福饰品1570元、周六福1565元; 泰安:周生生1568元、老凤祥1566元、老庙黄金1566元; 2026年2月26日,国内金价行情传来"冷风",跌势明显、震荡走低,让不少"淘金客"心头一紧。 上海黄金交易所最新数据显示,黄金T D报1146.50元/克,较昨日下跌1.44元,跌幅0.13%;黄金9999也微跌0.01%,仅1147.50元/克,这波下行趋势,竟与 2015年黄金大跌时期高度相似! 当年美联储加息引发抛售潮,如今美元指数走强叠加获利了结压力,黄金再次承压,汇通财经分析指出,金价冲高后部分投资者"落袋为安",直接削弱了短 期涨势。 大家可得多留意:今日银行金条仅1167元/克,黄金回收价已跌至1120元/克,买卖价差拉大,入手需谨慎! 金店售价"高高在上",地区差异拉满! 品牌金店克价仍在1311元到1589元高位震荡,"批发洼地"深圳水贝成了省钱 ...
高博景:黄金今日趋势值得考验 黄金独家操作策略
Xin Lang Cai Jing· 2026-02-25 13:44
黄金资讯—— 2月25日,基准的10年期美债收益率收报4.0350%,对美联储政策利率敏感的2年期美债收益率收报 3.4650%。受美元维稳以及投资者在前期涨势后获利了结的影响,国际现货黄金价格从5250附近的近三 周高点回落,日内一度跌超100美元,最终收跌1.6%,报5144美元/盎司;现货白银最终收跌1.15%,报 87.18美元/盎司。随着美伊对话于本周恢复,原油市场情绪持续紧张。贸易局势再度转趋透明也令市场 承压。WTI原油收跌0.3%,报66.06美元/桶;布伦特原油收跌0.04%,报71.07美元/桶。 黄金最新行情走势—— 昨日黄金市场早盘开盘在5231美元/盎司,后行情先拉升,日线最高触及到了5150美元/盎司,后行情承 压回落,随后市场出现短期获利了结过程加速下行,日线最低给到了5093美元/盎司,后尾盘拉升,日 线最终收线在了5144.7美元/盎司,后日线以一根下影线很长的大阴线收线,而这样的形态收尾后,黄 金迎来震荡区间。综合来看,总结:黄金冲高遇阻震荡徘徊,有进一步考量支撑效果,今日操作上考虑 高空低多策略,上方关注5190-5250美元阻力,下方关注5120-5100美元支撑。 原 ...
金荣中国:现货黄金延续隔夜反弹空间,重新尝试挑战5200关口
Sou Hu Cai Jing· 2026-02-25 08:07
周三(2月25日)亚盘时段,现货黄金延续隔夜反弹空间重新尝试挑战5200关口及以上,目前暂交投于5185美元附近。周二(2月24日)现货黄金价格出现显 著回调,一度下跌近2.5%至接近5094美元,收报5141.43美元/盎司,跌幅约1.65%,从而中断了此前连续四个交易日的上涨行情。这一轮调整主要源于市场 获利了结行为叠加美元指数的明显走强,导致以美元计价的贵金属承压下行。尽管价格出现回落,但仍有逢低买盘提供支撑。 基本面: 技术面: 日线级别,金价昨日录得阴线收盘回吐近期部分涨幅,但仍守住本周上破后空间展开争夺,短期表现仍暗示乐观预期或有望挑战5230及以上更多空间。1--4 小时级别,短线走势自4840低点展开多头攻势后本周迎来5100上破打破僵局,隔夜盘中自5250附近回吐涨幅后再度企稳5100关口并迎来反击,至当前亚盘时 段,价格已再度逼近5200附近蓄势待发。日内交易者或留意5150上方支撑测试情况尝试多单为主,上方压力5220/5280附近。 操作思路: 多单: 黄金在触及多周高点后,部分持仓者选择锁定前期涨幅,导致卖压逐步显现。这种典型的获利了结现象在价格快速拉升后较为常见,直接削弱了黄金的短 ...
黄金早参|美联储官员释放鹰派言论,降息预期降温,金价上行动能受压制
Sou Hu Cai Jing· 2026-02-25 01:15
每日经济新闻 汇通财经分析指出,黄金在触及多周高点后,部分持仓者选择锁定前期涨幅,导致卖压逐步显现。这种 典型的获利了结现象在价格快速拉升后较为常见,直接削弱了黄金的短期上行动能。与此同时,美联储 官员的连续鹰派表态为美元提供了坚实支撑,进一步加剧了黄金的相对弱势表现。作为以美元计价的商 品,黄金价格天然与美元指数呈现负相关关系,当美元走强时,黄金往往面临调整压力。 2月24日,特朗普关税政策反复,金价早盘强势上涨,突破5269美元,盘中受美联储官员不急于降息表 态影响,降息预期降温,COMEX黄金期货价格盘中一度跌至5109美元,尾盘震荡拉升,截至收盘, COMEX黄金期货跌1.25%报5160.50美元/盎司,截至亚市收盘,黄金ETF华夏(518850)涨3.57%,黄金股 ETF(159562)涨5.7%,有色金属ETF基金(516650)涨3.22%。 消息面上,芝加哥联储主席古尔斯比表示,在有更多证据表明通胀正持续回落之前,不适合进一步降 息。古尔斯比指出,决策者过去曾因"误判通胀只是暂时性"而受到教训,不应重蹈覆辙。 ...
美鹰服饰股价下跌受市场环境及获利了结等多因素影响
Xin Lang Cai Jing· 2026-02-23 17:36
Market Environment - The stock price of American Eagle Outfitters (AEO.US) declined despite strong financial performance, influenced by a broader market downturn where major indices fell, with the Dow Jones down 1.45% and Nasdaq down 1.11% on February 23, 2026 [1] - The apparel retail sector also experienced a drop of 1.30%, reflecting increased risk aversion among investors [1] Financial Performance - American Eagle Outfitters saw a significant stock price increase of 15.07% on December 3, 2025, due to better-than-expected Q3 earnings, reaching a peak of $26.05 on February 17, 2026 [2] - However, as of February 23, 2026, the stock had a year-to-date decline of 12.54%, with a recent five-day drop of 9.89%, indicating profit-taking by some investors after the earnings report [2] - On February 23, 2026, the trading volume was relatively low at $48.2 million, with a volume ratio of 1.18, suggesting subdued trading activity [2] - The stock price fell below short-term moving average support, hitting a low of $22.91 with a volatility of 7.20%, reflecting decreased investor participation and increased selling pressure [2] Operational Performance - For Q3 2025, the company reported a revenue increase of 6% year-over-year to $1.36 billion and a net profit growth of 14% [3] - However, in Q1 of fiscal year 2026 (ending May 4, 2025), revenue declined by 4.42% year-over-year, and the company withdrew its full-year guidance due to macroeconomic uncertainties, raising concerns about sustaining growth amid fluctuating consumer environments [3] Company Fundamentals - The Q3 financial report indicated that tariffs negatively impacted gross margins by 150 basis points (approximately $20 million) [4] - Future tightening of trade policies could exacerbate cost pressures, potentially affecting profit expectations [4]
极光股价下跌5.18% 市场情绪与获利了结成主因
Xin Lang Cai Jing· 2026-02-20 16:33
Stock Performance - Aurora's stock price dropped by 5.18% to $7.50 on February 20, 2026, primarily due to multiple negative factors affecting the broader market [1] - The Nasdaq index fell by 0.31%, with the software services sector showing only a slight increase of 0.41%, indicating a rise in market risk aversion [1] Market Conditions - The private credit industry's tightening liquidity and escalating concerns over the US-Iran situation contributed to the overall market downturn [1] - Following a strategic partnership announcement with PAG Pegasus Fund on February 11, which included the issuance of high-premium warrants, Aurora's stock had previously surged by 20.86% from February 5 to 11 [1] Trading Activity - Aurora's total market capitalization is approximately $0.45 billion, categorizing it as a small-cap stock [1] - On February 20, the trading volume was only $5,309, resulting in a turnover rate of 0.01%, which indicates that low liquidity can lead to significant price fluctuations from minimal trading activity [1] Company Fundamentals - Despite achieving a gross margin of 70.16% in Q3 2025 and reporting GAAP net profits for two consecutive quarters, the company's trailing twelve months (TTM) price-to-earnings ratio stands at -100.13, reflecting ongoing market concerns regarding the sustainability of its earnings [1]
【环球财经】东京股市下跌 日经225指数跌1.12%
Xin Hua Cai Jing· 2026-02-20 08:50
Market Overview - The Tokyo stock market experienced declines on February 20, with the Nikkei 225 index closing down by 1.12% and the Tokyo Stock Exchange Price Index down by 1.13% [1] - The decline was influenced by escalating geopolitical risks in the Middle East, which led to a comprehensive drop in the three major U.S. stock indices overnight [1] Market Dynamics - The Tokyo stock market opened lower and faced pressure throughout the day, with significant selling activity observed [1] - The market was further impacted by the news that Blue Owl Capital, a U.S. private credit firm, restricted redemptions from its funds, causing additional market turbulence [1] Investor Behavior - Following a substantial increase of over 900 points in the Nikkei index over the previous two trading days, investors opted to lock in profits ahead of an upcoming three-day holiday, leading to increased profit-taking activities [1] - The Nikkei index closed down by 642.13 points at 56,825.70 points, while the Tokyo Stock Exchange index fell by 43.61 points to 3,808.48 points [1] Sector Performance - Among the 33 industry sectors on the Tokyo Stock Exchange, most sectors experienced declines, particularly in securities and commodity futures trading, transportation machinery, and airline transportation [1] - Conversely, sectors such as non-ferrous metals, petroleum and coal products, and pharmaceuticals saw gains [1]
黄金、白银下跌!
中国能源报· 2026-02-17 06:03
Group 1 - The core viewpoint of the article highlights a collective decline in gold and silver prices due to reduced trading activity during traditional holiday market closures and a cooling expectation of interest rate cuts by the Federal Reserve [2] - As of 12:30 PM Beijing time on the 17th, the London spot gold price was reported at $4956.77 per ounce, down 0.72% [2] - The spot silver price was reported at $75.325 per ounce, down 1.64% [2] - The April futures price for gold on the New York Mercantile Exchange was reported at $4971.60 per ounce, with a decline of 1.48% [2] - The March futures price for silver was reported at $75.505 per ounce, with a decline of 3.15% [2]
晋控电力股价回调,受获利了结及市场调整影响
Jing Ji Guan Cha Wang· 2026-02-14 05:12
Stock Price Movement - On February 12, Jinko Power's stock price hit the daily limit, closing at 3.62 yuan with a single-day increase of 10.03%, and a net inflow of 248 million yuan from main funds [1] - On February 13, the stock price corrected by 6.63%, closing at 3.38 yuan, with a net outflow of approximately 94.86 million yuan from main funds [1] Market Performance - On February 13, the overall A-share market showed weakness, with the Shanghai Composite Index down 1.26% and the Shenzhen Component Index down 1.28% [2] - The power sector, to which Jinko Power belongs, declined by 1.34%, indicating sector-wide adjustment pressure [2] Company Fundamentals - Despite a strong earnings forecast for 2025, with expected net profit growth of 383.21% to 507.90% year-on-year, there are concerns regarding the sustainability of long-term profitability [3] - The company's debt ratio is relatively high, reported at 82.08% in the Q3 2025 report, which could pressure the gross margin of its thermal power business if coal prices rebound [3] - Revenue for the first three quarters of 2025 decreased by 5.82% year-on-year, indicating ongoing pressure on the revenue front [3] Technical and Financial Analysis - Following the price surge on February 12, some short-term technical indicators entered the overbought zone, potentially triggering a technical correction [4] - The stock price's retreat to the 5-day moving average on February 13 is considered a normal technical adjustment [4] - The recent price correction is attributed to multiple factors, including profit-taking after a significant short-term increase, market environment adjustments, fundamental concerns, and technical corrections [4]