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宁波海运龙虎榜:营业部净卖出3367.24万元
Zheng Quan Shi Bao Wang· 2025-06-25 09:47
Group 1 - Ningbo Marine (600798) experienced a decline of 9.78% today, with a turnover rate of 21.67% and a trading volume of 1.178 billion yuan, showing a fluctuation of 6.11% [2] - The stock was listed on the Shanghai Stock Exchange's watchlist due to a daily price deviation of -10.81%, with a total net sell of 33.67 million yuan from brokerage seats [2] - The top five brokerage seats accounted for a total transaction of 233 million yuan, with a buying amount of 99.43 million yuan and a selling amount of 133 million yuan, resulting in a net sell of 33.67 million yuan [2] Group 2 - The largest buying and selling brokerage was Guotai Junan Securities Headquarters, with a buying amount of 36.49 million yuan and a selling amount of 37.06 million yuan [3] - Over the past six months, the stock has appeared on the watchlist 12 times, with an average price increase of 1.90% the day after being listed and an average increase of 0.04% over the following five days [2] - The stock saw a net outflow of 71.78 million yuan in main funds today, with a significant outflow of 39.46 million yuan from large orders [2] Group 3 - As of June 24, the margin trading balance for the stock was 116 million yuan, with a financing balance of 115 million yuan and a securities lending balance of 761.5 thousand yuan [3] - In the past five days, the financing balance decreased by 42.54 million yuan, a decline of 26.97%, while the securities lending balance increased by 56 thousand yuan, an increase of 7.93% [3] - The company's Q1 report indicated a revenue of 392 million yuan, a year-on-year decrease of 13.54%, and a net loss of 46.45 million yuan [3]
金十图示:2025年06月25日(周三)沪深港通南向资金流向
news flash· 2025-06-25 08:19
Group 1 - The article discusses the latest trends and developments in the financial markets, highlighting significant movements in stock prices and trading volumes [2] - It emphasizes the impact of macroeconomic factors on investor sentiment and market performance, particularly in relation to interest rates and inflation [2] - The report provides insights into sector-specific performance, noting which industries are experiencing growth and which are facing challenges [2] Group 2 - The analysis includes data on recent earnings reports from key companies, showcasing their financial health and market positioning [2] - It outlines potential investment opportunities based on current market conditions and company performance metrics [2] - The article concludes with a summary of expert opinions on future market trends and investment strategies [2]
3.6万亿重磅!中国股市,彻底爆发!
券商中国· 2025-06-25 07:34
突然之间,股市似乎迎来了大行情! 在经历了周二大涨之后,周三股市再度爆发。午后,A股三大指数全线走高,截至收盘,创业板指大涨 3.11%,深成指涨超1.7%,沪指涨超1%,并创下年内新高。多元金融、军工装备、证券等板块涨幅居前。与此 同时,港股市场也是集体走强。富时中国A50指数期货午后亦涨超1%。 | ▲ | 代码 名称 | 涨幅%↓ | 现价 | 涨跌 | 涨速% | | --- | --- | --- | --- | --- | --- | | 1 | 880472 证券 | 4.93 | 1648.50 | 77.49 | 0.10 | | 2 | 880474 多元金融 | 4.58 | 1370.44 | 60.00 | 0.10 | | 3 | 880493 软件服务 | 3.72 | 2728.48 | 97.92 | 0.05 | | 4 | 880430 航空 | 2.81 | 1925.28 | 52.69 | 0.03 | | 5 | 880431 船舶 | 2.37 | 821.46 | 18.98 | 0.05 | | 6 | 880473 保险 | 2.31 | 2600.99 ...
信用债ETF“狂飙”:突破2000亿,市场风向变了?
3 6 Ke· 2025-06-25 03:39
一路 "狂飙" 的增长之路 信用债 ETF 能在短时间内取得如此惊人的成绩,背后离不开一系列关键时间节点的推动和政策的大力支持。今年 1 月,证监会印发的《促进资本市场指 数化投资高质量发展行动方案》犹如一颗信号弹,提出 "稳步拓展债券 ETF",并部署 "稳妥推出基准做市信用债 ETF""研究将信用债 ETF 纳入债券通用 回购质押库" 等重要举措 。政策东风一吹,市场迅速响应。1 月 7 日,首批 8 只信用债 ETF 同日火热发售,1 月 16 日结束募集,1 月 27 日全部敲定上市 时间,在上交所与深交所相继上市交易,整个过程一气呵成,跑出了资本市场的 "加速度",募集总规模达 218 亿元,为后续的规模增长奠定了坚实基 础。 3 月 21 日晚间,中国证券登记结算公司又连续发文出台三项举措,允许信用债 ETF 试点开展交易所质押式回购、拓宽受信用保护债券回购范围、暂免部 分债券登记结算费用 。其中,允许符合一定条件的信用债 ETF 产品试点开展交易所债券通用质押式回购业务,这一举措满足了市场对信用债 ETF 入库开 展回购交易的需要,大大提高了信用债 ETF 产品的流动性、吸引力和交易活跃度,推动 ...
主力资金监控:国防军工板块净流入超39亿
news flash· 2025-06-25 03:00
| 排名 | 板块名称 | 主力资金净流入(亿元) | 主力资金净流入率(%) | | --- | --- | --- | --- | | 1 | 国防军工 | 39.50 | 7.73 | | 2 | 非银金融 | 9.03 | 2.18 | | 3 | 证券 | 6.32 | 2.15 | | ব | 多元金融 | 4.31 | 5.09 | | 5 | 计算机 | 1.49 | 0.16 | 主力资金监控:国防军工板块净流入超39亿 智通财经6月25日电,智通财经星矿数据显示,今日早盘主力资金净流入国防军工、非银金融、证券等板块,净流出电新行业、通 信、机械设备等板块,其中国防军工板块净流入超39亿元。个股方面,中兵红箭涨停,主力资金净买入4.91亿元位居首位,建设工 业、东方财富、新国都获主力资金净流入居前;国轩高科遭净卖出超5亿元,万马科技、贵州茅台、海联金汇主力资金净流出额居 前。 星矿主力资金监控:早盘买入前十榜(截止时间: 10 时 50 分) | 排名 | 股票名称 | 主力资金净流入(亿元) | 主力资金净流入率(%) | | --- | --- | --- | --- | | 1 | 中 ...
ETF资金榜 | 港股通红利ETF(513530)资金加速流入,上证公司债ETF(511070)“吸金”达17亿元-20250624
Sou Hu Cai Jing· 2025-06-25 02:22
2025年6月24日共204只ETF基金获资金净流入,474只ETF基金净流出。净流入金额超1亿元的有30只,上证公司债ETF(511070.SH)、中证A500ETF基金 (563360.SH)、沪深300ETF(510300.SH)、上证50ETF(510050.SH)、国债ETF东财(511160.SH)资金显著流入,分别净流入17.11亿元、14.84亿元、10.88亿元、 6.18亿元、5.79亿元(净申购份额*单位净值)。 | 排名 | 基金管理人 | 证券简称 | 证券代码 | 净流入金额(万元 | | --- | --- | --- | --- | --- | | l | 南方基金 | 上证公司债ETF | 511070 | 171057 | | 2 | 华泰柏瑞基金 | 中证A500ETF基金 | 563360 | 148352 | | 3 | 华泰柏瑞基金 | 沪深300ETF | 510300 | 108812 | | ব | 华夏基金 | 上证50ETF | 510050 | 6183 | | 5 | 西藏东财基金 | 国债ETF东财 | 511160 | 5794 | | 6 | 易 ...
近期股市为何起伏不定?深度解析市场波动原因与投资策略
Sou Hu Cai Jing· 2025-06-24 20:23
Group 1: Recent Market Volatility - Global stock markets have shown alternating rises and falls, with accelerated sector rotation since June 2025 [2] - A-shares are fluctuating between 3200-3500 points, with growth stocks like new energy and semiconductors experiencing increased volatility, while defensive sectors like banks and consumer goods remain stable [2] - The Nasdaq index has seen daily fluctuations exceeding 2% due to tech stock earnings reports, with Federal Reserve policy expectations being a focal point [2][3] Group 2: Core Reasons for Market Fluctuations - Uncertainty in global economic recovery is evident, with the U.S. experiencing easing inflation pressures but volatile employment data, leading to debates on the timing of Federal Reserve rate cuts [4][5] - European economies face recession risks due to fluctuating energy prices and weak manufacturing [5] - China's economic recovery is mixed, with consumer and investment rebounds but ongoing adjustments in the real estate sector affecting market confidence [6][7] Group 3: Policy Adjustments and Regulatory Changes - The Federal Reserve's June 2025 FOMC meeting signaled a hawkish stance, cooling rate cut expectations and pushing up U.S. Treasury yields, which suppresses risk assets [8] - In China, the A-share market is influenced by the "New National Nine Articles," which strengthen dividend requirements for listed companies, putting pressure on some high-valuation growth stocks [9][10] Group 4: Geopolitical Factors and Market Sentiment - Ongoing disruptions in energy and food supply chains due to the Russia-Ukraine conflict are exacerbating global inflation expectations [11][12] - The U.S.-China relationship impacts foreign investment risk appetite in A-shares, with rising investor caution reflected in the VIX index [12] Group 5: Fund Flows and Institutional Adjustments - Foreign capital inflows into A-shares have slowed, with significant net outflows on certain trading days [13] - Institutional investors are reducing holdings in high-valuation sectors, shifting towards low-valuation, high-dividend assets [13] Group 6: Divergence in Corporate Earnings Expectations - Some AI and semiconductor companies are reporting earnings below expectations, putting pressure on the Nasdaq index [14] - Domestic consumption recovery is weak, with sectors like liquor and home appliances experiencing slowed growth [14] Group 7: Investment Strategies in Volatile Markets - Diversification is recommended to mitigate risks associated with single assets, including a balanced allocation between stocks and bonds [16] - Focus on high-dividend, low-valuation assets such as banks and utilities is advised for conservative investors [16] - Implementing a systematic investment approach, such as dollar-cost averaging in index funds, can help smooth market volatility [17][18] - Maintaining a cash reserve of 30%-50% during high uncertainty allows for flexibility in investment opportunities [19] - A long-term perspective is crucial to avoid emotional trading and capitalize on the inherent value of quality assets [20] Group 8: Outlook for the Second Half of 2025 - The stock market in the second half of 2025 will be influenced by monetary policy decisions, including potential rate cuts by the Federal Reserve and further easing in China [20]
资金动向 | 北水连续3日加仓美团,抛售小米超15亿港元
Sou Hu Cai Jing· 2025-06-24 12:22
Group 1: Market Activity - Southbound funds net bought Hong Kong stocks worth 25.89 billion HKD on June 24, with notable net purchases in Meituan-W (7.85 billion HKD), SMIC (7.23 billion HKD), and China Construction Bank (6.93 billion HKD) [1] - Continuous selling trends were observed, with Southbound funds net selling Tencent for 18 consecutive days, totaling 196.752 billion HKD, and Alibaba for 5 consecutive days, totaling 27.4993 billion HKD [3] Group 2: Company-Specific Developments - Meituan-W is reportedly shutting down operations in certain regions, focusing on key areas like Guangdong and Hangzhou, with plans to expand its flash purchase and supermarket services [4] - Xinda Biologics' IBI343 product has been proposed for inclusion as a breakthrough therapy for specific cancer types, indicating potential growth in its product pipeline [4] - JPMorgan's report on Pop Mart suggests that despite regulatory scrutiny on blind boxes, the company's target demographic remains unaffected, presenting a buying opportunity [5] - Daiwa's report on Xiaomi Group highlights the company's IoT business diversification and long-term growth potential, raising its 12-month target price from 70 HKD to 78 HKD [5] - China National Offshore Oil Corporation (CNOOC) faces challenges as international oil prices have significantly dropped, with WTI and Brent crude futures falling by 7.22% and 7.18% respectively [5] - Tencent Holdings repurchased 985,000 shares for approximately 500 million HKD, marking its 27th consecutive day of buybacks [5]
主力资金动向 47.48亿元潜入非银金融业
Zheng Quan Shi Bao Wang· 2025-06-24 11:39
| 房地产 | 22.70 | 18.09 | 1.04 | 1.24 | 1.37 | | --- | --- | --- | --- | --- | --- | | 环保 | 15.16 | 13.79 | 1.70 | 1.70 | 0.32 | | 建筑材 | 10.24 | 17.12 | 1.38 | 1.60 | 0.16 | | 料 | | | | | | | 美容护 理 | 3.08 | 5.84 | 2.74 | 1.13 | -0.43 | | 基础化 | 69.81 | 16.26 | 2.61 | 1.54 | -0.93 | | 工 | | | | | | | 煤炭 | 9.90 | -17.04 | 0.76 | -0.22 | -1.02 | | 医药生 | 48.87 | 7.78 | 1.79 | 1.10 | -1.09 | | 物 | | | | | | | 纺织服 | 15.73 | 11.16 | 2.25 | 0.91 | -4.69 | | 饰 | | | | | | | 交通运 | 52.76 | 13.26 | 1.26 | 0.26 | -6.75 | | ...
科锐国际收盘上涨3.79%,滚动市盈率23.95倍,总市值53.30亿元
Sou Hu Cai Jing· 2025-06-24 11:10
来源:金融界 北京科锐国际人力资源股份有限公司的主营业务是提供人力资源服务整体解决方案。公司的主要产品是 中高端人才访寻、招聘流程外包、灵活用工、技术服务、其他业务。公司荣获2024年度最佳全球人力资 源服务机构奖、2024MostIn全球化人力资源服务机构奖、北京民营企业百强(第54位)、2024中国国际 服务贸易交易会"全球服务示范案例"等荣誉奖项。 最新一期业绩显示,2025年一季报,公司实现营业收入33.03亿元,同比25.13%;净利润5778.39万元, 同比42.15%,销售毛利率5.52%。 序号股票简称PE(TTM)PE(静)市净率总市值(元)8科锐国际23.9525.952.6153.30亿行业平均 54.9858.363.8456.65亿行业中值36.2334.222.6445.71亿1北京人力9.3513.831.54109.49亿2外服控股 10.3710.532.17114.40亿3三联虹普17.1217.192.0554.71亿4青矩技术18.9818.593.4334.22亿5华测检测 21.1821.272.78195.88亿6西高院22.6523.331.8853.34亿7 ...