Workflow
财报
icon
Search documents
Morgan Stanley (MS) Earnings Expected to Grow: What to Know Ahead of Next Week's Release
ZACKS· 2025-07-09 15:01
Morgan Stanley (MS) is expected to deliver a year-over-year increase in earnings on higher revenues when it reports results for the quarter ended June 2025. This widely-known consensus outlook gives a good sense of the company's earnings picture, but how the actual results compare to these estimates is a powerful factor that could impact its near-term stock price.The earnings report, which is expected to be released on July 16, might help the stock move higher if these key numbers are better than expectatio ...
Looming NVDA short squeeze? Nvidia stock hit with massive bearish bets
Finbold· 2025-07-09 12:57
Amid sustained investor interest in semiconductor giant Nvidia (NASDAQ: NVDA), the stock has become a target for short sellers, with bearish bets mounting rapidly.NVDA shares ended the last session at $160, up 1.1%, and have climbed over 2% in the past week.NVDA one-week stock price chart. Source: FinboldDuring this rally, data shows that on July 8, Nvidia recorded a short volume of 36.4 million shares, accounting for 57.32% of total trading volume. This followed an equally elevated reading on July 7, when ...
踏空机构被迫追涨!200亿美元“弹药”在路上,为美股涨势添把火
Zhi Tong Cai Jing· 2025-07-09 11:42
在经历了一轮迅猛的涨势后,短线投资者正逐渐重返美股市场,这为股市进一步攀升至新高增添了动力。 法国巴黎银行的一项衡量投资者股票持仓情况的指标一直在稳步上升,目前略高于中性水平。这些投资者包括商品交易顾问、波动率目标 基金和对冲基金。此前,标普500指数从熊市边缘反弹,持续数月上涨并创下新高。该行表示,上一次机构投资者在股市强劲上涨期间持仓 如此之轻是在2023年。 法国巴黎银行策略师表示,有限的敞口表明,如果投资者在今年早些时候因关税混乱而被迫离场后决定重新入场,那么股市仍有上涨空 间。他们预计,在接下来的一周,商品交易顾问(CTA)和波动率挂钩基金将买入多达200亿美元的股票,为已经从4月低点上涨25%的标普 500指数提供支撑。 法国巴黎银行美国股票及衍生品策略主管Greg Boutle表示:"风险偏好回升确实会成为一个积极的推动因素。投资者被迫重新参与到这场不 受欢迎的涨势中来,这可能会导致市场在上涨过程中出现过度波动。" 美股持仓指标逐渐回归到较高区间 高盛策略师在两个月内第二次上调了对美国股市的预期,因为他们预计美联储会更早采取降息行动。 与此同时,摩根大通的交易部门仍然"战术性看涨"美国股市,并建 ...
AI日报丨五大投行集体唱多美股!“科技七巨头”扛起盈利大旗
美股研究社· 2025-07-09 11:25
在这个快速变化的时代,人工智能技术正以前所未有的速度发展,带来了广泛的机会 。 《AI日 报 》致力于挖掘和分析最新的AI概念股公司和市场趋势,为您提供深度的行 业 洞察和价 值 分 析。 整理 | 美股研究社 A I 快 报 1. 今天凌晨,全球著名大模型开放平台Hugging Face开源了 ,顶级小参数模型SmolLM3。 SmolLM3只有30亿参数,性能却大幅度超过了Llama-3.2-3B 、Qwen2.5-3B等同类开源模型。 拥有128k上下文窗口,支持英语、法语、西班牙语、德语等6种语言。支持深度思考和非思考双 推理模式,用户可以灵活切换。 2. 周二(7月8日),美国科技股七巨头(Magnificent 7)指数跌0.07%,报173.55点。 特斯拉反弹1.32%——马斯克创立"美国党"后该公司市值在周一蒸发680亿美元,英伟达涨 1.12%,Meta Platforms和被扎克伯格挖走AI模型高管的苹果至多涨0.32%,微软则收跌 0.22%,谷歌A跌1.37%,亚马逊在Prime Day会员日跌1.84%。 此外,AMD收涨2.24%,礼来制药涨0.62%,巴菲特旗下伯克希尔哈撒韦B ...
“解放日”后美股首个财报季下周开幕
news flash· 2025-07-09 10:11
金十数据7月9日讯,美国公司正准备公布第二季度业绩,投资者将从中寻找特朗普关税政策带来的影 响。尽管预计企业的盈利增长将较一季度放缓,但美元大幅贬值或能帮助抵消可能的关税效应。7月15 日,摩根大通和几家大型银行将率先拉开财报季序幕。Chase Investment Counsel总裁Peter Tuz表示,鉴 于贸易谈判仍在进行中,关税可能再次成为许多公司财报会议上的话题。DataTrek联合创始人Nicholas Colas表示,对于许多标普500指数成分股公司来说,预期门槛足够低,以至于它们的第二季度盈利增长 有望远好于预期。标普500指数最近创下历史新高"表明市场对此持有同样的看法"。 "解放日"后美股首个财报季下周开幕 ...
华尔街将迎“丰收季”?财报季来袭,大摩上调多家银行目标价
智通财经网· 2025-07-09 09:23
大摩预计高盛二季度每股收益为 10美元,比市场预期的 9.62 美元高出 4%,这是因为投资银行业务收 入、资产与财富管理收入以及股票市场收入有所增加。Dealogic表明,高盛 2025 年第二季度的投资银 行业务费用同比增长 20%,得益于并购业务同比增长 60%,这意味着高盛市场份额有所提升。大摩将 高盛的投行费用同比增长 20%(高于市场预期的仅增长 4%)纳入考量。考虑到高盛对融资收入增长的关 注,对于股票市场,大摩预计高盛收入同比增长 16%(而市场预期为 13%),大摩预计同行的收入增长为 10%。大摩还将高盛最近将季度股息预期从 3.00 美元提高到 4.00 美元,33%的季度增幅解读为管理层 对投资银行业务前景的积极信号。 大摩预计摩根大通二季度每股收益为 4.85 美元,比市场预期的 4.46 美元高出 9%,这是因为手续费收 入增加、拨备减少以及费用降低等。Dealogic表明,摩根大通第二季度的投资银行业务费用仅同比下降 5%,好于预期的下降14%至16%。大摩的模型将摩根大通的投行费用同比下降 9%纳入考量。市场反弹 也应会支持资产与财富管理、股票交易和资产服务的手续费收入。 智通 ...
高盛:重申美联储9月或降息,上调标普500指数回报预期
Huan Qiu Wang· 2025-07-09 02:44
【环球网财经综合报道】根据高盛研究部发布报告,重申了其此前的预测,即美联储很可能在9月降息。高盛研究 部首席美国经济学家戴维·梅里克尔(David Mericle)在报告中指出,虽然数据显示"美国的劳动力市场看起来依然 健康,但找工作已经变得困难了。"而季节性因素以及移民政策的变化也给短期内就业数据带来下行风险。 梅里克尔预计,美联储在9月份降息的可能性略高于50%。该团队还预计,今年9月、10月和12月将降息25个基 点,2026年3月和6月也将进行相同幅度的降息。 除此之外,另一份报告中,高盛预计,标普500指数未来3个月将上涨3%,未来12个月将上涨11%,目标指数分别 达到6400点和6900点。高盛还将标普500指数六个月的回报率预测上调至+6%,预计年底该指数将达到6600点,高 于此前估计的6100点。 高盛分析师在报告中写道:"预计美联储更早、更深入地实施宽松政策,债券收益率预计低于我们此前的预期,大 型股票的基本面持续走强,投资者将愿意忽略可能出现的短期盈利疲弱,这些因素支撑了我们将标普500指数的预 期市盈率从20.4倍上调至22倍。" 不仅如此,高盛分析师们维持了对2025年和2026年 ...
美银:企业韧性是底气 标普500目标看高至6600点
Zhi Tong Cai Jing· 2025-07-09 01:18
在美国企业界展现惊人韧性的背景下,美国银行策略师团队大幅上调了对美股的前景预测。该行指出, 尽管面临特朗普混乱贸易政策的冲击,美国企业仍能维持盈利指引水平。 包括Savita Subramanian和Jill Carey Hall在内的策略师团队将标普500指数年终目标位从5600点上调至 6300点,并设定6600点的12个月目标价。截至周二收盘,该指数报6225.52。 他们补充道,虽然美国经济表现平平,但美国企业却独树一帜,企业盈利预测保持稳定,这为股票投资 者提供了重要参考依据。 Subramanian和Hall表示,多数企业仍在发布盈利指引,并特别指出每股收益离散度(衡量盈利不确定性 的指标)已接近疫情期间低点。二季度财报季将于本周正式拉开帷幕。 "自新冠疫情以来,汇率波动、通胀和利率变化都未能撼动标普500成分股的利润率——企业要么成功适 应,要么被剔除出指数,"策略师分析道。 标普500指数自特朗普4月9日暂缓实施最严关税提案以来持续攀升,创下2023年以来最佳季度表现,目 前距离历史高点仅一步之遥。 策略师在周二发布的一份报告中写道:"尽管暂定贸易协定、《大而美》法案的出台以及衰退风险消 退, ...
Saratoga Investment (SAR) Q1 Earnings and Revenues Lag Estimates
ZACKS· 2025-07-08 22:16
Earnings Performance - Saratoga Investment reported quarterly earnings of $0.66 per share, missing the Zacks Consensus Estimate of $0.69 per share, and down from $1.05 per share a year ago, representing an earnings surprise of -4.35% [1] - The company posted revenues of $32.32 million for the quarter ended May 2025, missing the Zacks Consensus Estimate by 1.36%, and down from $38.68 million year-over-year [2] Market Performance - Saratoga Investment shares have increased approximately 6.4% since the beginning of the year, outperforming the S&P 500's gain of 5.9% [3] Future Outlook - The current consensus EPS estimate for the coming quarter is $0.73 on revenues of $33.12 million, and for the current fiscal year, it is $2.84 on revenues of $133.6 million [7] - The Zacks Industry Rank indicates that the Financial - SBIC & Commercial Industry is currently in the bottom 5% of over 250 Zacks industries, which may impact stock performance [8] Estimate Revisions - The estimate revisions trend for Saratoga Investment was mixed ahead of the earnings release, resulting in a Zacks Rank 3 (Hold) for the stock, suggesting it is expected to perform in line with the market in the near future [6]
Is Fortinet Ready to Break Out After Months of Consolidation?
MarketBeat· 2025-07-08 16:44
Core Viewpoint - Fortinet is positioned as a potential catch-up play in the cybersecurity sector, with a bullish technical setup indicating a possible breakout above the $105 resistance level, despite its slower growth compared to peers [2][3][9] Group 1: Market Performance - The cybersecurity industry has consistently outperformed the broader market, with leading stocks near all-time highs [1] - Fortinet's stock has increased by 12.88% year-to-date, lagging behind peers like CrowdStrike and Zscaler, which have seen gains of 47% and 74% respectively [3] Group 2: Technical Analysis - Fortinet has been consolidating in a tight range, with $100 as significant support and $105 as a resistance ceiling [2] - A sustained price action above the $105 level on substantial volume could trigger momentum buying and a trend reversal [3] Group 3: Valuation and Fundamentals - Fortinet reported Q1 2025 earnings with an EPS of $0.58, beating estimates by $0.05, and revenue of $1.54 billion, reflecting a year-over-year growth of 13.8% [4][5] - The stock's P/E ratio is 43.9, with a forward P/E ratio of 38.43, both lower than those of high-growth peers, making it a more attractive option for investors [5] Group 4: Institutional Sentiment - Institutional inflows into Fortinet totaled $8.2 billion over the past 12 months, compared to $5.3 billion in outflows, indicating growing interest [7] - Institutional ownership stands at 83.7%, and the stock's inclusion in the S&P 500 index enhances its stability [8] Group 5: Analyst Ratings - Fortinet has a Hold consensus rating among analysts, with an average price target of $105.62, suggesting a cautious outlook until a breakout or earnings surprise occurs [8] - The stock is not currently favored by top-rated analysts compared to other investment opportunities [10]