diff --git a/archive/2026-05-17.html b/archive/2026-05-17.html new file mode 100644 index 0000000..efd0b63 --- /dev/null +++ b/archive/2026-05-17.html @@ -0,0 +1,2771 @@ + + + + + + + + + + + + + + + + 金融日报 | Financial Daily — 北美华人投资者日报 + + + + + +
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S&P 500
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7,408.50
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▼ -1.24%
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纳斯达克
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26,225.15
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▼ -1.54%
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+
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道琼斯
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49,526.17
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▼ -1.07%
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上证综指
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4,135.39
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▼ -1.02%
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恒生指数
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25,962.73
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▼ -1.62%
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日经225
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61,409.29
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▼ -1.99%
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德国DAX
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23,950.57
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▼ -2.07%
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黄金现货
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4,561.90
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▼ -2.63%
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+
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WTI原油
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101.02
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▲ +4.20%
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比特币
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78,233.58
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▼ -1.07%
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美元指数
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99.21
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▲ +0.49%
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离岸人民币
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6.8139
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▼ +0.40%
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S&P 500
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7,408.50
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▼ -1.24%
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纳斯达克
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26,225.15
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▼ -1.54%
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+
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道琼斯
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49,526.17
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▼ -1.07%
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+
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上证综指
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4,135.39
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▼ -1.02%
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+
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恒生指数
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25,962.73
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▼ -1.62%
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+
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日经225
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61,409.29
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▼ -1.99%
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德国DAX
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23,950.57
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▼ -2.07%
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+
+
黄金现货
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4,561.90
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▼ -2.63%
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+
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WTI原油
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101.02
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▲ +4.20%
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比特币
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78,233.58
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▼ -1.07%
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+
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美元指数
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99.21
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▲ +0.49%
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离岸人民币
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6.8139
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▼ +0.40%
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+ 🟡 中性 · Neutral + VIX 18.43 +
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美股周五回调VIX升至18.4,特朗普习近平峰会未获重大突破
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  • 特朗普访华未获突破
  • 美债收益率升至4.59%
  • 英伟达下周三财报
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+ 深度解读 ▸ +
标普500指数周五收跌1.24%至7408点,结束连续创新高走势,因特朗普-习近平北京峰会未带来重大贸易突破,10年期美债收益率升至4.59%引发估值担忧。能源板块受益油价上涨,科技股获利回吐压力加大。对北美华人投资者而言,短期需警惕高估值回调风险,但AI基建需求和英伟达下周财报仍是关键看点。
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金融日报早报 · 今日播客
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欣欣 & 建国 · 约3分钟
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+ 0:00 + + +
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油价飙升超4%至每桶101美元,伊朗冲突持续推高通胀预期
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💡 新手解读油价持续高企增加经济衰退风险,能源板块短期受益,但对整体经济和消费构成压力
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WTI原油周五大涨4.2%至101.02美元,布伦特原油涨至109.26美元,因伊朗战争持续且霍尔木兹海峡紧张局势加剧。过去12次经济衰退中有10次是由油价飙升引发。高盛预测若供应持续过剩,WTI均价可能降至52美元,但地缘风险使油价维持高位。能源成本上升正在侵蚀消费者购买力并推高整体通胀。
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市场波动率VIX指数升至18.43,连续两日上涨超6%
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💡 新手解读波动率上升警示短期风险加大,但尚未达到恐慌水平,可考虑分批建仓或对冲策略
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CBOE波动率指数周五收于18.43,较前一交易日上涨6.78%,反映市场对短期风险的担忧上升。VIX从5月14日的17.26升至当前水平,正接近正常波动区间的上限(15-25)。历史上VIX突破20往往预示市场进入更高波动期。高盛分析师警告科技股'向上崩盘'后可能面临回调,尤其是在估值达到历史高位时。
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凯文·沃什获确认接任美联储主席,5月15日正式上任
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💡 新手解读美联储领导层交接完成,新主席偏鹰派可能延缓降息预期,对高估值成长股不利
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参议院以51-45投票确认凯文·沃什为新任美联储主席,接替5月15日任期届满的鲍威尔。沃什在听证会上表示希望实施'政权更迭',可能采取更鹰派立场。市场担心其政策可能受政治考量影响。达利欧警告若沃什在当前环境下降息将损害美联储公信力,因通胀仍存在更多上行风险。
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加载中…
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NVDA
英伟达
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225.39
-4.4%
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+ HOLD + 评分 72/100 +
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财报前获利回吐,等待5/20指引
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AI需求持续但架构转换期存在不确定性,二季度指引870亿美元预期是关键
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↑ 250↓ 210
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风险:high
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财报前观望,若指引超预期可在回调时加仓,200日均线217美元附近为强支撑
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#AI#财报周
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QQQ
纳斯达克100ETF
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709.75
-1.7%
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+ HOLD + 评分 68/100 +
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高位回调但长期趋势完好
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科技股集中度达历史高位,Mag7占比过高增加波动,但AI基建支出加速支撑中期
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↑ 730↓ 680
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风险:medium
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52周高点714附近遇阻,可在700下方分批布局,关注英伟达财报对整体科技板块影响
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#科技ETF#AI
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SPY
标普500ETF
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740.85
-1.2%
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+ HOLD + 评分 65/100 +
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估值偏高需警惕回调风险
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席勒PE达42倍为历史第二高,债券收益率上升降低股票相对吸引力,但企业盈利增长仍强劲
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↑ 755↓ 710
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风险:medium
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短期维持防守,可配置20%现金应对波动,长期投资者在730下方可分批定投
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#大盘ETF#高估值
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BTC-USD
比特币
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78,233.58
-1.1%
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+
+ SELL + 评分 45/100 +
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下跌趋势未完成需谨慎
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艾略特波浪分析显示下跌结构未完成,若突破95,000美元才考虑反转,当前在7.8万阻力位挣扎
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↑ 82,000↓ 72,000
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风险:high
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建议观望或减持,若跌破75,000美元可能进一步测试70,000支撑,等待明确反转信号
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#加密货币#下跌趋势
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510300.SS
沪深300ETF
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4.12
-1.0%
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+ HOLD + 评分 58/100 +
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跟随外围回调但估值合理
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A股整体估值较美股更具吸引力,但消费疲软和房地产结构性问题制约反弹空间,政策支持力度是关键
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↑ 4.35↓ 3.95
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风险:medium
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适合长期定投配置,关注人民银行进一步宽松政策,4.0元下方为较好买入区间
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#A股#价值洼地
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GC=F
黄金期货
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4,561.90
-2.6%
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+ BUY + 评分 75/100 +
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回调提供配置机会
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尽管短期因伊朗战争回落,但过去12个月仍涨超40%,美国债务扩张和地缘风险支撑长期牛市,美银目标价5000美元
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↑ 5,000↓ 4,400
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风险:low
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4500-4600美元区间为买入良机,建议配置5-10%投资组合作为避险和通胀对冲
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#黄金#避险
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CL=F
WTI原油
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101.02
+4.2%
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+ HOLD + 评分 62/100 +
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地缘溢价支撑但存下行风险
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伊朗冲突推高油价至100美元上方,但若冲突缓和或OPEC+增产,高盛预计可能跌至52美元,过去10次衰退中10次由油价飙升引发
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↑ 110↓ 85
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风险:high
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不建议追高,若和平进展油价可能快速回落,短期交易为主避免长期持有
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#原油#地缘
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TSLA
特斯拉
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422.30
-4.7%
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+ HOLD + 评分 55/100 +
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转型AI和机器人但估值极高
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马斯克宣布大幅增加AI投资支持Optimus机器人和Robotaxi,但EV销售疲软持续,178倍远期市盈率反映高预期,执行风险大
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↑ 480↓ 380
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风险:high
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仅适合激进投资者,若Robotaxi或Optimus项目遇挫股价可能暴跌,建议控制仓位不超过5%
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#电动车#AI转型
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CPI YoY
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3.8%
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前值: 3.2%
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4月消费者价格指数同比上涨3.8%,为2023年5月以来最高,超预期的3.7%,通胀意外反弹推迟降息预期
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Core CPI YoY
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2.8%
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前值: 2.6%
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核心CPI同比上涨2.8%,剔除食品和能源后通胀压力仍存,显示价格粘性较强
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非农就业
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115,000
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前值: 185,000
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4月新增就业11.5万人,超预期但较3月大幅放缓,劳动力市场显示降温迹象
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失业率
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3.7%
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前值: 3.7%
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失业率维持3.7%不变,但持续申领失业救济人数升至178万人,就业市场进入低雇佣低解雇状态
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零售销售MoM
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+0.5%
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前值: +1.9%
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4月零售销售环比增长0.5%,符合预期但较3月大幅放缓,剔除汽车后增长0.7%,能源成本上涨推高加油站销售2.8%
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进口价格MoM
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+1.9%
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前值: +0.9%
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进口价格环比大涨1.9%,同比上涨4.2%为2022年10月以来最高,能源相关成本飙升是主因
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Empire制造业指数
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19.6
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前值: 7.0
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5月纽约州制造业指数跃升至19.6,大幅超预期7.0,为2022年4月以来最高,显示制造业活动改善
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密歇根消费者信心
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预估中
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前值: 待定
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5月密歇根消费者信心指数待发布,市场关注通胀预期和消费者对经济前景的看法
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标普500 本周展望
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🐂 多方看涨
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high英伟达财报可能超预期,AI基建支出加速
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high企业盈利增长强劲,一季度财报季整体超预期
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medium技术面7400点获支撑,VIX未达恐慌水平
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🐻 空方看跌
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high席勒PE达42倍历史第二高,估值泡沫风险
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high债券收益率突破4.6%降低股票吸引力
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medium油价高企和通胀反弹推迟降息削弱流动性
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裁判结论 BEARISH
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短期谨慎偏空,建议降低仓位至75%并持有15-20%现金。等待英伟达财报和下周零售财报季明朗化,7300点下方可分批加仓优质科技股和防御板块。中长期AI主题未变,但需防范5-10%技术性回调。
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NVDA
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英伟达
+ UPCOMING +
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EPS EST.
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$预计
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REPORT DATE
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2026-05-20
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收入: $78B预期
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市场预期营收780亿美元,更关键是二季度指引约870亿美元,黄仁勋透露Blackwell和Rubin系统通过2027年有至少1万亿美元订单需求
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AAPL
+
苹果
+ BEAT ✓ +
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EPS ACTUAL
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$1.53
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EPS EST.
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$1.50
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+
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收入: $90.8B
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服务收入创历史新高,宣布1100亿美元回购计划,但iPhone营收连续第二季度不及预期
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CSCO
+
思科
+ BEAT ✓ +
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+
EPS ACTUAL
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$超预期
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EPS EST.
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$预期
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+
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收入: 超预期
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三季度业绩和指引均超华尔街预期,宣布裁员近4000人,股价暴涨13%
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+
+
TSLA
+
特斯拉
+ BEAT ✓ +
+
+
EPS ACTUAL
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$0.41
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EPS EST.
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$0.35
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+
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收入: $22.39B
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营收略低于预期但盈利超预期15.87%,马斯克宣布将大幅增加AI投资,Optimus机器人和Robotaxi服务进展积极
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HMC
+
本田汽车
+ MISS ✗ +
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+
EPS ACTUAL
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$亏损
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EPS EST.
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$盈利
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收入: 下降
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70多年来首次季度亏损,EV相关损失达100亿美元,但公司重新聚焦混合动力车型,前景指引乐观
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能源
Energy
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XLE
+
+
+1.29%
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+
+
科技
Technology
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XLK
+
+
-1.51%
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+
+
金融
Financials
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XLF
+
+
-0.81%
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+
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医疗
Healthcare
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XLV
+
+
-1.23%
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+
+
工业
Industrials
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XLI
+
+
-2.18%
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+
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非必需消费
Consumer Discretionary
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XLY
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+
-2.01%
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+
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必需消费
Consumer Staples
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XLP
+
+
-0.27%
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通信服务
Communication Services
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XLC
+
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-0.84%
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+
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公用事业
Utilities
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XLU
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-2.92%
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房地产
Real Estate
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XLRE
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-1.25%
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材料
Materials
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XLB
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-3.53%
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🇺🇸 美股
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三大指数齐跌,跌多涨少,科技股领跌芯片全线回调
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+ ↑1820 +
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+ ↓3240 +
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+
热门板块
能源
+
领涨标的
思科+13%(财报超预期)
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创52周新高
45
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+
+
🇨🇳 A股
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沪指失守4200点,外资流出创业板相对抗跌
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+ ↑1500 +
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+ ↓2800 +
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热门板块
光伏概念逆势活跃
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领涨标的
蒙娜丽莎6连板(装饰材料)
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北向资金
-45亿
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周二 5/20
盘后
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+
英伟达Q1财报
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预期: 780亿营收  ·  前值: 684亿
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+
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周二 5/20
盘前
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+
家得宝财报
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预期: EPS $3.40  ·  前值: EPS $3.25
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周三 5/21
盘前
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+
Target财报
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预期: EPS $2.05  ·  前值: EPS $2.10
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+
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周三 5/21
10:00 AM
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+
4月成屋销售
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预期: 460万套  ·  前值: 456万套
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+
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周四 5/22
盘前
+
+
沃尔玛财报
+
预期: EPS $1.85  ·  前值: EPS $1.80
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+
+
+
周四 5/22
8:30 AM
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+
首次申请失业救济
+
预期: 21.5万  ·  前值: 21.1万
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+
+
+
周五 5/23
9:45 AM
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+
5月PMI初值
+
预期: 51.2  ·  前值: 制造业50.9
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+
+
+
周五 5/23
10:00 AM
+
+
4月新屋销售
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预期: 71.0万套  ·  前值: 69.3万套
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+ + + \ No newline at end of file diff --git a/archive/index.html b/archive/index.html index 3df2f92..f62889c 100644 --- a/archive/index.html +++ b/archive/index.html @@ -37,6 +37,12 @@ + + 2026年5月17日 + 12 + 6 + JSON + 2026年5月16日 14 diff --git a/data/2026-05-17.json b/data/2026-05-17.json new file mode 100644 index 0000000..f3ceefd --- /dev/null +++ b/data/2026-05-17.json @@ -0,0 +1,748 @@ +{ + "date": "2026年5月17日", + "summary": { + "headline": "美股周五回调VIX升至18.4,特朗普习近平峰会未获重大突破", + "context": "标普500指数周五收跌1.24%至7408点,结束连续创新高走势,因特朗普-习近平北京峰会未带来重大贸易突破,10年期美债收益率升至4.59%引发估值担忧。能源板块受益油价上涨,科技股获利回吐压力加大。对北美华人投资者而言,短期需警惕高估值回调风险,但AI基建需求和英伟达下周财报仍是关键看点。", + "sentiment": "neutral", + "vix": "18.43", + "key_points": [ + "特朗普访华未获突破", + "美债收益率升至4.59%", + "英伟达下周三财报" + ] + }, + "indices": [ + { + "name": "S&P 500", + "symbol": "SPX", + "value": "7,408.50", + "change": "-92.74", + "change_pct": "-1.24%", + "direction": "down" + }, + { + "name": "纳斯达克", + "symbol": "IXIC", + "value": "26,225.15", + "change": "-410.08", + "change_pct": "-1.54%", + "direction": "down" + }, + { + "name": "道琼斯", + "symbol": "DJI", + "value": "49,526.17", + "change": "-537.29", + "change_pct": "-1.07%", + "direction": "down" + }, + { + "name": "上证综指", + "symbol": "SSEC", + "value": "4,135.39", + "change": "-42.53", + "change_pct": "-1.02%", + "direction": "down" + }, + { + "name": "恒生指数", + "symbol": "HSI", + "value": "25,962.73", + "change": "-426.31", + "change_pct": "-1.62%", + "direction": "down" + }, + { + "name": "日经225", + "symbol": "N225", + "value": "61,409.29", + "change": "-1,244.76", + "change_pct": "-1.99%", + "direction": "down" + }, + { + "name": "德国DAX", + "symbol": "GDAXI", + "value": "23,950.57", + "change": "-498.00", + "change_pct": "-2.07%", + "direction": "down" + }, + { + "name": "黄金现货", + "symbol": "GOLD", + "value": "4,561.90", + "change": "-123.40", + "change_pct": "-2.63%", + "direction": "down" + }, + { + "name": "WTI原油", + "symbol": "CL", + "value": "101.02", + "change": "+4.25", + "change_pct": "+4.20%", + "direction": "up" + }, + { + "name": "比特币", + "symbol": "BTC-USD", + "value": "78,233.58", + "change": "-849.77", + "change_pct": "-1.07%", + "direction": "down" + }, + { + "name": "美元指数", + "symbol": "DXY", + "value": "99.21", + "change": "+0.48", + "change_pct": "+0.49%", + "direction": "up" + }, + { + "name": "离岸人民币", + "symbol": "CNH", + "value": "6.8139", + "change": "+0.0270", + "change_pct": "+0.40%", + "direction": "down" + } + ], + "leaders": [ + { + "name": "巴菲特", + "name_en": "Warren Buffett", + "role": "伯克希尔哈撒韦前CEO", + "quote": "投资者正处于'赌博情绪'中", + "body": "巴菲特警告市场估值过高,席勒市盈率达到42倍为1999年互联网泡沫以来第二高水平。他指出许多投资者当前处于投机心态而非价值投资状态。历史数据显示,每当席勒市盈率超过30时,市场随后都经历了20%-89%的大幅回调。", + "tags": [ + "#价值投资", + "#市场警告" + ], + "initials": "WB", + "quote_date": "5月12日" + }, + { + "name": "达利欧", + "name_en": "Ray Dalio", + "role": "桥水基金创始人", + "quote": "美国已进入滞胀期,债务周期面临历史性转折", + "body": "达利欧在最新访谈中表示美国当前确实处于滞胀阶段,债务相对收入上升正在挤压支出。他强调当前的金融压力、政治分化和全球秩序削弱正在形成比过去数十年更不稳定的环境,这些模式与历史上的重大转折点相似。", + "tags": [ + "#滞胀", + "#债务周期" + ], + "initials": "RD", + "quote_date": "5月13日" + }, + { + "name": "鲍威尔", + "name_en": "Jerome Powell", + "role": "美联储前主席", + "quote": "中东冲突增加经济不确定性,短期内能源价格将推高整体通胀", + "body": "鲍威尔在其任内最后一次记者会上表示,伊朗冲突的范围和持续时间对经济的影响尚不明确。美联储承认即使在降息150个基点后,货币政策仍保持适度紧缩。他强调需要看到更多通胀降温证据才会进一步降息。", + "tags": [ + "#美联储", + "#通胀" + ], + "initials": "JP", + "quote_date": "5月3日" + }, + { + "name": "杰米·戴蒙", + "name_en": "Jamie Dimon", + "role": "摩根大通CEO", + "quote": "在当前环境下,黄金可以轻松涨到1万美元", + "body": "戴蒙表示在地缘政治紧张和经济不确定性加剧的背景下,黄金作为避险资产的吸引力显著提升。尽管金价近期从高位回落,但过去12个月仍上涨超40%。他建议投资者在投资组合中配置适当比例的黄金以应对经济动荡。", + "tags": [ + "#黄金", + "#避险" + ], + "initials": "JD", + "quote_date": "5月初" + } + ], + "news": [ + { + "title": "特朗普-习近平北京峰会未达成重大突破,关税休战延期预期降温", + "body": "特朗普周三至周五访华与习近平举行峰会,随行16位顶级企业高管包括马斯克、库克和黄仁勋。会议涉及关税、AI沟通和伊朗战争等议题,但外界预期普遍谨慎。美国对华关税仍维持47.5%高位,中国对美关税为31.9%,双边贸易额从2022年峰值6900亿美元降至2025年约4150亿美元。市场预期将宣布关税休战延期和建立美中贸易委员会。", + "tldr": "峰会氛围友好但缺乏实质突破,持有中概股和对华敞口企业的投资者短期难见催化剂", + "importance": "breaking", + "tags": [ + "#中美贸易", + "#关税" + ] + }, + { + "title": "英伟达下周三盘后发布财报,市场预期78B美元营收和87B指引", + "body": "英伟达将于5月20日盘后发布2027财年一季度财报,华尔街预期营收780亿美元(同比增77%),更关键的是二季度指引预期约870亿美元。公司正从Blackwell架构过渡到Vera Rubin架构,高指引将证明AI需求在架构转换期仍持续增长。Meta和微软近期均上调2026年资本开支预期,但也在开发定制AI芯片以减少对英伟达依赖。", + "tldr": "英伟达财报是本周最大看点,AI基建支出加速但竞争加剧,建议关注指引而非当季业绩", + "importance": "breaking", + "tags": [ + "#英伟达", + "#AI", + "#财报" + ] + }, + { + "title": "美国10年期国债收益率升至4.59%,30年期达5.13%引发股市估值担忧", + "body": "周五全球债券市场遭遇抛售,10年期美债收益率升至4.59%,30年期收益率突破5.13%。收益率上升反映市场对持续高通胀和美联储可能长期维持高利率的担忧。伊朗战争推高能源价格加剧通胀压力,摩根大通经济学家预计美联储2026年余下时间将维持利率不变,并可能在2027年三季度加息。", + "tldr": "债券收益率飙升对高估值科技股构成压力,固定收益替代吸引力上升,建议降低久期风险", + "importance": "high", + "tags": [ + "#债券", + "#利率" + ] + }, + { + "title": "油价飙升超4%至每桶101美元,伊朗冲突持续推高通胀预期", + "body": "WTI原油周五大涨4.2%至101.02美元,布伦特原油涨至109.26美元,因伊朗战争持续且霍尔木兹海峡紧张局势加剧。过去12次经济衰退中有10次是由油价飙升引发。高盛预测若供应持续过剩,WTI均价可能降至52美元,但地缘风险使油价维持高位。能源成本上升正在侵蚀消费者购买力并推高整体通胀。", + "tldr": "油价持续高企增加经济衰退风险,能源板块短期受益,但对整体经济和消费构成压力", + "importance": "high", + "tags": [ + "#原油", + "#通胀", + "#伊朗" + ] + }, + { + "title": "市场波动率VIX指数升至18.43,连续两日上涨超6%", + "body": "CBOE波动率指数周五收于18.43,较前一交易日上涨6.78%,反映市场对短期风险的担忧上升。VIX从5月14日的17.26升至当前水平,正接近正常波动区间的上限(15-25)。历史上VIX突破20往往预示市场进入更高波动期。高盛分析师警告科技股'向上崩盘'后可能面临回调,尤其是在估值达到历史高位时。", + "tldr": "波动率上升警示短期风险加大,但尚未达到恐慌水平,可考虑分批建仓或对冲策略", + "importance": "medium", + "tags": [ + "#VIX", + "#波动率" + ] + }, + { + "title": "凯文·沃什获确认接任美联储主席,5月15日正式上任", + "body": "参议院以51-45投票确认凯文·沃什为新任美联储主席,接替5月15日任期届满的鲍威尔。沃什在听证会上表示希望实施'政权更迭',可能采取更鹰派立场。市场担心其政策可能受政治考量影响。达利欧警告若沃什在当前环境下降息将损害美联储公信力,因通胀仍存在更多上行风险。", + "tldr": "美联储领导层交接完成,新主席偏鹰派可能延缓降息预期,对高估值成长股不利", + "importance": "high", + "tags": [ + "#美联储", + "#沃什" + ] + } + ], + "macro": [ + { + "indicator": "CPI YoY", + "value": "3.8%", + "prev": "3.2%", + "direction": "up", + "description": "4月消费者价格指数同比上涨3.8%,为2023年5月以来最高,超预期的3.7%,通胀意外反弹推迟降息预期" + }, + { + "indicator": "Core CPI YoY", + "value": "2.8%", + "prev": "2.6%", + "direction": "up", + "description": "核心CPI同比上涨2.8%,剔除食品和能源后通胀压力仍存,显示价格粘性较强" + }, + { + "indicator": "非农就业", + "value": "115,000", + "prev": "185,000", + "direction": "down", + "description": "4月新增就业11.5万人,超预期但较3月大幅放缓,劳动力市场显示降温迹象" + }, + { + "indicator": "失业率", + "value": "3.7%", + "prev": "3.7%", + "direction": "neutral", + "description": "失业率维持3.7%不变,但持续申领失业救济人数升至178万人,就业市场进入低雇佣低解雇状态" + }, + { + "indicator": "零售销售MoM", + "value": "+0.5%", + "prev": "+1.9%", + "direction": "down", + "description": "4月零售销售环比增长0.5%,符合预期但较3月大幅放缓,剔除汽车后增长0.7%,能源成本上涨推高加油站销售2.8%" + }, + { + "indicator": "进口价格MoM", + "value": "+1.9%", + "prev": "+0.9%", + "direction": "up", + "description": "进口价格环比大涨1.9%,同比上涨4.2%为2022年10月以来最高,能源相关成本飙升是主因" + }, + { + "indicator": "Empire制造业指数", + "value": "19.6", + "prev": "7.0", + "direction": "up", + "description": "5月纽约州制造业指数跃升至19.6,大幅超预期7.0,为2022年4月以来最高,显示制造业活动改善" + }, + { + "indicator": "密歇根消费者信心", + "value": "预估中", + "prev": "待定", + "direction": "neutral", + "description": "5月密歇根消费者信心指数待发布,市场关注通胀预期和消费者对经济前景的看法" + } + ], + "earnings": [ + { + "company": "英伟达", + "ticker": "NVDA", + "report_date": "2026-05-20", + "eps_actual": "预计", + "eps_est": "预计", + "beat": null, + "revenue": "$78B预期", + "highlight": "市场预期营收780亿美元,更关键是二季度指引约870亿美元,黄仁勋透露Blackwell和Rubin系统通过2027年有至少1万亿美元订单需求" + }, + { + "company": "苹果", + "ticker": "AAPL", + "report_date": "2026-04-30", + "eps_actual": "1.53", + "eps_est": "1.50", + "beat": true, + "revenue": "$90.8B", + "highlight": "服务收入创历史新高,宣布1100亿美元回购计划,但iPhone营收连续第二季度不及预期" + }, + { + "company": "思科", + "ticker": "CSCO", + "report_date": "2026-05-13", + "eps_actual": "超预期", + "eps_est": "预期", + "beat": true, + "revenue": "超预期", + "highlight": "三季度业绩和指引均超华尔街预期,宣布裁员近4000人,股价暴涨13%" + }, + { + "company": "特斯拉", + "ticker": "TSLA", + "report_date": "2026-04-22", + "eps_actual": "0.41", + "eps_est": "0.35", + "beat": true, + "revenue": "$22.39B", + "highlight": "营收略低于预期但盈利超预期15.87%,马斯克宣布将大幅增加AI投资,Optimus机器人和Robotaxi服务进展积极" + }, + { + "company": "本田汽车", + "ticker": "HMC", + "report_date": "2026-05-14", + "eps_actual": "亏损", + "eps_est": "盈利", + "beat": false, + "revenue": "下降", + "highlight": "70多年来首次季度亏损,EV相关损失达100亿美元,但公司重新聚焦混合动力车型,前景指引乐观" + } + ], + "sectors": [ + { + "name": "能源", + "name_en": "Energy", + "etf": "XLE", + "change_pct": "+1.29%", + "direction": "up", + "note": "伊朗战争推高油价,能源股周五逆势上涨,自冲突爆发以来表现优异" + }, + { + "name": "科技", + "name_en": "Technology", + "etf": "XLK", + "change_pct": "-1.51%", + "direction": "down", + "note": "周五获利回吐压力显现,英特尔跌超6%,AMD和美光分别跌5.7%和6.6%" + }, + { + "name": "金融", + "name_en": "Financials", + "etf": "XLF", + "change_pct": "-0.81%", + "direction": "down", + "note": "债券收益率上升对银行净息差有利,但经济不确定性增加抑制涨幅" + }, + { + "name": "医疗", + "name_en": "Healthcare", + "etf": "XLV", + "change_pct": "-1.23%", + "direction": "down", + "note": "防御性板块周五跟随大盘回调,但技术进步和运营效率提升支撑中期前景" + }, + { + "name": "工业", + "name_en": "Industrials", + "etf": "XLI", + "change_pct": "-2.18%", + "direction": "down", + "note": "受益AI基础设施建设和国防支出,但周五受大盘拖累,波音因中国订单不及预期跌3.7%" + }, + { + "name": "非必需消费", + "name_en": "Consumer Discretionary", + "etf": "XLY", + "change_pct": "-2.01%", + "direction": "down", + "note": "零售ETF本周跌超6%,消费者支出放缓担忧加剧,Target、Walmart等下周财报成焦点" + }, + { + "name": "必需消费", + "name_en": "Consumer Staples", + "etf": "XLP", + "change_pct": "-0.27%", + "direction": "down", + "note": "防御性板块表现相对抗跌,食品和家庭用品需求稳定" + }, + { + "name": "通信服务", + "name_en": "Communication Services", + "etf": "XLC", + "change_pct": "-0.84%", + "direction": "down", + "note": "基本面良好但估值偏高,市场担忧高AI支出和广告市场潜在干扰" + }, + { + "name": "公用事业", + "name_en": "Utilities", + "etf": "XLU", + "change_pct": "-2.92%", + "direction": "down", + "note": "AI数据中心电力需求强劲,但利率上升对资本密集型行业不利" + }, + { + "name": "房地产", + "name_en": "Real Estate", + "etf": "XLRE", + "change_pct": "-1.25%", + "direction": "down", + "note": "利率预期上升和办公地产结构性压力持续拖累板块表现" + }, + { + "name": "材料", + "name_en": "Materials", + "etf": "XLB", + "change_pct": "-3.53%", + "direction": "down", + "note": "铜价冲高至6.46美元后回落,材料股周五领跌,AI基建需求支撑中期前景" + } + ], + "central_banks": [ + { + "bank": "美联储", + "bank_en": "Federal Reserve", + "action": "维持利率3.50-3.75%不变", + "next_meeting": "2026-06-18", + "rate": "3.50-3.75%", + "bias": "hawkish", + "note": "新任主席沃什上任,鲍威尔强调伊朗冲突增加不确定性,短期能源价格将推高通胀,摩根大通预计2026年维持不变,2027年可能加息" + }, + { + "bank": "欧洲央行", + "bank_en": "European Central Bank", + "action": "维持利率不变", + "next_meeting": "2026-06-06", + "rate": "2.50%", + "bias": "neutral", + "note": "欧央行认为已达到'好位置',通胀接近2%且增长为正,进一步降息门槛很高,预计2026年维持当前利率" + }, + { + "bank": "中国人民银行", + "bank_en": "People's Bank of China", + "action": "保持宽松立场", + "next_meeting": "季度会议", + "rate": "LPR 1年期3.35%", + "bias": "dovish", + "note": "尽管经济表现好于预期,但为确保稳定增长,预计2026年降息20个基点,降准100个基点,银行净息差收窄限制降息空间" + }, + { + "bank": "日本央行", + "bank_en": "Bank of Japan", + "action": "持续加息路径", + "next_meeting": "2026-06-14", + "rate": "0.50%", + "bias": "hawkish", + "note": "持续2%通胀和高于潜在增速的GDP增长支撑加息,基准预期政策利率到2026年底达1.0%,但若政治因素介入可能放缓" + } + ], + "calendar": [ + { + "date": "周二 5/20", + "time_et": "盘后", + "event": "英伟达Q1财报", + "impact": "high", + "previous": "684亿", + "forecast": "780亿营收" + }, + { + "date": "周二 5/20", + "time_et": "盘前", + "event": "家得宝财报", + "impact": "medium", + "previous": "EPS $3.25", + "forecast": "EPS $3.40" + }, + { + "date": "周三 5/21", + "time_et": "盘前", + "event": "Target财报", + "impact": "high", + "previous": "EPS $2.10", + "forecast": "EPS $2.05" + }, + { + "date": "周三 5/21", + "time_et": "10:00 AM", + "event": "4月成屋销售", + "impact": "medium", + "previous": "456万套", + "forecast": "460万套" + }, + { + "date": "周四 5/22", + "time_et": "盘前", + "event": "沃尔玛财报", + "impact": "high", + "previous": "EPS $1.80", + "forecast": "EPS $1.85" + }, + { + "date": "周四 5/22", + "time_et": "8:30 AM", + "event": "首次申请失业救济", + "impact": "medium", + "previous": "21.1万", + "forecast": "21.5万" + }, + { + "date": "周五 5/23", + "time_et": "9:45 AM", + "event": "5月PMI初值", + "impact": "high", + "previous": "制造业50.9", + "forecast": "51.2" + }, + { + "date": "周五 5/23", + "time_et": "10:00 AM", + "event": "4月新屋销售", + "impact": "medium", + "previous": "69.3万套", + "forecast": "71.0万套" + } + ], + "watchlist_analysis": [ + { + "ticker": "NVDA", + "name": "英伟达", + "price": "225.39", + "change_pct": "-4.4%", + "direction": "down", + "signal": "HOLD", + "score": 72, + "conclusion": "财报前获利回吐,等待5/20指引", + "key_driver": "AI需求持续但架构转换期存在不确定性,二季度指引870亿美元预期是关键", + "target_up": "250", + "target_down": "210", + "risk_level": "high", + "action": "财报前观望,若指引超预期可在回调时加仓,200日均线217美元附近为强支撑", + "tags": [ + "#AI", + "#财报周" + ] + }, + { + "ticker": "QQQ", + "name": "纳斯达克100ETF", + "price": "709.75", + "change_pct": "-1.7%", + "direction": "down", + "signal": "HOLD", + "score": 68, + "conclusion": "高位回调但长期趋势完好", + "key_driver": "科技股集中度达历史高位,Mag7占比过高增加波动,但AI基建支出加速支撑中期", + "target_up": "730", + "target_down": "680", + "risk_level": "medium", + "action": "52周高点714附近遇阻,可在700下方分批布局,关注英伟达财报对整体科技板块影响", + "tags": [ + "#科技ETF", + "#AI" + ] + }, + { + "ticker": "SPY", + "name": "标普500ETF", + "price": "740.85", + "change_pct": "-1.2%", + "direction": "down", + "signal": "HOLD", + "score": 65, + "conclusion": "估值偏高需警惕回调风险", + "key_driver": "席勒PE达42倍为历史第二高,债券收益率上升降低股票相对吸引力,但企业盈利增长仍强劲", + "target_up": "755", + "target_down": "710", + "risk_level": "medium", + "action": "短期维持防守,可配置20%现金应对波动,长期投资者在730下方可分批定投", + "tags": [ + "#大盘ETF", + "#高估值" + ] + }, + { + "ticker": "BTC-USD", + "name": "比特币", + "price": "78,233.58", + "change_pct": "-1.1%", + "direction": "down", + "signal": "SELL", + "score": 45, + "conclusion": "下跌趋势未完成需谨慎", + "key_driver": "艾略特波浪分析显示下跌结构未完成,若突破95,000美元才考虑反转,当前在7.8万阻力位挣扎", + "target_up": "82,000", + "target_down": "72,000", + "risk_level": "high", + "action": "建议观望或减持,若跌破75,000美元可能进一步测试70,000支撑,等待明确反转信号", + "tags": [ + "#加密货币", + "#下跌趋势" + ] + }, + { + "ticker": "510300.SS", + "name": "沪深300ETF", + "price": "4.12", + "change_pct": "-1.0%", + "direction": "down", + "signal": "HOLD", + "score": 58, + "conclusion": "跟随外围回调但估值合理", + "key_driver": "A股整体估值较美股更具吸引力,但消费疲软和房地产结构性问题制约反弹空间,政策支持力度是关键", + "target_up": "4.35", + "target_down": "3.95", + "risk_level": "medium", + "action": "适合长期定投配置,关注人民银行进一步宽松政策,4.0元下方为较好买入区间", + "tags": [ + "#A股", + "#价值洼地" + ] + }, + { + "ticker": "GC=F", + "name": "黄金期货", + "price": "4,561.90", + "change_pct": "-2.6%", + "direction": "down", + "signal": "BUY", + "score": 75, + "conclusion": "回调提供配置机会", + "key_driver": "尽管短期因伊朗战争回落,但过去12个月仍涨超40%,美国债务扩张和地缘风险支撑长期牛市,美银目标价5000美元", + "target_up": "5,000", + "target_down": "4,400", + "risk_level": "low", + "action": "4500-4600美元区间为买入良机,建议配置5-10%投资组合作为避险和通胀对冲", + "tags": [ + "#黄金", + "#避险" + ] + }, + { + "ticker": "CL=F", + "name": "WTI原油", + "price": "101.02", + "change_pct": "+4.2%", + "direction": "up", + "signal": "HOLD", + "score": 62, + "conclusion": "地缘溢价支撑但存下行风险", + "key_driver": "伊朗冲突推高油价至100美元上方,但若冲突缓和或OPEC+增产,高盛预计可能跌至52美元,过去10次衰退中10次由油价飙升引发", + "target_up": "110", + "target_down": "85", + "risk_level": "high", + "action": "不建议追高,若和平进展油价可能快速回落,短期交易为主避免长期持有", + "tags": [ + "#原油", + "#地缘" + ] + }, + { + "ticker": "TSLA", + "name": "特斯拉", + "price": "422.30", + "change_pct": "-4.7%", + "direction": "down", + "signal": "HOLD", + "score": 55, + "conclusion": "转型AI和机器人但估值极高", + "key_driver": "马斯克宣布大幅增加AI投资支持Optimus机器人和Robotaxi,但EV销售疲软持续,178倍远期市盈率反映高预期,执行风险大", + "target_up": "480", + "target_down": "380", + "risk_level": "high", + "action": "仅适合激进投资者,若Robotaxi或Optimus项目遇挫股价可能暴跌,建议控制仓位不超过5%", + "tags": [ + "#电动车", + "#AI转型" + ] + } + ], + "market_debate": { + "subject": "标普500 本周展望", + "bull_case": [ + { + "point": "英伟达财报可能超预期,AI基建支出加速", + "confidence": "high" + }, + { + "point": "企业盈利增长强劲,一季度财报季整体超预期", + "confidence": "high" + }, + { + "point": "技术面7400点获支撑,VIX未达恐慌水平", + "confidence": "medium" + } + ], + "bear_case": [ + { + "point": "席勒PE达42倍历史第二高,估值泡沫风险", + "confidence": "high" + }, + { + "point": "债券收益率突破4.6%降低股票吸引力", + "confidence": "high" + }, + { + "point": "油价高企和通胀反弹推迟降息削弱流动性", + "confidence": "medium" + } + ], + "verdict": "短期谨慎偏空,建议降低仓位至75%并持有15-20%现金。等待英伟达财报和下周零售财报季明朗化,7300点下方可分批加仓优质科技股和防御板块。中长期AI主题未变,但需防范5-10%技术性回调。", + "verdict_lean": "bearish" + }, + "market_replay": { + "us": { + "date": "2026年5月15日", + "advance": "1820", + "decline": "3240", + "new_high": "45", + "new_low": "128", + "top_sectors": [ + "能源", + "必需消费" + ], + "hot_stock": "思科+13%(财报超预期)", + "volume_note": "成交量略高于平均水平,反映获利回吐压力", + "summary": "三大指数齐跌,跌多涨少,科技股领跌芯片全线回调" + }, + "cn": { + "date": "2026年5月16日", + "sh_index": "4135.39", + "sh_change": "-1.02%", + "advance": "1500", + "decline": "2800", + "net_inflow": "-45亿", + "hot_sector": "光伏概念逆势活跃", + "hot_stock": "蒙娜丽莎6连板(装饰材料)", + "summary": "沪指失守4200点,外资流出创业板相对抗跌" + } + } +} \ No newline at end of file diff --git a/data/index.json b/data/index.json index 1327694..a823c89 100644 --- a/data/index.json +++ b/data/index.json @@ -82,5 +82,11 @@ "date_cn": "2026年5月16日", "indices_count": 14, "news_count": 7 + }, + { + "date_iso": "2026-05-17", + "date_cn": "2026年5月17日", + "indices_count": 12, + "news_count": 6 } ] \ No newline at end of file diff --git a/data/latest.json b/data/latest.json index 7e9e50d..f3ceefd 100644 --- a/data/latest.json +++ b/data/latest.json @@ -1,14 +1,14 @@ { - "date": "2026年5月16日", + "date": "2026年5月17日", "summary": { - "headline": "美股回落油价飙升,Trump-Xi峰会未达预期", - "context": "周五美股三大指数下跌1%以上,国债收益率升至一年高点,VIX恐慌指数飙升6.8%。特朗普访华峰会仅宣布200架波音订单远低预期,伊朗战争未获突破,Brent原油冲上109美元。对北美华人投资者而言,持有美股和中概股需警惕地缘风险溢价回归,离岸人民币汇率和A股也承压。", - "sentiment": "bearish", + "headline": "美股周五回调VIX升至18.4,特朗普习近平峰会未获重大突破", + "context": "标普500指数周五收跌1.24%至7408点,结束连续创新高走势,因特朗普-习近平北京峰会未带来重大贸易突破,10年期美债收益率升至4.59%引发估值担忧。能源板块受益油价上涨,科技股获利回吐压力加大。对北美华人投资者而言,短期需警惕高估值回调风险,但AI基建需求和英伟达下周财报仍是关键看点。", + "sentiment": "neutral", "vix": "18.43", "key_points": [ - "标普500收跌1.24%至7408点", - "Trump-Xi峰会低于预期", - "油价飙升至109美元推升通胀" + "特朗普访华未获突破", + "美债收益率升至4.59%", + "英伟达下周三财报" ] }, "indices": [ @@ -21,15 +21,7 @@ "direction": "down" }, { - "name": "道琼斯工业平均", - "symbol": "DJI", - "value": "49,526.17", - "change": "-537.29", - "change_pct": "-1.07%", - "direction": "down" - }, - { - "name": "纳斯达克综合", + "name": "纳斯达克", "symbol": "IXIC", "value": "26,225.15", "change": "-410.08", @@ -37,16 +29,16 @@ "direction": "down" }, { - "name": "罗素2000", - "symbol": "RUT", - "value": "2,793.30", - "change": "-69.79", - "change_pct": "-2.44%", + "name": "道琼斯", + "symbol": "DJI", + "value": "49,526.17", + "change": "-537.29", + "change_pct": "-1.07%", "direction": "down" }, { "name": "上证综指", - "symbol": "000001.SS", + "symbol": "SSEC", "value": "4,135.39", "change": "-42.53", "change_pct": "-1.02%", @@ -64,7 +56,7 @@ "name": "日经225", "symbol": "N225", "value": "61,409.29", - "change": "-1,237", + "change": "-1,244.76", "change_pct": "-1.99%", "direction": "down" }, @@ -72,56 +64,48 @@ "name": "德国DAX", "symbol": "GDAXI", "value": "23,950.57", - "change": "-511", + "change": "-498.00", "change_pct": "-2.07%", "direction": "down" }, { "name": "黄金现货", - "symbol": "XAUUSD", - "value": "4,558", - "change": "-125", - "change_pct": "-2.68%", + "symbol": "GOLD", + "value": "4,561.90", + "change": "-123.40", + "change_pct": "-2.63%", "direction": "down" }, { "name": "WTI原油", "symbol": "CL", - "value": "100.45", - "change": "+3.53", - "change_pct": "+3.64%", - "direction": "up" - }, - { - "name": "Brent原油", - "symbol": "BZ", - "value": "109.26", - "change": "+3.54", - "change_pct": "+3.35%", + "value": "101.02", + "change": "+4.25", + "change_pct": "+4.20%", "direction": "up" }, { "name": "比特币", "symbol": "BTC-USD", - "value": "77,940.79", - "change": "-773.25", - "change_pct": "-0.98%", + "value": "78,233.58", + "change": "-849.77", + "change_pct": "-1.07%", "direction": "down" }, { "name": "美元指数", "symbol": "DXY", - "value": "101.2", - "change": "+0.3", - "change_pct": "+0.3%", + "value": "99.21", + "change": "+0.48", + "change_pct": "+0.49%", "direction": "up" }, { "name": "离岸人民币", - "symbol": "CNH/USD", - "value": "7.24", - "change": "+0.02", - "change_pct": "+0.3%", + "symbol": "CNH", + "value": "6.8139", + "change": "+0.0270", + "change_pct": "+0.40%", "direction": "down" } ], @@ -129,240 +113,228 @@ { "name": "巴菲特", "name_en": "Warren Buffett", - "role": "伯克希尔哈撒韦董事长", - "quote": "我们从未见过比现在更强的赌博情绪", - "body": "在5月初伯克希尔年会上,巴菲特将市场比作\"教堂旁的赌场\",警告投资者正沉迷于一日期权等投机行为。他强调60年投资生涯中仅5年真正值得激进投资,当前3970亿美元现金储备和对高估值的警惕表明他认为市场过热。Shiller周期调整市盈率已达点com泡沫以来最高水平。", + "role": "伯克希尔哈撒韦前CEO", + "quote": "投资者正处于'赌博情绪'中", + "body": "巴菲特警告市场估值过高,席勒市盈率达到42倍为1999年互联网泡沫以来第二高水平。他指出许多投资者当前处于投机心态而非价值投资状态。历史数据显示,每当席勒市盈率超过30时,市场随后都经历了20%-89%的大幅回调。", "tags": [ "#价值投资", - "#现金为王" + "#市场警告" ], "initials": "WB", - "quote_date": "5月2日" - }, - { - "name": "鲍威尔", - "name_en": "Jerome Powell", - "role": "美联储主席(至5月15日)", - "quote": "Fed独立性核心在于完全忽略政治考量", - "body": "4月29日最后一次FOMC会议上,鲍威尔维持利率3.5-3.75%不变并强调央行独立性,会议出现罕见四票反对。5月15日卸任前他警告能源价格持续高企将加剧通胀压力。继任者Kevin Warsh面临更复杂的政策环境,市场预期今年加息概率已升至45%。", - "tags": [ - "#美联储", - "#央行独立性" - ], - "initials": "JP", - "quote_date": "4月29日" + "quote_date": "5月12日" }, { "name": "达利欧", "name_en": "Ray Dalio", "role": "桥水基金创始人", - "quote": "去全球化环境下供应链收紧,资源竞争加剧", - "body": "达利欧指出当前商品超级周期与2000年代截然不同。AI贸易面临物理瓶颈,而市场转向去全球化方向运动。他认为中美关系、能源供应和稀土控制是2026年最大的结构性变量,建议投资者\"做多硬资产\"应对不确定性。", + "quote": "美国已进入滞胀期,债务周期面临历史性转折", + "body": "达利欧在最新访谈中表示美国当前确实处于滞胀阶段,债务相对收入上升正在挤压支出。他强调当前的金融压力、政治分化和全球秩序削弱正在形成比过去数十年更不稳定的环境,这些模式与历史上的重大转折点相似。", "tags": [ - "#宏观", - "#去全球化" + "#滞胀", + "#债务周期" ], "initials": "RD", - "quote_date": "5月中旬" + "quote_date": "5月13日" }, { - "name": "Scott Bessent", - "name_en": "Scott Bessent", - "role": "美国财政部长", - "quote": "年轻人去建筑工地然后买彩票,这让我抓狂", - "body": "Bessent在5月访华期间表示中国将利用其对伊朗影响力协助重开霍尔木兹海峡。他批评投机文化盛行并将金融素养列为优先事项。关于中美关系他强调\"互惠公平\"以恢复美国经济独立性,但也承认深度经济相互依存的现实。", + "name": "鲍威尔", + "name_en": "Jerome Powell", + "role": "美联储前主席", + "quote": "中东冲突增加经济不确定性,短期内能源价格将推高整体通胀", + "body": "鲍威尔在其任内最后一次记者会上表示,伊朗冲突的范围和持续时间对经济的影响尚不明确。美联储承认即使在降息150个基点后,货币政策仍保持适度紧缩。他强调需要看到更多通胀降温证据才会进一步降息。", "tags": [ - "#财政政策", - "#中美关系" + "#美联储", + "#通胀" ], - "initials": "SB", - "quote_date": "5月14日" + "initials": "JP", + "quote_date": "5月3日" + }, + { + "name": "杰米·戴蒙", + "name_en": "Jamie Dimon", + "role": "摩根大通CEO", + "quote": "在当前环境下,黄金可以轻松涨到1万美元", + "body": "戴蒙表示在地缘政治紧张和经济不确定性加剧的背景下,黄金作为避险资产的吸引力显著提升。尽管金价近期从高位回落,但过去12个月仍上涨超40%。他建议投资者在投资组合中配置适当比例的黄金以应对经济动荡。", + "tags": [ + "#黄金", + "#避险" + ], + "initials": "JD", + "quote_date": "5月初" } ], "news": [ { - "title": "Trump-Xi北京峰会成果低于预期,仅宣布200架波音订单", - "body": "5月14-15日Trump访华峰会结束,中方未确认美方宣称的波音订单(低于市场预期500架),波音股价周五跌超4%。双方对台湾、伊朗和贸易的表述存在重大分歧。习近平警告台湾问题处理不当将使美中关系\"陷入巨大危险\",并询问能否避免\"修昔底德陷阱\"。白宫强调贸易,北京强调台湾。", - "tldr": "持有波音或中概股的投资者需注意,峰会未能缓解结构性矛盾,中美关系仍处于战略竞争状态", - "url": "https://www.aljazeera.com/news/2026/5/15/trump-xi-summit-china-us-disagree-on-what-they-agreed-on", + "title": "特朗普-习近平北京峰会未达成重大突破,关税休战延期预期降温", + "body": "特朗普周三至周五访华与习近平举行峰会,随行16位顶级企业高管包括马斯克、库克和黄仁勋。会议涉及关税、AI沟通和伊朗战争等议题,但外界预期普遍谨慎。美国对华关税仍维持47.5%高位,中国对美关税为31.9%,双边贸易额从2022年峰值6900亿美元降至2025年约4150亿美元。市场预期将宣布关税休战延期和建立美中贸易委员会。", + "tldr": "峰会氛围友好但缺乏实质突破,持有中概股和对华敞口企业的投资者短期难见催化剂", "importance": "breaking", "tags": [ - "#中美", - "#地缘政治" + "#中美贸易", + "#关税" ] }, { - "title": "伊朗战争未获突破,油价冲击109美元,通胀担忧升温", - "body": "Brent原油周五触及109.26美元,WTI突破100美元。Trump称与习近平对伊朗\"感觉非常相似\",但未获实质承诺。霍尔木兹海峡封锁持续影响全球20%石油供应。10年期美债收益率升至4.59%为一年高点,市场重新定价Fed加息预期,CME工具显示2026年加息概率升至45%。", - "tldr": "油价上涨将推高通胀预期,美联储降息希望破灭,持有成长股和长久期债券的投资者面临压力", - "url": "https://www.cnbc.com/2026/05/14/stock-market-today-live-updates.html", + "title": "英伟达下周三盘后发布财报,市场预期78B美元营收和87B指引", + "body": "英伟达将于5月20日盘后发布2027财年一季度财报,华尔街预期营收780亿美元(同比增77%),更关键的是二季度指引预期约870亿美元。公司正从Blackwell架构过渡到Vera Rubin架构,高指引将证明AI需求在架构转换期仍持续增长。Meta和微软近期均上调2026年资本开支预期,但也在开发定制AI芯片以减少对英伟达依赖。", + "tldr": "英伟达财报是本周最大看点,AI基建支出加速但竞争加剧,建议关注指引而非当季业绩", "importance": "breaking", "tags": [ - "#通胀", - "#能源", - "#美联储" + "#英伟达", + "#AI", + "#财报" ] }, { - "title": "鲍威尔5月15日卸任,Kevin Warsh接任美联储主席", - "body": "鲍威尔8年任期结束,留下顽固高通胀遗产。4月最后一次FOMC会议出现1992年以来最多反对票(4票)。Warsh被视为更鹰派人选,市场担忧政策不确定性。鲍威尔强调为Warsh提供\"无缝过渡\",但Fed内部分歧凸显货币政策前景复杂。", - "tldr": "美联储换帅增加不确定性,新主席Warsh鹰派倾向可能意味着利率更长时间维持高位", - "url": "https://www.cnn.com/2026/04/29/business/live-news/federal-reserve-interest-rate", - "importance": "breaking", + "title": "美国10年期国债收益率升至4.59%,30年期达5.13%引发股市估值担忧", + "body": "周五全球债券市场遭遇抛售,10年期美债收益率升至4.59%,30年期收益率突破5.13%。收益率上升反映市场对持续高通胀和美联储可能长期维持高利率的担忧。伊朗战争推高能源价格加剧通胀压力,摩根大通经济学家预计美联储2026年余下时间将维持利率不变,并可能在2027年三季度加息。", + "tldr": "债券收益率飙升对高估值科技股构成压力,固定收益替代吸引力上升,建议降低久期风险", + "importance": "high", "tags": [ - "#美联储", + "#债券", "#利率" ] }, { - "title": "A股港股双双下挫,Trump峰会未能提振中国市场", - "body": "上证综指周五收跌1.02%至4135点,恒生指数重挫1.62%。尽管Trump-Xi峰会达成\"战略稳定\"框架,但缺乏实质性突破令投资者失望。北向资金本周净流出,中国企业对美出口和稀土供应仍是谈判筹码。分析师认为中国现在议价能力更强,美方让步空间有限。", - "tldr": "持有中概股、港股ETF或A股的北美投资者短期承压,关注政策刺激和资金流向", - "url": "https://tradingeconomics.com/china/stock-market", - "importance": "high", - "tags": [ - "#A股", - "#港股", - "#中美" - ] - }, - { - "title": "AI芯片股领跌,科技板块单日蒸发超3%市值", - "body": "Intel跌超6%,AMD和Micron分别跌5.7%和6.6%,Nvidia跌4.4%。AI新贵Cerebras上市次日暴跌10%(前日IPO首日涨68%)。投资者担忧7000亿美元AI资本支出能否转化为回报,OpenAI营收目标未达预期的报道加剧担忧。", - "tldr": "重仓科技股的投资者需要重新评估估值,AI泡沫担忧升温,注意风险管理", - "url": "https://www.cnbc.com/2026/05/14/stock-market-today-live-updates.html", - "importance": "high", - "tags": [ - "#科技", - "#AI", - "#半导体" - ] - }, - { - "title": "4月CPI同比升至3.8%,核心通胀粘性显现", - "body": "5月12日公布的4月CPI数据显示同比涨幅3.8%(预期3.4%),环比0.6%。能源贡献超40%涨幅,住房成本上升0.6%。核心CPI同比2.75%虽低于疫情前但环比0.38%仍显粘性。Cleveland Fed核心PCE预测约0.30%,全年通胀目标3%几无进展。", - "tldr": "通胀反弹打击降息预期,固定收益投资者面临收益率上行风险,实际利率仍为负不利黄金", - "url": "https://www.bls.gov/news.release/cpi.nr0.htm", + "title": "油价飙升超4%至每桶101美元,伊朗冲突持续推高通胀预期", + "body": "WTI原油周五大涨4.2%至101.02美元,布伦特原油涨至109.26美元,因伊朗战争持续且霍尔木兹海峡紧张局势加剧。过去12次经济衰退中有10次是由油价飙升引发。高盛预测若供应持续过剩,WTI均价可能降至52美元,但地缘风险使油价维持高位。能源成本上升正在侵蚀消费者购买力并推高整体通胀。", + "tldr": "油价持续高企增加经济衰退风险,能源板块短期受益,但对整体经济和消费构成压力", "importance": "high", "tags": [ + "#原油", "#通胀", - "#CPI", - "#宏观数据" + "#伊朗" ] }, { - "title": "比特币跌破8万美元,加密市场资金流出创2月以来最大", - "body": "比特币周五收于77,940美元,单周累跌约4%。美参议院银行委员会通过数字资产市场明确法案(15-9投票)短暂提振未能持续。分析师指出美债收益率飙升和风险偏好下降是主因,机构投资者ETF流出速度为2月以来最快。", - "tldr": "加密货币投资者需警惕宏观环境恶化带来的流动性冲击,比特币20万日均线支撑位关键", - "url": "https://www.coinbase.com/price/bitcoin", + "title": "市场波动率VIX指数升至18.43,连续两日上涨超6%", + "body": "CBOE波动率指数周五收于18.43,较前一交易日上涨6.78%,反映市场对短期风险的担忧上升。VIX从5月14日的17.26升至当前水平,正接近正常波动区间的上限(15-25)。历史上VIX突破20往往预示市场进入更高波动期。高盛分析师警告科技股'向上崩盘'后可能面临回调,尤其是在估值达到历史高位时。", + "tldr": "波动率上升警示短期风险加大,但尚未达到恐慌水平,可考虑分批建仓或对冲策略", "importance": "medium", "tags": [ - "#加密货币", - "#比特币" + "#VIX", + "#波动率" + ] + }, + { + "title": "凯文·沃什获确认接任美联储主席,5月15日正式上任", + "body": "参议院以51-45投票确认凯文·沃什为新任美联储主席,接替5月15日任期届满的鲍威尔。沃什在听证会上表示希望实施'政权更迭',可能采取更鹰派立场。市场担心其政策可能受政治考量影响。达利欧警告若沃什在当前环境下降息将损害美联储公信力,因通胀仍存在更多上行风险。", + "tldr": "美联储领导层交接完成,新主席偏鹰派可能延缓降息预期,对高估值成长股不利", + "importance": "high", + "tags": [ + "#美联储", + "#沃什" ] } ], "macro": [ { - "indicator": "CPI YoY (4月)", + "indicator": "CPI YoY", "value": "3.8%", "prev": "3.2%", "direction": "up", - "description": "同比涨幅超预期至3.8%,能源贡献超40%,住房成本上升显著" + "description": "4月消费者价格指数同比上涨3.8%,为2023年5月以来最高,超预期的3.7%,通胀意外反弹推迟降息预期" }, { - "indicator": "Core CPI YoY (4月)", - "value": "2.75%", + "indicator": "Core CPI YoY", + "value": "2.8%", "prev": "2.6%", "direction": "up", - "description": "核心通胀虽低于疫情前但环比0.38%显示粘性,服务业通胀回升" + "description": "核心CPI同比上涨2.8%,剔除食品和能源后通胀压力仍存,显示价格粘性较强" }, { - "indicator": "Core PCE (预测4月)", - "value": "~0.30% MoM", - "prev": "0.29%", + "indicator": "非农就业", + "value": "115,000", + "prev": "185,000", + "direction": "down", + "description": "4月新增就业11.5万人,超预期但较3月大幅放缓,劳动力市场显示降温迹象" + }, + { + "indicator": "失业率", + "value": "3.7%", + "prev": "3.7%", "direction": "neutral", - "description": "分析师预测环比0.30%,略高于3月,Fed密切关注的指标" + "description": "失业率维持3.7%不变,但持续申领失业救济人数升至178万人,就业市场进入低雇佣低解雇状态" }, { - "indicator": "Empire State制造业指数 (5月)", + "indicator": "零售销售MoM", + "value": "+0.5%", + "prev": "+1.9%", + "direction": "down", + "description": "4月零售销售环比增长0.5%,符合预期但较3月大幅放缓,剔除汽车后增长0.7%,能源成本上涨推高加油站销售2.8%" + }, + { + "indicator": "进口价格MoM", + "value": "+1.9%", + "prev": "+0.9%", + "direction": "up", + "description": "进口价格环比大涨1.9%,同比上涨4.2%为2022年10月以来最高,能源相关成本飙升是主因" + }, + { + "indicator": "Empire制造业指数", "value": "19.6", - "prev": "11.0", + "prev": "7.0", "direction": "up", - "description": "大超预期6.2,为2022年4月以来最高,显示制造业活动强劲" + "description": "5月纽约州制造业指数跃升至19.6,大幅超预期7.0,为2022年4月以来最高,显示制造业活动改善" }, { - "indicator": "10年期美债收益率", - "value": "4.59%", - "prev": "4.50%", - "direction": "up", - "description": "升至一年高点,反映通胀担忧和加息预期升温" - }, - { - "indicator": "30年期美债收益率", - "value": "5.13%", - "prev": "5.00%", - "direction": "up", - "description": "触及2007年以来最高收盘价,长端利率压力显著" - }, - { - "indicator": "美元指数 DXY", - "value": "101.2", - "prev": "100.9", - "direction": "up", - "description": "避险需求和利率上升推动美元走强,离岸人民币承压" + "indicator": "密歇根消费者信心", + "value": "预估中", + "prev": "待定", + "direction": "neutral", + "description": "5月密歇根消费者信心指数待发布,市场关注通胀预期和消费者对经济前景的看法" } ], "earnings": [ { - "company": "Cisco Systems", - "ticker": "CSCO", - "report_date": "2026-05-14", - "eps_actual": "1.08", - "eps_est": "1.02", - "beat": true, - "revenue": "$16.8B", - "highlight": "Q4指引16.7-16.9亿远超预期15.8亿,宣布裁员4000人(5%)聚焦AI时代,股价暴涨13-15%" - }, - { - "company": "Applied Materials", - "ticker": "AMAT", - "report_date": "2026-05-14", - "eps_actual": "2.86", - "eps_est": "2.75", - "beat": true, - "revenue": "$7.91B", - "highlight": "半导体设备需求强劲,财季Q2业绩超预期,盘后涨约2%" - }, - { - "company": "Cerebras Systems", - "ticker": "CBRS", - "report_date": "IPO 2026-05-14", - "eps_actual": "N/A", - "eps_est": "N/A", + "company": "英伟达", + "ticker": "NVDA", + "report_date": "2026-05-20", + "eps_actual": "预计", + "eps_est": "预计", "beat": null, - "revenue": "$500M+ (2025)", - "highlight": "IPO定价185美元开盘350涨89%,首日收311美元市值近千亿,次日跌10%" + "revenue": "$78B预期", + "highlight": "市场预期营收780亿美元,更关键是二季度指引约870亿美元,黄仁勋透露Blackwell和Rubin系统通过2027年有至少1万亿美元订单需求" }, { - "company": "Figma", - "ticker": "FIG", - "report_date": "2026-05-15", - "eps_actual": "N/A", - "eps_est": "N/A", + "company": "苹果", + "ticker": "AAPL", + "report_date": "2026-04-30", + "eps_actual": "1.53", + "eps_est": "1.50", "beat": true, - "revenue": "$1.42-1.43B", - "highlight": "上调2026全年营收指引至14.2-14.3亿(前值13.6-13.7亿),股价涨9%" + "revenue": "$90.8B", + "highlight": "服务收入创历史新高,宣布1100亿美元回购计划,但iPhone营收连续第二季度不及预期" }, { - "company": "Alphabet", - "ticker": "GOOGL", - "report_date": "2026 Q1", + "company": "思科", + "ticker": "CSCO", + "report_date": "2026-05-13", "eps_actual": "超预期", - "eps_est": "N/A", + "eps_est": "预期", "beat": true, - "revenue": "$109.9B", - "highlight": "营收同比增22%,云业务加速增长,重新进入标普500涨幅前100名" + "revenue": "超预期", + "highlight": "三季度业绩和指引均超华尔街预期,宣布裁员近4000人,股价暴涨13%" + }, + { + "company": "特斯拉", + "ticker": "TSLA", + "report_date": "2026-04-22", + "eps_actual": "0.41", + "eps_est": "0.35", + "beat": true, + "revenue": "$22.39B", + "highlight": "营收略低于预期但盈利超预期15.87%,马斯克宣布将大幅增加AI投资,Optimus机器人和Robotaxi服务进展积极" + }, + { + "company": "本田汽车", + "ticker": "HMC", + "report_date": "2026-05-14", + "eps_actual": "亏损", + "eps_est": "盈利", + "beat": false, + "revenue": "下降", + "highlight": "70多年来首次季度亏损,EV相关损失达100亿美元,但公司重新聚焦混合动力车型,前景指引乐观" } ], "sectors": [ @@ -370,57 +342,49 @@ "name": "能源", "name_en": "Energy", "etf": "XLE", - "change_pct": "+1.45%", + "change_pct": "+1.29%", "direction": "up", - "note": "唯一上涨板块,受益于油价突破100美元" + "note": "伊朗战争推高油价,能源股周五逆势上涨,自冲突爆发以来表现优异" }, { "name": "科技", "name_en": "Technology", "etf": "XLK", - "change_pct": "-1.50%", + "change_pct": "-1.51%", "direction": "down", - "note": "半导体领跌,AI泡沫担忧升温" - }, - { - "name": "通讯服务", - "name_en": "Communication Services", - "etf": "XLC", - "change_pct": "-0.84%", - "direction": "down", - "note": "Meta和Alphabet拖累,广告需求担忧" - }, - { - "name": "可选消费", - "name_en": "Consumer Discretionary", - "etf": "XLY", - "change_pct": "-1.89%", - "direction": "down", - "note": "Tesla跌幅扩大,消费者信心受高油价打击" - }, - { - "name": "工业", - "name_en": "Industrials", - "etf": "XLI", - "change_pct": "-2.16%", - "direction": "down", - "note": "波音订单不及预期拖累板块" - }, - { - "name": "医疗保健", - "name_en": "Healthcare", - "etf": "XLV", - "change_pct": "-1.26%", - "direction": "down", - "note": "Q1财报季唯一业绩下滑板块" + "note": "周五获利回吐压力显现,英特尔跌超6%,AMD和美光分别跌5.7%和6.6%" }, { "name": "金融", "name_en": "Financials", "etf": "XLF", - "change_pct": "-0.63%", + "change_pct": "-0.81%", "direction": "down", - "note": "收益率曲线陡峭化利好有限" + "note": "债券收益率上升对银行净息差有利,但经济不确定性增加抑制涨幅" + }, + { + "name": "医疗", + "name_en": "Healthcare", + "etf": "XLV", + "change_pct": "-1.23%", + "direction": "down", + "note": "防御性板块周五跟随大盘回调,但技术进步和运营效率提升支撑中期前景" + }, + { + "name": "工业", + "name_en": "Industrials", + "etf": "XLI", + "change_pct": "-2.18%", + "direction": "down", + "note": "受益AI基础设施建设和国防支出,但周五受大盘拖累,波音因中国订单不及预期跌3.7%" + }, + { + "name": "非必需消费", + "name_en": "Consumer Discretionary", + "etf": "XLY", + "change_pct": "-2.01%", + "direction": "down", + "note": "零售ETF本周跌超6%,消费者支出放缓担忧加剧,Target、Walmart等下周财报成焦点" }, { "name": "必需消费", @@ -428,288 +392,296 @@ "etf": "XLP", "change_pct": "-0.27%", "direction": "down", - "note": "防御性板块跌幅最小" + "note": "防御性板块表现相对抗跌,食品和家庭用品需求稳定" }, { - "name": "基础材料", - "name_en": "Materials", - "etf": "XLB", - "change_pct": "-4.04%", + "name": "通信服务", + "name_en": "Communication Services", + "etf": "XLC", + "change_pct": "-0.84%", "direction": "down", - "note": "贵金属暴跌拖累,铜价高位回落" - }, - { - "name": "房地产", - "name_en": "Real Estate", - "etf": "XLRE", - "change_pct": "-1.26%", - "direction": "down", - "note": "利率上升压制估值" + "note": "基本面良好但估值偏高,市场担忧高AI支出和广告市场潜在干扰" }, { "name": "公用事业", "name_en": "Utilities", "etf": "XLU", - "change_pct": "-2.25%", + "change_pct": "-2.92%", "direction": "down", - "note": "利率敏感板块承压" + "note": "AI数据中心电力需求强劲,但利率上升对资本密集型行业不利" + }, + { + "name": "房地产", + "name_en": "Real Estate", + "etf": "XLRE", + "change_pct": "-1.25%", + "direction": "down", + "note": "利率预期上升和办公地产结构性压力持续拖累板块表现" + }, + { + "name": "材料", + "name_en": "Materials", + "etf": "XLB", + "change_pct": "-3.53%", + "direction": "down", + "note": "铜价冲高至6.46美元后回落,材料股周五领跌,AI基建需求支撑中期前景" } ], "central_banks": [ { "bank": "美联储", "bank_en": "Federal Reserve", - "action": "4月维持利率3.50-3.75%不变", - "next_meeting": "2026-06-17", + "action": "维持利率3.50-3.75%不变", + "next_meeting": "2026-06-18", "rate": "3.50-3.75%", "bias": "hawkish", - "note": "鲍威尔5月15日卸任,Warsh接任。市场预期2026年加息概率升至45%,降息希望破灭" - }, - { - "bank": "中国人民银行", - "bank_en": "People's Bank of China", - "action": "5月维持MLF利率2.50%和LPR不变", - "next_meeting": "2026-06-15", - "rate": "MLF 2.50%, LPR 3.45%", - "bias": "neutral", - "note": "Trump峰会后暂未宣布刺激政策,关注稀土和贸易谈判进展" + "note": "新任主席沃什上任,鲍威尔强调伊朗冲突增加不确定性,短期能源价格将推高通胀,摩根大通预计2026年维持不变,2027年可能加息" }, { "bank": "欧洲央行", "bank_en": "European Central Bank", - "action": "4月维持存款便利利率2.50%", + "action": "维持利率不变", "next_meeting": "2026-06-06", "rate": "2.50%", - "bias": "dovish", - "note": "欧元区增长疲软,ECB倾向继续降息路径" + "bias": "neutral", + "note": "欧央行认为已达到'好位置',通胀接近2%且增长为正,进一步降息门槛很高,预计2026年维持当前利率" }, { - "bank": "日本银行", + "bank": "中国人民银行", + "bank_en": "People's Bank of China", + "action": "保持宽松立场", + "next_meeting": "季度会议", + "rate": "LPR 1年期3.35%", + "bias": "dovish", + "note": "尽管经济表现好于预期,但为确保稳定增长,预计2026年降息20个基点,降准100个基点,银行净息差收窄限制降息空间" + }, + { + "bank": "日本央行", "bank_en": "Bank of Japan", - "action": "3月加息至0.25-0.50%", - "next_meeting": "2026-06-13", - "rate": "0.25-0.50%", + "action": "持续加息路径", + "next_meeting": "2026-06-14", + "rate": "0.50%", "bias": "hawkish", - "note": "日元兑美元跌至160附近,市场分歧BOJ是否进一步加息" + "note": "持续2%通胀和高于潜在增速的GDP增长支撑加息,基准预期政策利率到2026年底达1.0%,但若政治因素介入可能放缓" } ], "calendar": [ { - "date": "周一 5/19", - "time_et": "全天", - "event": "美国市场因Memorial Day前夕休市", - "impact": "low", - "previous": "N/A", - "forecast": "N/A" + "date": "周二 5/20", + "time_et": "盘后", + "event": "英伟达Q1财报", + "impact": "high", + "previous": "684亿", + "forecast": "780亿营收" }, { "date": "周二 5/20", - "time_et": "10:00 AM ET", - "event": "美国4月成屋销售", + "time_et": "盘前", + "event": "家得宝财报", "impact": "medium", - "previous": "419万套", - "forecast": "425万套" + "previous": "EPS $3.25", + "forecast": "EPS $3.40" }, { "date": "周三 5/21", - "time_et": "10:00 AM ET", - "event": "美国4月新屋销售", - "impact": "medium", - "previous": "69.3万套", - "forecast": "71万套" - }, - { - "date": "周三 5/21", - "time_et": "2:00 PM ET", - "event": "美联储4月会议纪要公布", + "time_et": "盘前", + "event": "Target财报", "impact": "high", - "previous": "N/A", - "forecast": "关注对通胀和加息的讨论" + "previous": "EPS $2.10", + "forecast": "EPS $2.05" + }, + { + "date": "周三 5/21", + "time_et": "10:00 AM", + "event": "4月成屋销售", + "impact": "medium", + "previous": "456万套", + "forecast": "460万套" }, { "date": "周四 5/22", - "time_et": "8:30 AM ET", - "event": "美国首次申请失业救济人数", + "time_et": "盘前", + "event": "沃尔玛财报", + "impact": "high", + "previous": "EPS $1.80", + "forecast": "EPS $1.85" + }, + { + "date": "周四 5/22", + "time_et": "8:30 AM", + "event": "首次申请失业救济", "impact": "medium", "previous": "21.1万", "forecast": "21.5万" }, { - "date": "周四 5/22", - "time_et": "9:45 AM ET", - "event": "美国5月PMI初值", + "date": "周五 5/23", + "time_et": "9:45 AM", + "event": "5月PMI初值", "impact": "high", - "previous": "制造业50.2 服务业51.3", - "forecast": "制造业50.5 服务业51.8" + "previous": "制造业50.9", + "forecast": "51.2" }, { "date": "周五 5/23", - "time_et": "8:30 AM ET", - "event": "美国4月耐用品订单", + "time_et": "10:00 AM", + "event": "4月新屋销售", "impact": "medium", - "previous": "+1.2%", - "forecast": "+0.8%" - }, - { - "date": "周三 5/28", - "time_et": "8:30 AM ET", - "event": "美国4月核心PCE物价指数", - "impact": "high", - "previous": "3.2% YoY", - "forecast": "3.3% YoY" + "previous": "69.3万套", + "forecast": "71.0万套" } ], "watchlist_analysis": [ { "ticker": "NVDA", "name": "英伟达", - "price": "870.50", + "price": "225.39", "change_pct": "-4.4%", "direction": "down", "signal": "HOLD", - "score": 68, - "conclusion": "短期超买回调,长期AI逻辑未变", - "key_driver": "AI资本支出7000亿美元支撑需求,但OpenAI营收未达标引发担忧", - "target_up": "950", - "target_down": "820", - "risk_level": "medium", - "action": "当前PE约40倍仍合理,回调至50日均线850附近可加仓,上方950阻力", + "score": 72, + "conclusion": "财报前获利回吐,等待5/20指引", + "key_driver": "AI需求持续但架构转换期存在不确定性,二季度指引870亿美元预期是关键", + "target_up": "250", + "target_down": "210", + "risk_level": "high", + "action": "财报前观望,若指引超预期可在回调时加仓,200日均线217美元附近为强支撑", "tags": [ "#AI", - "#半导体" + "#财报周" ] }, { "ticker": "QQQ", - "name": "纳斯达克100 ETF", - "price": "485.20", - "change_pct": "-1.54%", + "name": "纳斯达克100ETF", + "price": "709.75", + "change_pct": "-1.7%", "direction": "down", "signal": "HOLD", - "score": 65, - "conclusion": "科技股回调但趋势完好", - "key_driver": "Mag 7占比过高(约40%)导致集中度风险,但Q1财报季84%公司超预期", - "target_up": "510", - "target_down": "465", + "score": 68, + "conclusion": "高位回调但长期趋势完好", + "key_driver": "科技股集中度达历史高位,Mag7占比过高增加波动,但AI基建支出加速支撑中期", + "target_up": "730", + "target_down": "680", "risk_level": "medium", - "action": "连续7周上涨后获利回吐正常,支撑位465附近分批买入", + "action": "52周高点714附近遇阻,可在700下方分批布局,关注英伟达财报对整体科技板块影响", "tags": [ - "#科技", - "#ETF" + "#科技ETF", + "#AI" ] }, { "ticker": "SPY", - "name": "标普500 ETF", + "name": "标普500ETF", "price": "740.85", - "change_pct": "-1.24%", + "change_pct": "-1.2%", "direction": "down", "signal": "HOLD", - "score": 70, - "conclusion": "大盘健康回调,牛市未结束", - "key_driver": "Q1盈利增长21%,前瞻PE 21倍略高于历史但盈利增长支撑", - "target_up": "775", + "score": 65, + "conclusion": "估值偏高需警惕回调风险", + "key_driver": "席勒PE达42倍为历史第二高,债券收益率上升降低股票相对吸引力,但企业盈利增长仍强劲", + "target_up": "755", "target_down": "710", - "risk_level": "low", - "action": "7450-7500阻力区回落正常,7030支撑强劲,适合长线持有", + "risk_level": "medium", + "action": "短期维持防守,可配置20%现金应对波动,长期投资者在730下方可分批定投", "tags": [ - "#大盘", - "#ETF" + "#大盘ETF", + "#高估值" ] }, { "ticker": "BTC-USD", "name": "比特币", - "price": "77,940", - "change_pct": "-0.98%", + "price": "78,233.58", + "change_pct": "-1.1%", "direction": "down", "signal": "SELL", - "score": 42, - "conclusion": "跌破8万关键支撑,趋势转弱", - "key_driver": "美债收益率飙升增加持有成本,机构ETF流出创2月来最大", - "target_up": "85,000", - "target_down": "70,000", + "score": 45, + "conclusion": "下跌趋势未完成需谨慎", + "key_driver": "艾略特波浪分析显示下跌结构未完成,若突破95,000美元才考虑反转,当前在7.8万阻力位挣扎", + "target_up": "82,000", + "target_down": "72,000", "risk_level": "high", - "action": "跌破200日均线约8.2万,建议减仓或止损,下行看7万美元", + "action": "建议观望或减持,若跌破75,000美元可能进一步测试70,000支撑,等待明确反转信号", "tags": [ "#加密货币", - "#比特币" + "#下跌趋势" ] }, { "ticker": "510300.SS", - "name": "沪深300 ETF", - "price": "3.85", - "change_pct": "-1.1%", + "name": "沪深300ETF", + "price": "4.12", + "change_pct": "-1.0%", "direction": "down", "signal": "HOLD", "score": 58, - "conclusion": "Trump峰会未提振,等待政策", - "key_driver": "Q1 GDP增5%超预期,但房地产和失业率仍是隐忧", - "target_up": "4.20", - "target_down": "3.60", + "conclusion": "跟随外围回调但估值合理", + "key_driver": "A股整体估值较美股更具吸引力,但消费疲软和房地产结构性问题制约反弹空间,政策支持力度是关键", + "target_up": "4.35", + "target_down": "3.95", "risk_level": "medium", - "action": "估值便宜但催化剂不足,3.6元附近可考虑左侧布局,关注财政刺激", + "action": "适合长期定投配置,关注人民银行进一步宽松政策,4.0元下方为较好买入区间", "tags": [ "#A股", - "#ETF" + "#价值洼地" ] }, { "ticker": "GC=F", "name": "黄金期货", - "price": "4,558", - "change_pct": "-2.68%", + "price": "4,561.90", + "change_pct": "-2.6%", "direction": "down", "signal": "BUY", - "score": 72, - "conclusion": "超跌后或迎反弹机会", - "key_driver": "美债收益率和美元走强打压,但地缘风险和央行购金支撑长期", - "target_up": "4,750", - "target_down": "4,450", + "score": 75, + "conclusion": "回调提供配置机会", + "key_driver": "尽管短期因伊朗战争回落,但过去12个月仍涨超40%,美国债务扩张和地缘风险支撑长期牛市,美银目标价5000美元", + "target_up": "5,000", + "target_down": "4,400", "risk_level": "low", - "action": "连续四日下跌后超卖,4500-4550区间分批建仓,长期看涨至5000+", + "action": "4500-4600美元区间为买入良机,建议配置5-10%投资组合作为避险和通胀对冲", "tags": [ - "#贵金属", + "#黄金", "#避险" ] }, { "ticker": "CL=F", - "name": "WTI原油期货", - "price": "100.45", - "change_pct": "+3.64%", + "name": "WTI原油", + "price": "101.02", + "change_pct": "+4.2%", "direction": "up", "signal": "HOLD", - "score": 75, - "conclusion": "地缘溢价推升,但需警惕反转", - "key_driver": "伊朗战争和霍尔木兹海峡封锁推动,但经济放缓可能抑制需求", + "score": 62, + "conclusion": "地缘溢价支撑但存下行风险", + "key_driver": "伊朗冲突推高油价至100美元上方,但若冲突缓和或OPEC+增产,高盛预计可能跌至52美元,过去10次衰退中10次由油价飙升引发", "target_up": "110", - "target_down": "92", + "target_down": "85", "risk_level": "high", - "action": "突破100美元关口后追高风险大,建议轻仓或用期权对冲", + "action": "不建议追高,若和平进展油价可能快速回落,短期交易为主避免长期持有", "tags": [ - "#能源", - "#大宗商品" + "#原油", + "#地缘" ] }, { "ticker": "TSLA", "name": "特斯拉", - "price": "235.80", - "change_pct": "-3.2%", + "price": "422.30", + "change_pct": "-4.7%", "direction": "down", "signal": "HOLD", "score": 55, - "conclusion": "估值仍高,等待更好入场点", - "key_driver": "Musk随Trump访华提振情绪,但Q1交付量下滑和竞争加剧是隐忧", - "target_up": "280", - "target_down": "210", + "conclusion": "转型AI和机器人但估值极高", + "key_driver": "马斯克宣布大幅增加AI投资支持Optimus机器人和Robotaxi,但EV销售疲软持续,178倍远期市盈率反映高预期,执行风险大", + "target_up": "480", + "target_down": "380", "risk_level": "high", - "action": "PE仍超60倍,等待回调至220以下或Q2财报超预期再入场", + "action": "仅适合激进投资者,若Robotaxi或Optimus项目遇挫股价可能暴跌,建议控制仓位不超过5%", "tags": [ "#电动车", - "#Musk" + "#AI转型" ] } ], @@ -717,59 +689,60 @@ "subject": "标普500 本周展望", "bull_case": [ { - "point": "Q1财报季84%公司超预期,盈利增21%强劲", + "point": "英伟达财报可能超预期,AI基建支出加速", "confidence": "high" }, { - "point": "Fed会议纪要或显示加息概率被高估", - "confidence": "medium" + "point": "企业盈利增长强劲,一季度财报季整体超预期", + "confidence": "high" }, { - "point": "技术面7030支撑强劲,RSI超卖待反弹", + "point": "技术面7400点获支撑,VIX未达恐慌水平", "confidence": "medium" } ], "bear_case": [ { - "point": "油价破百推升通胀,降息预期彻底破灭", + "point": "席勒PE达42倍历史第二高,估值泡沫风险", "confidence": "high" }, { - "point": "10年期美债收益率4.6%侵蚀股票相对吸引力", + "point": "债券收益率突破4.6%降低股票吸引力", "confidence": "high" }, { - "point": "Trump峰会未达预期,地缘风险溢价回归", + "point": "油价高企和通胀反弹推迟降息削弱流动性", "confidence": "medium" } ], - "verdict": "短期偏空但不改中期牛市。油价和收益率冲击带来波动,但盈利增长21%和AI投资7000亿美元构成基本面支撑。建议轻仓观望本周,等待7030-7100区间企稳后逢低布局,目标7700", - "verdict_lean": "neutral" + "verdict": "短期谨慎偏空,建议降低仓位至75%并持有15-20%现金。等待英伟达财报和下周零售财报季明朗化,7300点下方可分批加仓优质科技股和防御板块。中长期AI主题未变,但需防范5-10%技术性回调。", + "verdict_lean": "bearish" }, "market_replay": { "us": { "date": "2026年5月15日", - "advance": "1,820", - "decline": "3,240", + "advance": "1820", + "decline": "3240", "new_high": "45", "new_low": "128", "top_sectors": [ - "能源" + "能源", + "必需消费" ], - "hot_stock": "Cisco Systems +13.2%", - "volume_note": "成交量放大15%,恐慌性抛售特征明显", - "summary": "科技股崩盘拖累大盘,能源一枝独秀" + "hot_stock": "思科+13%(财报超预期)", + "volume_note": "成交量略高于平均水平,反映获利回吐压力", + "summary": "三大指数齐跌,跌多涨少,科技股领跌芯片全线回调" }, "cn": { - "date": "2026年5月15日", - "sh_index": "4,135.39", + "date": "2026年5月16日", + "sh_index": "4135.39", "sh_change": "-1.02%", - "advance": "1,500", - "decline": "2,800", - "net_inflow": "-38亿", - "hot_sector": "军工", - "hot_stock": "中国船舶 +5.8%", - "summary": "Trump峰会未提振,北向资金流出" + "advance": "1500", + "decline": "2800", + "net_inflow": "-45亿", + "hot_sector": "光伏概念逆势活跃", + "hot_stock": "蒙娜丽莎6连板(装饰材料)", + "summary": "沪指失守4200点,外资流出创业板相对抗跌" } } } \ No newline at end of file diff --git a/feed.xml b/feed.xml index 8486ce4..323b5f4 100644 --- a/feed.xml +++ b/feed.xml @@ -5,53 +5,47 @@ 每日全球金融市场摘要,由 Claude AI + Web Search 自动生成 https://your-username.github.io/finance-daily-site/ zh-CN - Sat, 16 May 2026 13:14:58 +0000 + Sun, 17 May 2026 13:11:55 +0000 - 金融日报 2026年5月16日 + 金融日报 2026年5月17日 今日金融市场摘要已更新 - Sat, 16 May 2026 13:14:58 +0000 + Sun, 17 May 2026 13:11:55 +0000 - Trump-Xi北京峰会成果低于预期,仅宣布200架波音订单 - 5月14-15日Trump访华峰会结束,中方未确认美方宣称的波音订单(低于市场预期500架),波音股价周五跌超4%。双方对台湾、伊朗和贸易的表述存在重大分歧。习近平警告台湾问题处理不当将使美中关系"陷入巨大危险",并询问能否避免"修昔底德陷阱"。白宫强调贸易,北京强调台湾。 - https://www.aljazeera.com/news/2026/5/15/trump-xi-summit-china-us-disagree-on-what-they-agreed-on - Sat, 16 May 2026 13:14:58 +0000 + 特朗普-习近平北京峰会未达成重大突破,关税休战延期预期降温 + 特朗普周三至周五访华与习近平举行峰会,随行16位顶级企业高管包括马斯克、库克和黄仁勋。会议涉及关税、AI沟通和伊朗战争等议题,但外界预期普遍谨慎。美国对华关税仍维持47.5%高位,中国对美关税为31.9%,双边贸易额从2022年峰值6900亿美元降至2025年约4150亿美元。市场预期将宣布关税休战延期和建立美中贸易委员会。 + + Sun, 17 May 2026 13:11:55 +0000 - 伊朗战争未获突破,油价冲击109美元,通胀担忧升温 - Brent原油周五触及109.26美元,WTI突破100美元。Trump称与习近平对伊朗"感觉非常相似",但未获实质承诺。霍尔木兹海峡封锁持续影响全球20%石油供应。10年期美债收益率升至4.59%为一年高点,市场重新定价Fed加息预期,CME工具显示2026年加息概率升至45%。 - https://www.cnbc.com/2026/05/14/stock-market-today-live-updates.html - Sat, 16 May 2026 13:14:58 +0000 + 英伟达下周三盘后发布财报,市场预期78B美元营收和87B指引 + 英伟达将于5月20日盘后发布2027财年一季度财报,华尔街预期营收780亿美元(同比增77%),更关键的是二季度指引预期约870亿美元。公司正从Blackwell架构过渡到Vera Rubin架构,高指引将证明AI需求在架构转换期仍持续增长。Meta和微软近期均上调2026年资本开支预期,但也在开发定制AI芯片以减少对英伟达依赖。 + + Sun, 17 May 2026 13:11:55 +0000 - 鲍威尔5月15日卸任,Kevin Warsh接任美联储主席 - 鲍威尔8年任期结束,留下顽固高通胀遗产。4月最后一次FOMC会议出现1992年以来最多反对票(4票)。Warsh被视为更鹰派人选,市场担忧政策不确定性。鲍威尔强调为Warsh提供"无缝过渡",但Fed内部分歧凸显货币政策前景复杂。 - https://www.cnn.com/2026/04/29/business/live-news/federal-reserve-interest-rate - Sat, 16 May 2026 13:14:58 +0000 + 美国10年期国债收益率升至4.59%,30年期达5.13%引发股市估值担忧 + 周五全球债券市场遭遇抛售,10年期美债收益率升至4.59%,30年期收益率突破5.13%。收益率上升反映市场对持续高通胀和美联储可能长期维持高利率的担忧。伊朗战争推高能源价格加剧通胀压力,摩根大通经济学家预计美联储2026年余下时间将维持利率不变,并可能在2027年三季度加息。 + + Sun, 17 May 2026 13:11:55 +0000 - A股港股双双下挫,Trump峰会未能提振中国市场 - 上证综指周五收跌1.02%至4135点,恒生指数重挫1.62%。尽管Trump-Xi峰会达成"战略稳定"框架,但缺乏实质性突破令投资者失望。北向资金本周净流出,中国企业对美出口和稀土供应仍是谈判筹码。分析师认为中国现在议价能力更强,美方让步空间有限。 - https://tradingeconomics.com/china/stock-market - Sat, 16 May 2026 13:14:58 +0000 + 油价飙升超4%至每桶101美元,伊朗冲突持续推高通胀预期 + WTI原油周五大涨4.2%至101.02美元,布伦特原油涨至109.26美元,因伊朗战争持续且霍尔木兹海峡紧张局势加剧。过去12次经济衰退中有10次是由油价飙升引发。高盛预测若供应持续过剩,WTI均价可能降至52美元,但地缘风险使油价维持高位。能源成本上升正在侵蚀消费者购买力并推高整体通胀。 + + Sun, 17 May 2026 13:11:55 +0000 - AI芯片股领跌,科技板块单日蒸发超3%市值 - Intel跌超6%,AMD和Micron分别跌5.7%和6.6%,Nvidia跌4.4%。AI新贵Cerebras上市次日暴跌10%(前日IPO首日涨68%)。投资者担忧7000亿美元AI资本支出能否转化为回报,OpenAI营收目标未达预期的报道加剧担忧。 - https://www.cnbc.com/2026/05/14/stock-market-today-live-updates.html - Sat, 16 May 2026 13:14:58 +0000 + 市场波动率VIX指数升至18.43,连续两日上涨超6% + CBOE波动率指数周五收于18.43,较前一交易日上涨6.78%,反映市场对短期风险的担忧上升。VIX从5月14日的17.26升至当前水平,正接近正常波动区间的上限(15-25)。历史上VIX突破20往往预示市场进入更高波动期。高盛分析师警告科技股'向上崩盘'后可能面临回调,尤其是在估值达到历史高位时。 + + Sun, 17 May 2026 13:11:55 +0000 - 4月CPI同比升至3.8%,核心通胀粘性显现 - 5月12日公布的4月CPI数据显示同比涨幅3.8%(预期3.4%),环比0.6%。能源贡献超40%涨幅,住房成本上升0.6%。核心CPI同比2.75%虽低于疫情前但环比0.38%仍显粘性。Cleveland Fed核心PCE预测约0.30%,全年通胀目标3%几无进展。 - https://www.bls.gov/news.release/cpi.nr0.htm - Sat, 16 May 2026 13:14:58 +0000 - - - 比特币跌破8万美元,加密市场资金流出创2月以来最大 - 比特币周五收于77,940美元,单周累跌约4%。美参议院银行委员会通过数字资产市场明确法案(15-9投票)短暂提振未能持续。分析师指出美债收益率飙升和风险偏好下降是主因,机构投资者ETF流出速度为2月以来最快。 - https://www.coinbase.com/price/bitcoin - Sat, 16 May 2026 13:14:58 +0000 + 凯文·沃什获确认接任美联储主席,5月15日正式上任 + 参议院以51-45投票确认凯文·沃什为新任美联储主席,接替5月15日任期届满的鲍威尔。沃什在听证会上表示希望实施'政权更迭',可能采取更鹰派立场。市场担心其政策可能受政治考量影响。达利欧警告若沃什在当前环境下降息将损害美联储公信力,因通胀仍存在更多上行风险。 + + Sun, 17 May 2026 13:11:55 +0000 diff --git a/index.html b/index.html index d4f5806..7c87999 100644 --- a/index.html +++ b/index.html @@ -528,19 +528,14 @@
▼ -1.24%
-
道琼斯工业平均
-
49,526.17
-
▼ -1.07%
-
-
-
纳斯达克综合
+
纳斯达克
26,225.15
▼ -1.54%
-
罗素2000
-
2,793.30
-
▼ -2.44%
+
道琼斯
+
49,526.17
+
▼ -1.07%
上证综指
@@ -564,33 +559,28 @@
黄金现货
-
4,558
-
▼ -2.68%
+
4,561.90
+
▼ -2.63%
WTI原油
-
100.45
-
▲ +3.64%
-
-
-
Brent原油
-
109.26
-
▲ +3.35%
+
101.02
+
▲ +4.20%
比特币
-
77,940.79
-
▼ -0.98%
+
78,233.58
+
▼ -1.07%
美元指数
-
101.2
-
▲ +0.3%
+
99.21
+
▲ +0.49%
离岸人民币
-
7.24
-
▼ +0.3%
+
6.8139
+
▼ +0.40%
@@ -602,19 +592,14 @@
▼ -1.24%
-
道琼斯工业平均
-
49,526.17
-
▼ -1.07%
-
-
-
纳斯达克综合
+
纳斯达克
26,225.15
▼ -1.54%
-
罗素2000
-
2,793.30
-
▼ -2.44%
+
道琼斯
+
49,526.17
+
▼ -1.07%
上证综指
@@ -638,33 +623,28 @@
黄金现货
-
4,558
-
▼ -2.68%
+
4,561.90
+
▼ -2.63%
WTI原油
-
100.45
-
▲ +3.64%
-
-
-
Brent原油
-
109.26
-
▲ +3.35%
+
101.02
+
▲ +4.20%
比特币
-
77,940.79
-
▼ -0.98%
+
78,233.58
+
▼ -1.07%
美元指数
-
101.2
-
▲ +0.3%
+
99.21
+
▲ +0.49%
离岸人民币
-
7.24
-
▼ +0.3%
+
6.8139
+
▼ +0.40%
@@ -675,16 +655,16 @@
-
+
- 🔴 看空 · Bearish + 🟡 中性 · Neutral VIX 18.43
-
美股回落油价飙升,Trump-Xi峰会未达预期
-
  • 标普500收跌1.24%至7408点
  • Trump-Xi峰会低于预期
  • 油价飙升至109美元推升通胀
+
美股周五回调VIX升至18.4,特朗普习近平峰会未获重大突破
+
  • 特朗普访华未获突破
  • 美债收益率升至4.59%
  • 英伟达下周三财报
深度解读 ▸ -
周五美股三大指数下跌1%以上,国债收益率升至一年高点,VIX恐慌指数飙升6.8%。特朗普访华峰会仅宣布200架波音订单远低预期,伊朗战争未获突破,Brent原油冲上109美元。对北美华人投资者而言,持有美股和中概股需警惕地缘风险溢价回归,离岸人民币汇率和A股也承压。
+
标普500指数周五收跌1.24%至7408点,结束连续创新高走势,因特朗普-习近平北京峰会未带来重大贸易突破,10年期美债收益率升至4.59%引发估值担忧。能源板块受益油价上涨,科技股获利回吐压力加大。对北美华人投资者而言,短期需警惕高估值回调风险,但AI基建需求和英伟达下周财报仍是关键看点。
@@ -835,92 +815,79 @@ - @@ -1097,46 +1064,52 @@
-
CPI YoY (4月)
+
CPI YoY
3.8%
前值: 3.2%
-
同比涨幅超预期至3.8%,能源贡献超40%,住房成本上升显著
+
4月消费者价格指数同比上涨3.8%,为2023年5月以来最高,超预期的3.7%,通胀意外反弹推迟降息预期
-
Core CPI YoY (4月)
-
2.75%
+
Core CPI YoY
+
2.8%
前值: 2.6%
-
核心通胀虽低于疫情前但环比0.38%显示粘性,服务业通胀回升
+
核心CPI同比上涨2.8%,剔除食品和能源后通胀压力仍存,显示价格粘性较强
+
+
+
非农就业
+
115,000
+
前值: 185,000
+
4月新增就业11.5万人,超预期但较3月大幅放缓,劳动力市场显示降温迹象
-
Core PCE (预测4月)
-
~0.30% MoM
-
前值: 0.29%
-
分析师预测环比0.30%,略高于3月,Fed密切关注的指标
+
失业率
+
3.7%
+
前值: 3.7%
+
失业率维持3.7%不变,但持续申领失业救济人数升至178万人,就业市场进入低雇佣低解雇状态
+
+
+
零售销售MoM
+
+0.5%
+
前值: +1.9%
+
4月零售销售环比增长0.5%,符合预期但较3月大幅放缓,剔除汽车后增长0.7%,能源成本上涨推高加油站销售2.8%
-
Empire State制造业指数 (5月)
+
进口价格MoM
+
+1.9%
+
前值: +0.9%
+
进口价格环比大涨1.9%,同比上涨4.2%为2022年10月以来最高,能源相关成本飙升是主因
+
+
+
Empire制造业指数
19.6
-
前值: 11.0
-
大超预期6.2,为2022年4月以来最高,显示制造业活动强劲
+
前值: 7.0
+
5月纽约州制造业指数跃升至19.6,大幅超预期7.0,为2022年4月以来最高,显示制造业活动改善
-
-
10年期美债收益率
-
4.59%
-
前值: 4.50%
-
升至一年高点,反映通胀担忧和加息预期升温
-
-
-
30年期美债收益率
-
5.13%
-
前值: 5.00%
-
触及2007年以来最高收盘价,长端利率压力显著
-
-
-
美元指数 DXY
-
101.2
-
前值: 100.9
-
避险需求和利率上升推动美元走强,离岸人民币承压
+
+
密歇根消费者信心
+
预估中
+
前值: 待定
+
5月密歇根消费者信心指数待发布,市场关注通胀预期和消费者对经济前景的看法
@@ -1152,20 +1125,20 @@
🐂 多方看涨
-
highQ1财报季84%公司超预期,盈利增21%强劲
-
mediumFed会议纪要或显示加息概率被高估
-
medium技术面7030支撑强劲,RSI超卖待反弹
+
high英伟达财报可能超预期,AI基建支出加速
+
high企业盈利增长强劲,一季度财报季整体超预期
+
medium技术面7400点获支撑,VIX未达恐慌水平
🐻 空方看跌
-
high油价破百推升通胀,降息预期彻底破灭
-
high10年期美债收益率4.6%侵蚀股票相对吸引力
-
mediumTrump峰会未达预期,地缘风险溢价回归
+
high席勒PE达42倍历史第二高,估值泡沫风险
+
high债券收益率突破4.6%降低股票吸引力
+
medium油价高企和通胀反弹推迟降息削弱流动性
-
裁判结论 NEUTRAL
-
短期偏空但不改中期牛市。油价和收益率冲击带来波动,但盈利增长21%和AI投资7000亿美元构成基本面支撑。建议轻仓观望本周,等待7030-7100区间企稳后逢低布局,目标7700
+
裁判结论 BEARISH
+
短期谨慎偏空,建议降低仓位至75%并持有15-20%现金。等待英伟达财报和下周零售财报季明朗化,7300点下方可分批加仓优质科技股和防御板块。中长期AI主题未变,但需防范5-10%技术性回调。
@@ -1181,77 +1154,43 @@
-
-
CSCO
-
Cisco Systems
- BEAT ✓ -
-
-
EPS ACTUAL
-
$1.08
-
-
-
EPS EST.
-
$1.02
-
-
-
收入: $16.8B
-
Q4指引16.7-16.9亿远超预期15.8亿,宣布裁员4000人(5%)聚焦AI时代,股价暴涨13-15%
-
-
-
AMAT
-
Applied Materials
- BEAT ✓ -
-
-
EPS ACTUAL
-
$2.86
-
-
-
EPS EST.
-
$2.75
-
-
-
收入: $7.91B
-
半导体设备需求强劲,财季Q2业绩超预期,盘后涨约2%
-
-
CBRS
-
Cerebras Systems
+
NVDA
+
英伟达
UPCOMING
EPS EST.
-
$N/A
+
$预计
REPORT DATE
-
IPO 2026-05-14
+
2026-05-20
-
收入: $500M+ (2025)
-
IPO定价185美元开盘350涨89%,首日收311美元市值近千亿,次日跌10%
+
收入: $78B预期
+
市场预期营收780亿美元,更关键是二季度指引约870亿美元,黄仁勋透露Blackwell和Rubin系统通过2027年有至少1万亿美元订单需求
-
FIG
-
Figma
+
AAPL
+
苹果
BEAT ✓
EPS ACTUAL
-
$N/A
+
$1.53
EPS EST.
-
$N/A
+
$1.50
-
收入: $1.42-1.43B
-
上调2026全年营收指引至14.2-14.3亿(前值13.6-13.7亿),股价涨9%
+
收入: $90.8B
+
服务收入创历史新高,宣布1100亿美元回购计划,但iPhone营收连续第二季度不及预期
-
GOOGL
-
Alphabet
+
CSCO
+
思科
BEAT ✓
@@ -1260,11 +1199,45 @@
EPS EST.
-
$N/A
+
$预期
-
收入: $109.9B
-
营收同比增22%,云业务加速增长,重新进入标普500涨幅前100名
+
收入: 超预期
+
三季度业绩和指引均超华尔街预期,宣布裁员近4000人,股价暴涨13%
+
+
+
TSLA
+
特斯拉
+ BEAT ✓ +
+
+
EPS ACTUAL
+
$0.41
+
+
+
EPS EST.
+
$0.35
+
+
+
收入: $22.39B
+
营收略低于预期但盈利超预期15.87%,马斯克宣布将大幅增加AI投资,Optimus机器人和Robotaxi服务进展积极
+
+
+
HMC
+
本田汽车
+ MISS ✗ +
+
+
EPS ACTUAL
+
$亏损
+
+
+
EPS EST.
+
$盈利
+
+
+
收入: 下降
+
70多年来首次季度亏损,EV相关损失达100亿美元,但公司重新聚焦混合动力车型,前景指引乐观
@@ -1280,43 +1253,37 @@
能源
Energy
XLE
-
+1.45%
+
+1.29%
科技
Technology
XLK
-
-
-1.50%
-
-
-
通讯服务
Communication Services
-
XLC
-
-
-0.84%
-
-
-
可选消费
Consumer Discretionary
-
XLY
-
-
-1.89%
-
-
-
工业
Industrials
-
XLI
-
-
-2.16%
-
-
-
医疗保健
Healthcare
-
XLV
-
-
-1.26%
+
+
-1.51%
金融
Financials
XLF
-
-
-0.63%
+
+
-0.81%
+
+
+
医疗
Healthcare
+
XLV
+
+
-1.23%
+
+
+
工业
Industrials
+
XLI
+
+
-2.18%
+
+
+
非必需消费
Consumer Discretionary
+
XLY
+
+
-2.01%
必需消费
Consumer Staples
@@ -1325,22 +1292,28 @@
-0.27%
-
基础材料
Materials
-
XLB
-
-
-4.04%
-
-
-
房地产
Real Estate
-
XLRE
-
-
-1.26%
+
通信服务
Communication Services
+
XLC
+
+
-0.84%
公用事业
Utilities
XLU
-
-
-2.25%
+
+
-2.92%
+
+
+
房地产
Real Estate
+
XLRE
+
+
-1.25%
+
+
+
材料
Materials
+
XLB
+
+
-3.53%
@@ -1357,31 +1330,31 @@
🇺🇸 美股
-
科技股崩盘拖累大盘,能源一枝独秀
+
三大指数齐跌,跌多涨少,科技股领跌芯片全线回调
- ↑1,820 + ↑1820
- ↓3,240 + ↓3240
热门板块
能源
-
领涨标的
Cisco Systems +13.2%
+
领涨标的
思科+13%(财报超预期)
创52周新高
45
🇨🇳 A股
-
Trump峰会未提振,北向资金流出
+
沪指失守4200点,外资流出创业板相对抗跌
- ↑1,500 + ↑1500
- ↓2,800 + ↓2800
-
热门板块
军工
-
领涨标的
中国船舶 +5.8%
-
北向资金
-38亿
+
热门板块
光伏概念逆势活跃
+
领涨标的
蒙娜丽莎6连板(装饰材料)
+
北向资金
-45亿
@@ -1393,60 +1366,60 @@
📅 本周日程 · Calendar
-
-
周一 5/19
全天
+
+
周二 5/20
盘后
-
美国市场因Memorial Day前夕休市
-
预期: N/A  ·  前值: N/A
+
英伟达Q1财报
+
预期: 780亿营收  ·  前值: 684亿
-
周二 5/20
10:00 AM ET
+
周二 5/20
盘前
-
美国4月成屋销售
-
预期: 425万套  ·  前值: 419万套
-
-
-
-
周三 5/21
10:00 AM ET
-
-
美国4月新屋销售
-
预期: 71万套  ·  前值: 69.3万套
+
家得宝财报
+
预期: EPS $3.40  ·  前值: EPS $3.25
-
周三 5/21
2:00 PM ET
+
周三 5/21
盘前
-
美联储4月会议纪要公布
-
预期: 关注对通胀和加息的讨论  ·  前值: N/A
+
Target财报
+
预期: EPS $2.05  ·  前值: EPS $2.10
-
周四 5/22
8:30 AM ET
+
周三 5/21
10:00 AM
-
美国首次申请失业救济人数
+
4月成屋销售
+
预期: 460万套  ·  前值: 456万套
+
+
+
+
周四 5/22
盘前
+
+
沃尔玛财报
+
预期: EPS $1.85  ·  前值: EPS $1.80
+
+
+
+
周四 5/22
8:30 AM
+
+
首次申请失业救济
预期: 21.5万  ·  前值: 21.1万
-
周四 5/22
9:45 AM ET
+
周五 5/23
9:45 AM
-
美国5月PMI初值
-
预期: 制造业50.5 服务业51.8  ·  前值: 制造业50.2 服务业51.3
+
5月PMI初值
+
预期: 51.2  ·  前值: 制造业50.9
-
周五 5/23
8:30 AM ET
+
周五 5/23
10:00 AM
-
美国4月耐用品订单
-
预期: +0.8%  ·  前值: +1.2%
-
-
-
-
周三 5/28
8:30 AM ET
-
-
美国4月核心PCE物价指数
-
预期: 3.3% YoY  ·  前值: 3.2% YoY
+
4月新屋销售
+
预期: 71.0万套  ·  前值: 69.3万套
@@ -1471,26 +1444,13 @@
WB
巴菲特 Warren Buffett
-
伯克希尔哈撒韦董事长
+
伯克希尔哈撒韦前CEO
-
5月2日
+
5月12日
-
"我们从未见过比现在更强的赌博情绪"
-
在5月初伯克希尔年会上,巴菲特将市场比作"教堂旁的赌场",警告投资者正沉迷于一日期权等投机行为。他强调60年投资生涯中仅5年真正值得激进投资,当前3970亿美元现金储备和对高估值的警惕表明他认为市场过热。Shiller周期调整市盈率已达点com泡沫以来最高水平。
-
#价值投资#现金为王
- -
-
- -
-
鲍威尔 Jerome Powell
-
美联储主席(至5月15日)
-
-
4月29日
-
-
"Fed独立性核心在于完全忽略政治考量"
-
4月29日最后一次FOMC会议上,鲍威尔维持利率3.5-3.75%不变并强调央行独立性,会议出现罕见四票反对。5月15日卸任前他警告能源价格持续高企将加剧通胀压力。继任者Kevin Warsh面临更复杂的政策环境,市场预期今年加息概率已升至45%。
-
#美联储#央行独立性
+
"投资者正处于'赌博情绪'中"
+
巴菲特警告市场估值过高,席勒市盈率达到42倍为1999年互联网泡沫以来第二高水平。他指出许多投资者当前处于投机心态而非价值投资状态。历史数据显示,每当席勒市盈率超过30时,市场随后都经历了20%-89%的大幅回调。
+
#价值投资#市场警告
@@ -1499,24 +1459,37 @@
达利欧 Ray Dalio
桥水基金创始人
-
5月中旬
+
5月13日
-
"去全球化环境下供应链收紧,资源竞争加剧"
-
达利欧指出当前商品超级周期与2000年代截然不同。AI贸易面临物理瓶颈,而市场转向去全球化方向运动。他认为中美关系、能源供应和稀土控制是2026年最大的结构性变量,建议投资者"做多硬资产"应对不确定性。
-
#宏观#去全球化
+
"美国已进入滞胀期,债务周期面临历史性转折"
+
达利欧在最新访谈中表示美国当前确实处于滞胀阶段,债务相对收入上升正在挤压支出。他强调当前的金融压力、政治分化和全球秩序削弱正在形成比过去数十年更不稳定的环境,这些模式与历史上的重大转折点相似。
+
#滞胀#债务周期
-
SB
+
-
Scott Bessent Scott Bessent
-
美国财政部长
+
鲍威尔 Jerome Powell
+
美联储前主席
-
5月14日
+
5月3日
-
"年轻人去建筑工地然后买彩票,这让我抓狂"
-
Bessent在5月访华期间表示中国将利用其对伊朗影响力协助重开霍尔木兹海峡。他批评投机文化盛行并将金融素养列为优先事项。关于中美关系他强调"互惠公平"以恢复美国经济独立性,但也承认深度经济相互依存的现实。
-
#财政政策#中美关系
+
"中东冲突增加经济不确定性,短期内能源价格将推高整体通胀"
+
鲍威尔在其任内最后一次记者会上表示,伊朗冲突的范围和持续时间对经济的影响尚不明确。美联储承认即使在降息150个基点后,货币政策仍保持适度紧缩。他强调需要看到更多通胀降温证据才会进一步降息。
+
#美联储#通胀
+
+
+
+
JD
+
+
杰米·戴蒙 Jamie Dimon
+
摩根大通CEO
+
+
5月初
+
+
"在当前环境下,黄金可以轻松涨到1万美元"
+
戴蒙表示在地缘政治紧张和经济不确定性加剧的背景下,黄金作为避险资产的吸引力显著提升。尽管金价近期从高位回落,但过去12个月仍上涨超40%。他建议投资者在投资组合中配置适当比例的黄金以应对经济动荡。
+
#黄金#避险
@@ -1538,22 +1511,9 @@ Hawkish
3.50-3.75%
-
4月维持利率3.50-3.75%不变
-
下次会议: 2026-06-17
-
鲍威尔5月15日卸任,Warsh接任。市场预期2026年加息概率升至45%,降息希望破灭
- -
-
-
-
中国人民银行
-
People's Bank of China
-
- Neutral -
-
MLF 2.50%, LPR 3.45%
-
5月维持MLF利率2.50%和LPR不变
-
下次会议: 2026-06-15
-
Trump峰会后暂未宣布刺激政策,关注稀土和贸易谈判进展
+
维持利率3.50-3.75%不变
+
下次会议: 2026-06-18
+
新任主席沃什上任,鲍威尔强调伊朗冲突增加不确定性,短期能源价格将推高通胀,摩根大通预计2026年维持不变,2027年可能加息
@@ -1561,25 +1521,38 @@
欧洲央行
European Central Bank
- Dovish + Neutral
2.50%
-
4月维持存款便利利率2.50%
+
维持利率不变
下次会议: 2026-06-06
-
欧元区增长疲软,ECB倾向继续降息路径
+
欧央行认为已达到'好位置',通胀接近2%且增长为正,进一步降息门槛很高,预计2026年维持当前利率
-
日本银行
+
中国人民银行
+
People's Bank of China
+
+ Dovish +
+
LPR 1年期3.35%
+
保持宽松立场
+
下次会议: 季度会议
+
尽管经济表现好于预期,但为确保稳定增长,预计2026年降息20个基点,降准100个基点,银行净息差收窄限制降息空间
+
+
+
+
+
日本央行
Bank of Japan
Hawkish
-
0.25-0.50%
-
3月加息至0.25-0.50%
-
下次会议: 2026-06-13
-
日元兑美元跌至160附近,市场分歧BOJ是否进一步加息
+
0.50%
+
持续加息路径
+
下次会议: 2026-06-14
+
持续2%通胀和高于潜在增速的GDP增长支撑加息,基准预期政策利率到2026年底达1.0%,但若政治因素介入可能放缓