业绩复盘

收益回顾、持仓表现、对错总结 · 共 488 条 · 滚到底自动加载更多

  1. 业绩复盘 $AXTI$CRDO$INTC$OSS$VLN

    博主分享近期选股大幅上涨,并征集5倍股研究标的。

    一月份太疯狂了。 毫不夸张,我的许多选股在过去几天涨幅超过60%。 图表中甚至没有包含 $AXTI +60% 或 $VLN +60%。 更不用说像 $CRDO 25%+ 或 Intel 25%+ 这样较小的涨幅。 如果需要更多5倍股的研究标的,如果你有想法或投资论点,请告诉我。 https://t.co/VWO2l8yn87

    英文原文

    January is wild. Not even joking, many of my picks are up 60%+ over the past few days. Didn’t even include $AXTI +60% or $VLN +60% in the charts. While leaving out smaller rallies like $CRDO 25%+ or Intel 25%+. Need more 5x stocks for research if you have ideas or a thesis. https://t.co/VWO2l8yn87

  2. 业绩复盘 $VLN

    澄清媒体误报 $VLN 涨幅,指出其实际涨幅与模型预测价不同。

    @basedinwv 发现这对 $VLN 来说挺有趣的。不过新闻搞错了,因为它只涨了 58%,也许是将此与我建模预测 $7.00 的价格混淆了 https://t.co/FegV7lXxdi

    英文原文

    @basedinwv Found this amusing for $VLN. News got it wrong though since it’s only up 58%, maybe it conflates that with me modeling it for $7.00 https://t.co/FegV7lXxdi

  3. 业绩复盘 $ASTS$AXTI$CRDO$GLXY$OSS$SOFI

    回顾组合收益来源,反思仓位大小及交易策略。

    谢谢!$OSS 和 $AXTI 是我投资组合中较小的部分。事后看来,我本应建立更大的头寸规模。我大部分的收益来自于利用投资组合保证金(portfolio margin)买入那些从去年高点下跌 50-70% 并在 1 月效应(Jan effect)中反弹的股票,如 $GLXY,以及像 $SOFI 或 $ASTS 这样仅下跌 10%+ 的交易性机会。除了可能 $CRDO 之外,我通常不发布我的做空(short trades)交易,而它从两天前已经上涨了超过 7%。

    英文原文

    Thanks! $OSS and $AXTI are smaller parts of my portfolio. I should have taken larger position sizes though in hindsight. Most of my gains came from portfolio margin into stocks that dropped 50-70% from last year into Jan effect like $GLXY, then just 10%+ trading drops like $SOFI or $ASTS. I don’t really post my short trades though aside from maybe $CRDO, which is up over 7% from two days ago

  4. 业绩复盘

    博主回应他人并分享自己年内投资表现良好。

    @moninvestor 年内的表现真不错!我自己也做得相当不错 https://t.co/pWPsMiM2Rl

    英文原文

    @moninvestor Nice YTD! I’m doing pretty well myself https://t.co/pWPsMiM2Rl

  5. 业绩复盘

    澄清无前瞻指引,仅为旧合同及收入递延反应

    @4drant 没有前瞻性指引。这纯粹是对一年前签订的合同以及一个季度收入递延的反应。

    英文原文

    @4drant There’s no forward guidance. This is solely a reaction to the contracts made a year ago with one quarter revenue deferral.

  6. 业绩复盘 $AVAV$UMAC

    博主分享持仓 $AVAV 和 $UMAC,并解释发帖偏好。

    @LibertadEterno 我一直在持有 $AVAV 和 $UMAC。不过并非每只股票都值得专门发帖,上面提到的那些是我的最爱。

    英文原文

    @LibertadEterno I’ve been riding $AVAV and $UMAC. Not every one deserves a post though, the ones above were my favorites.

  7. 业绩复盘 $AIRO$CRDO$MU$SNDK

    作者对比了CRDO的抄底难度与SNDK/MU的持有策略,并提及AIRO反弹案例。

    谢谢,不过 Credo 对我来说更多是个人交易标的。但当走势像“飞刀”时($CRDO 上月以来下跌超 35%),真的很难抄底。相比之下,全仓转入 $SNDK 和 $MU 然后不动它要容易得多。像 $AIRO 这种看似“飞刀”的标的后来反弹了 48%,所以如果操作得当,抄底其实很赚钱。不过我们得看看我的解读是否正确,我很享受用市场来测试自己的理论。

    英文原文

    Thanks, Credo is personally more of a trade for me though. But it's really hard to time the bottoms when things look like a falling knife ( $CRDO down 35%+ since last month). Much easier to just full port it into $SNDK and $MU and just not touch it. Stuff like $AIRO looked like a falling knife too then recovered 48%, so bottom catching is quite profitable if done right. We'll see if my interpretation is correct though, I have a fun time testing my own theories against the markets.

  8. 业绩复盘 $ASHM$AVAV$CVX$GDRZF$HII$TRGP

    复盘委内瑞拉政变后“国家重建”主题组合今日表现及个股反应。

    比赛开始了。 “国家重建港口”组合今日表现: $GDRZF +95.83% $AVAV +14.7% $CVX +5.19% $ASHM +5.2% $HII +3.82% $TRGP -3.14% 令我惊讶的是,Gold Reserve $GDRZF 仅上涨 95%,考虑到其市值仍为 3.33 亿美元,而拥有约 81 亿美元的索赔权。 另一个惊喜是,Chevron $CVX 仅上涨 5%,鉴于消息显示他们作为最后的幸存者,基本上已经掌控了委内瑞拉。 $AVAV 表现优于预期,$HII 表现符合预期。$TRGP 的下跌令人意外。 我们将观察后续走势,因为这可能需要一些时间才能被市场充分定价(且并非所有人都了解这些标的)。

    英文原文

    And... We're off to the races. "Nation Building Port" Performance Today: $GDRZF +95.83% $AVAV +14.7% $CVX +5.19% $ASHM +5.2% $HII +3.82% $TRGP -3.14% I'm surprised Gold Reserve $GDRZF is only up 95%, given they're still a $333m MC with ~$8.1B in claims. Another surprise is that Chevron $CVX is only up 5% on the news that they basically own Venezuela's at this point as the last man standing. $AVAV performed better than expected, $HII performed on-par. $TRGP was a surprise on the drop. We'll see how this does later, as this probably takes some time to price in (and not everyone knows about these names).

  9. 业绩复盘 $PLTR$TSLA$ZETA

    PLTR和TSLA持仓减少,2026年转向ZETA等标的。

    @bennybigbull $PLTR 和 $TSLA 在上一季度的出现频率降低,进入 2026 年后被 $ZETA 等公司取代。

    英文原文

    @bennybigbull $PLTR and $TSLA stopped showing up as much last quarter and got replaced by companies like $ZETA entering 2026.

  10. FinX社区5天收益超Citadel全年,2025年大幅跑赢机构。

    “FinX 对决华尔街”报告 这是 FinX 15,由最受欢迎的标的组成的加权组合: 1. $ONDS +33.26% 2. $SKYT +27.46% 3. $TE +22.62% 4. $MU +13.98% 5. $ASTS +13.24% 6. $BMNR +12.24% 7. $IREN +11.19% 8. $CIFR +8.64% 9. $AXTI +7.56% 10. $KRKNF + 7.69% 11. $NBIS +5.93% 12. $POET +5.81% 13. $RKLB +2.67% 14. $HOOD -.31% 15. $ZETA -2.36% 以下是 FinX 上周的表现: FinX 15 回报率(1周):11.3% 2025 全年表现: - WallStreetBets = +76.00% - Bridgewater 的 Pure Alpha II = +34% - ARKK 创新 ETF = +35.5% - Perishing Square = +25.3% - SPY 指数 = +17.72% - Poinpoint 多策略 = +11.6% - 伯克希尔·哈撒韦 = +11.4% - Millennium Management = +10.5% - Citadel = +10.5% 结论: 仅在 5 个交易日内,FinX 社区就击败了 Citadel 的全年收益。 进入 2026 年,我们正式碾压了机构。

    英文原文

    "FinX vs Wall Street" report This is FinX 15, a weighted port of the most popular names: 1. $ONDS +33.26% 2. $SKYT +27.46% 3. $TE +22.62% 4. $MU +13.98% 5. $ASTS +13.24% 6. $BMNR +12.24% 7. $IREN +11.19% 8. $CIFR +8.64% 9. $AXTI +7.56% 10. $KRKNF + 7.69% 11. $NBIS +5.93% 12. $POET +5.81% 13. $RKLB +2.67% 14. $HOOD -.31% 15. $ZETA -2.36% Here's how FinX did last week: FinX 15 Return (1-Week): 11.3% For the entire 2025 calendar year: - WallStreetBets = +76.00% - Bridgewater’s Pure Alpha II = +34% - ARKK Innovation ETF = +35.5% - Perishing Square = +25.3% - SPY Index = +17.72% - Poinpoint Multi-Strategy = +11.6% - - Berkshire Hathaway = +11.4% - Millennium Management = +10.5% - Citadel = +10.5% The Bottom Line: In just 5 trading days, the FinX community beat Citadel’s entire year. We are officially smoking the institutions entering 2026

  11. 博主回复称多数持仓及存储股今日表现强劲,普涨。

    @soulbiri1 大多数东西开局都不错,哈哈。$CRWV、$CIFR 和 $AAOI 均上涨超过 10%。$NBIS 上涨 7%,$SMCI 上涨 6%,$MRVL、$MSTR、$TSM 上涨 5%。你所有的存储(Storage)股票每天都上涨 8%。除了少数几只,到处一片绿色(上涨)。

    英文原文

    @soulbiri1 Most things are off to a good start lol. $CRWV, $CIFR, to $AAOI both up over 10%. $NBIS up 7%, $SMCI up 6%, $MRVL, $MSTR, $TSM up 5%. All your memory stocks are up 8% every day. Green everywhere aside from a few

  12. 业绩复盘 $HUT$GOOGL

    Hut8 与 Anthropic/Fluidstack 签署大规模租赁后上涨

    $HUT 刚刚通过 Fluidstack 与 Anthropic 签署了一项新的三重租赁协议,容量至少 245MW,最高可达 2295MW。 该交易 15 年价值 70 亿美元,并由 $GOOGL 为交易提供兜底。 Hut8 在消息后上涨 25.28%,现在市值为 39.8 亿美元。

    英文原文

    $HUT has just signed a new Triple lease deal with Anthropic through Fluidstack for at least 245 MW and up to 2,295MW capacity. The deal is valued at $7 Billion over 15 years with $GOOGL backstopping the deal. Hut8 is up 25.28% on the news and now trades at a $3.98B market cap https://t.co/50O28EsJVp

  13. 业绩复盘

    高成长持仓遭遇大幅回撤,但散户风险可控,期权到期将清洗未平仓合约。

    经历这种规模的全市场下跌真的非常痛苦。鉴于我目前的投资组合具有高贝塔值(高Beta)/成长股敞口,这大概是我亏损最严重的一天之一。只要散户没有被强制平仓(被Margin Call)或持有短期期权,他们应该没事。本月19日有大量期权到期,所以这只会清洗掉未平仓合约(Open Interest)。

    英文原文

    It's really painful to experience a market-wide drop at this scale. Probably one of my biggest red days given how high-beta/growth exposure my portfolio is right now. As long as retail don't get margined out or have short-dated options, they should be fine. Tons of option expiration on the 19th this month, so this just hoses out the open interest.

  14. 博主披露核心及轮动持仓,并解释转向方向性评论的原因。

    核心持仓是高确信度的多头:$BTC、$RKLB、$HOOD、$NBIS、$ALAB、$TSM。可能将 $LITE 和 $CRCL 移入上述核心多头组合,但它们是我正在建仓的新头寸。然后是短期至中期混合持仓,如 $SNAP、$CIFR、$RDDT、$SMCI、$HIMS、$TE、$LTC、$KRUS、AMKR、$LITE、$FLY、$WLAC、$META、$AMZN、$TTD 以及现在的 $AAOI 等。我在短期至中期持仓之间进行大量轮动。我以前发布更多关于日内交易的内容,但最终在这里获得了太多粉丝,所以想转向方向性评论。发布头寸更新很难,因为我喜欢解释我这样做的原因!我记得在 $IREN 约 50-60 美元时卖出,结果在接下来的三周里收到了一堆恶评 lol

    英文原文

    Core portfolio is high conviction longs: $BTC, $RKLB, $HOOD, $NBIS, $ALAB, $TSM Probably moving $LITE and $CRCL to the core long port above, but they’re newer positions that I’m building up. Then short-mid term mix like $SNAP, $CIFR, $RDDT, $SMCI, $HIMS, $TE, $LTC, $KRUS, AMKR, $LITE, $FLY, $WLAC, $META, $AMZN, $TTD, and now $AAOI etc. I rotate between short-medium term holds A LOT. I used to post more day trading stuff but I ended up getting too many followers here, so wanted to switch to directional commentary. It’s hard to post position updates because I like to explain why I do things! I remember selling $IREN around $50-$60 or something and just got a bunch of hate comments for the next three weeks lol

  15. 更新持仓表现,计划逢高加仓AMKR/SMCI,等待LITE回调。

    持仓更新: 持有高确信度的多头头寸如 $NBIS 并卖出期权,周末相对轻松。 上周小幅加仓更新: $LITE - $316.5 (+5.53%) -> ~$335.91 Lite 受益于 $NVDA Blackwell 和 $GOOGL v7 TPU 的产能爬坡。 $AMKR - $37.6 (+18.4%) ~$44.5 受益于美国关于与 $TSM 建厂的政策。 $SMCI - ~$32.92 (+5.97%) ~$210.3亿 (明年营收同比增长60%,季度积压订单延迟导致的40%跌幅是不合理的)。 $TTD - $38.6 (+3.78%) ~$40.6 除了 $CRWV 再融资20亿美元并拖累其他 Neoclouds,以及华纳兄弟1080亿美元 Paramount 收购案风波外,没看到太多新闻。 可能会在 $AMKR 和 $SMCI 上逢高加仓,等待 $LITE 更深幅度的回调。

    英文原文

    Stock position updates: Sitting on high-conviction longs like $NBIS and writing options, relatively lax weekend. Minor position adds updates from last week: $LITE - $316.5 (+5.53%) -> ~$335.91 Lite benefits from $NVDA Blackwell + $GOOGL v7 TPU rampup $AMKR - $37.6 (+18.4%) ~$44.5 Benefits from US-policy regarding Fab with $TSM. $SMCI - ~$32.92 (+5.97%) ~$21.03B (60% Y/Y revenue growth going into next year, the 40% drop for quarter backlog delay was unwarranted). $TTD - $38.6 (+3.78%) ~$40.6 Haven't seen too much news aside from $CRWV raising another $2B and tanking other Neoclouds. Or the $108B Paramount bid drama for Warner. Probably going to cost average up on $AMKR, $SMCI, waiting on a deeper drops for $LITE.

  16. 业绩复盘 $PL

    博主分享 $PL 首笔买入盈利超 300% 的持仓表现。

    @Kaptainterp @RamseyJared94 我是 $PL 的超级大户。我的第一笔买入价是 3.00 美元,那笔超大的仓位目前盈利超过 300%。https://t.co/K21XR0i6wt

    英文原文

    @KaptainterpMy @RamseyJared94 I'm a $PL mega whale. My first buy was at $3.00 and that super large position is up 300%+ https://t.co/K21XR0i6wt

  17. 业绩复盘 $BTC$FLY$HOOD$META$NBIS$RKLB

    博主复盘整体盈利,详述NBIS、META等持仓盈亏及FLY长期逻辑。

    总体来看我盈利颇丰。我刚才指的是上个月,当时像 $NBIS 这样的许多收益都被抹平了。 目前我在 $NBIS 上的持仓成本平均在 90 多美元,这让我感到意外。 $META 在最近几次看涨期权(option calls)交易中的成本均价为 640 美元,但由于我做了看涨期权,该头寸目前亏损六位数。 但我曾在 3000 美元时买入 $BTC,在 14 美元左右买入 $RKLB,在 20 美元时买入 $HOOD。 关于 $FLY,正如我之前的论点所述,这是基于 2026/2027 年中型有效载荷(medium-lift payloads)催化剂的投资。无论短期股价如何波动,都不会改变中型载荷是否研发成功的事实。 如果一年后他们最终未能研发出中型载荷且股价崩盘,你可以嘲笑我。

    英文原文

    Overall I'm up a lot. I was just referring to this past month where many of my gains like $NBIS were wiped out. I'm below cost average right now on $NBIS in the $90s, which was surprising. $META was $640 cost average on recent calls but I'm down 6 figures on that position since I did option calls. But I bought stuff like $BTC at $3k, $RKLB around $14 and $HOOD at $20. On $FLY as I said before in my thesis, it was a 2026/2027 catalyst play on medium-lift payloads. Whatever the stock price short term doesn't really change whether medium-lift developed. You can laugh at it if in a year if they end up failing to develop medium lift and stock price craters.

  18. 业绩复盘 $ALAB$HOOD$IBIT$META$NBIS$RKLB$TSM

    高确信度组合本月回撤,预期12月降息后反弹创新高。

    @itsdsha 只能说,对于我高确信度组合中的 $ALAB、$HOOD、$IBIT、$META、$NBIS、$RKLB 和 $TSM 来说,这一个月确实不好过。预计随着12月降息落地,一个月后情况会好转。大多数短期保证金/期权交易者已被清算,而此类事件往往推动市场创出新高 https://t.co/YCzLLaArKa

    英文原文

    @itsdsha Let's just say it hasn't been a fun month for my high conviction port of $ALAB, $HOOD, $IBIT, $META, $NBIS, $RKLB, and $TSM for sure. Should be fine in a month come Dec rate cut. Most short term margin/option traders got liquidated, and events like these lead to higher highs https://t.co/YCzLLaArKa

  19. 业绩复盘 $NBIS$NVDA

    NBIS 遭算法抛售大跌,作者认为基本面未变,跌幅不合理。

    是的,全市场的反转让我措手不及。$NBIS 毫无理由地从 103 美元跌至 84 美元。Citadel 的 Rubner 表示,尽管 $NVDA 财报大幅超预期,但这纯粹是为了“去风险”目的的算法抛售。恰好明天有大量未平仓合约到期。撇开期权流向不谈,我认为因 25 个基点(bps)就出现 40% 的抛售是不合理的。“担心 AI 泡沫”或 25 个基点并不会如此根本性地改变基本面。

    英文原文

    Yeah market wide reversal caught me by surprise. $NBIS ended up dropping from $103 to $84 for little reason. Rubner from Citadel was saying it was a purely algorithmic selloff despite $NVDA massive earnings beat for "derisking" purposes. Just so happens tons and tons of open interest expiring tomorrow. Option flow aside, don't think a 40% selloff is warranted for 25bps. "Fearing an AI bubble" or 25 BPS doesn't change fundamentals that instrumentally.

  20. 业绩复盘 $CIFR$HIMS$NBIS$SNAP$WULF

    作者称市场大跌为“大重置”,多只AI概念股股价回落至重大利好前水平。

    我将这次市场下跌称为“大重置(The great reset)”。 许多股票的价格已重置至其基本面发生变化之前的水平。 $HIMS 回到 Zava 事件前的 $36。 $NBIS 回到微软(MSFT)交易前的 $94。 $CIFR 和 $WULF 回到 AWS/谷歌交易前的价格。 $SNAP 回到与 Perplexity 交易前的价格。 股市的“黑色星期五”提前到来了。

    英文原文

    The great reset is how I termed the market drop. Lot of names were reset to prices before their fundamentals changes $HIMS back to pre-Zava prices at $36. $NBIS back to pre-MSFT deal prices at $94. $CIFR $WULF back to pre-aws/googl deals $SNAP pre-perplexity deal. Early Black Friday for stocks

  21. 博主回顾过往交易盈亏,并列出近期市场下跌中的买入标的。

    感谢在 $RDDT 上关注我!想到自己曾从温迪(Wendy's)快餐店垃圾桶旁起步,深感荣幸与谦卑。 许多卖出操作如 $CRCL、$BMNR、$RGTI 最终都兑现了收益。随着市场下跌,大量买入机会如 $NBIS、$SNAP、$META、$RDDT、$ALAB、$IBIT、$WULF、$CIFR、$RKLB、$WLAC 或 $TSM 目前出现。 我需要跟进许多标的,本周我会再发一篇类似帖子。

    英文原文

    Thanks for following me on $RDDT! Very humbled by my regarded roots behind the Wendys dumpsters. Lot of the sells like $CRCL, $BMNR, $RGTI finally played out. Tons of buys like $NBIS, $SNAP, $META, $RDDT, $ALAB, $IBIT, $WULF, $CIFR, $RKLB, $WLAC, or $TSM right now from the market drop. I need to catchup on a lot of names and I'll make another post like that this week.

  22. 业绩复盘 $META$NBIS

    作者调整META期权策略摊低成本,预期其将如NBIS般恢复。

    @Neat_Lama 是的,感觉好多了。$META 的超卖走势出乎意料,但我预计它会在1月恢复。 我将期权从1月轮换至3月/4月到期,并摊低成本至约$640。目前仍大幅亏损,但我预计它会像 $NBIS 一样恢复。

    英文原文

    @Neat_Lama Yeah feeling better. $META extended selloff was unexpected but I expect it to recover by Jan. I rotated Jan into March/April expiration and averaged down to $640-ish. Still down a lot but I expect it to recover like $NBIS.

  23. 业绩复盘 $CIFR$CORZ$IREN$NBIS$SMCI

    卖出低贝塔股,重仓超卖的新云板块及多只AI相关个股。

    @soulbiri1 现在对 $NBIS 的敞口超过 200 万美元,在低于 96 美元时大幅加仓。在 53.8 美元重新买入 $IREN,17.3 美元买入 $CIFR,并首次建仓 $CORZ - 16.3 美元,$SMCI - 38 美元的中期头寸。整个板块被极度超卖,简直可笑。今天卖出了我的低贝塔(Low-Beta)股票,以便重仓回归新云(Neoclouds)领域。

    英文原文

    @soulbiri1 $2M+ in $NBIS exposure now, added super heavily at <$96. Rebought $IREN at $53.8, $CIFR at $17.3 and initiating $CORZ - $16.3, $SMCI - $38 mid term positions. The whole sector is hilariously oversold. Sold off my low-beta stocks today to position heavily back into Neoclouds.

  24. 业绩复盘 $NBIS

    博主表示乐意继续持有NBIS的套牢仓位。

    @dubiousnoob @Mitchelldzll @455BAG 我很乐意继续持有 $NBIS 的套牢仓位。 https://t.co/AX2GN6tA5F

    英文原文

    @dubiousnoob @Mitchelldzll @455BAG Im happy bagholding $NBIS https://t.co/AX2GN6tA5F

  25. 业绩复盘 $META

    博主因感冒减少看盘,对META定投看涨期权,心态佛系。

    嗯,如果政府停摆持续,可能会再次下跌,谁知道呢。我这周感冒挺严重,所以没花太多时间看市场或刷 X。刚读完财报和新闻后,对 $META 进行了定投看涨期权(DCA calls),除此之外这几天我心态挺佛系的。

    英文原文

    Eh, might dip again going if Gov shutdown prolongs, who knows. I've been out with a pretty bad cold this week so haven't been spending much time looking at markets + reading X. Just DCA'd calls on $META after reading through earnings + news, but otherwise pretty nonchalant few days for me.

  26. 业绩复盘 $OSS

    博主反思错失 $OSS 买入机会,因低估其成为 Anduril 供应商的概率。

    @Aiime_ai 是的,我本应在做 $OSS 尽职调查(DD) 且股价为 4.7 美元时买入。鉴于 OSS 有 70-80% 的概率成为 Anduril 的供应商,而其市值仅为 1.1 亿美元,这看起来好得有些不真实……就这样错失了一次免费的 20%+ 收益。

    英文原文

    @Aiime_ai Yeah, I probably should have bought $OSS when I did the DD at $4.7. 70-85% probability of OSS being an Anduril supplier with a $110m marketcap seemed a bit too good to be true... There goes a free 20%+ https://t.co/nz6DYuXxsa

  27. 业绩复盘 $OSS

    博主因错过自己的深度研究感到遗憾,并坦言希望OSS股价下跌。

    @arthur_alston 错过自己的深度研究(DD)感觉很糟。我很大一部分内心希望 $OSS 下跌。 https://t.co/GwgMKRGsiB

    英文原文

    @arthur_alston Feels bad missing out on my own DD. A large part of me is hoping $OSS goes down. https://t.co/GwgMKRGsiB

  28. 业绩复盘 $DUOL$HIMS$PLTR

    博主展示其DUOL、PLTR、HIMS持仓,戏称其市值将达万亿并询问是否卖课。

    @RJCcapital 你怎么看我的投资组合 @DeepValueBagger @RJCcapital 它们都将成为10万亿美元市值的公司。 1. $DUOL - 50万亿美元的语言AI基础设施。 2. $PLTR - 从这里起涨100倍 - 50万亿美元的利息利润。 3. $HIMS - 500万亿美元的伟哥(🐔 pills)。世界需要它。 值得卖课吗?

    英文原文

    @RJCcapital What do you think of my port @DeepValueBagger @RJCcapital they all will be 10T companies 1. $DUOL - 50T AI infrastructure for language 2. $PLTR - 100x from here - 50T off interest profit. 3. $HIMS- 500T off 🐔 pills. The world needs it. Is it worth selling a course too?

  29. 博主复盘近期看错方向的高确信度标的,分析原因并重申长期逻辑。

    通常我在短期时间框架上会出错,但在任何高确信度的方向上我始终是正确的。 最近主要犯错的三个案例是:$LTC ETF 催化剂判断失误,即使获批后也从 $113 跌至 $82.5。这可能是最奇怪的事情之一,尽管政府停摆期间获批概率高达 95% 却遭遇延迟,随后又在停摆期间随机获批(连我都不知道),然后随大盘高贝塔抛售而暴跌。 另一个是 $SG,我认为它会从 $7.5-$8.3 反弹,但现在是 $6.3,消费品领域存在巨大的熊市。因此它受到了 $CMG、$CAVA、$KRUS 等抛售的影响。 最后一个是 $VIRT,尤其是现在市盈率仅为 7 或类似的荒谬水平。他们发布了财报,每股收益 $1.05 对比预期 $0.97-$1.04(超预期),营收 $4.67 亿对比预期 $4.184 亿-$4.497 亿(超预期),但依然被抛售。(这更多是一种非对称对冲),但即使基本面如此,我也不明白为什么它的市盈率约为 7.5。人们总说 X 是一只伟大的价值投资股票,交易市盈率约为 15,而这是个位数市盈率(但更受零售交易活动的周期性影响,不过 $HOOD 正在报告创纪录数据,所以应该是一个很好的代理指标)。 对我来说这仍然是一个极端的谜团……我认为它被低估了,尤其是考虑到回购,可能会成为另一个 $UPWK。 其他像核能 SPAC 之类我为了好玩买的,属于半赌博的迷因股,所以下跌更容易理解。通常如果我背后有论点支撑,那么准确率会更高。 像 $SNAP、$FLY 和其他一些我坚持是 2026 年布局的股票,短期并不重要。像 $WLAC 这类是 IPO 催化剂交易,所以在其低流通盘 SPAC 阶段的高贝塔波动在事件发生前意义不大。

    英文原文

    Usually only on short term time-frames I'm wrong but I've always been directionally right for anything higher conviction. Recently main three were I got wrong were the $LTC ETF catalyst wrong, even after approval it dropped from $113 -> $82.5. Probably one of the weirdest things since it got delayed even despite 95% approval odds from gov shutdown then randomly approved during shutdown (and even I didn't know about it). Then just tanked on broader market high beta sell offs. The other was $SG, thought it would rebound from $7.5-$8.3 or so but it's $6.3, there's a huge bear market on anything consumer. So it got affected by $CMG, $CAVA, $KRUS, etc. selloffs. The last was $VIRT, especially now with a p/e of 7 or something ridiculous. They reported earnings and $1.05 vs. $0.97 - $1.04 (beat) and $467.0 million revenue vs. $418.4 million - $449.7 million (beat), but still sold off. (This was more of an asymmetrical hedge) but even with fundamentals, I have no clue why it's ~7.5 P/E. People always are like X is a great value investor stock trading at ~15 P/E, this is single digit P/E (but more cyclical on retail trading activity, but $HOOD is reporting record numbers so should be a good proxy). Still an extreme enigma to me... I think it's undervalued, especially with buybacks and might be another $UPWK. Other stuff like nuclear SPACs I bought for fun were half-gambling memes so more understandable if they went down. Usually if I put a thesis behind it then it's more accurate. Stuff like $SNAP, $FLY, and others I've maintained was a 2026 play, so short term doesn't really matter. Things like $WLAC were IPO catalyst plays so high-beta movement during its low float SPAC days doesn't really mean much until the event happens.

  30. 业绩复盘 $NBIS$WLAC

    澄清Neocloud持仓集中于NBIS和WLAC,并指出其他板块亦有动量机会。

    @mikelfilko 当然,我目前的 Neocloud 持仓主要集中在 $NBIS 和 $WLAC 上。 其他人可能有不同的持仓,我上面列出的只是例子,并非我个人的全部操作。每个板块以及许多其他具有动量的板块中还有更多机会。

    英文原文

    @mikelfilko Of course, my Neocloud positions are concentrated in $NBIS and $WLAC right now. People can have others, I just listed examples above, not what I personally did. There's a lot more out there for each sector and many other sectors that have momentum.