$TGT

提及 20 首次 2025-09-18 最近 2026-01-11

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  1. 调侃 Target 和 Walmart 的估值

    @LongInnovation $TGT 的市盈率是 12 倍,对一个平底锅转卖商来说算合理估值。 主要区别是,有些 $WMT 门店里面还有 Taco Bell。

    英文原文

    @LongInnovation $TGT has a P/E of 12, which is fair value for a frying pan reseller. The main difference is some $WMT stores have Taco Bell inside.

  2. 2025-11-19 个股论点 $TGT

    作者平仓$TGT看涨期权,认为长期持有仍具低估价值。

    @h20kita 我此前已平仓 $TGT 的看涨期权(Call Options)。该股已过除息日(Ex-Dividend Date),即11月12日。这更多是一次基于股息催化剂(Dividend Catalyst)的交易。如果你仍持有仓位并打算长期持有,其估值依然相当低。

    英文原文

    @h20kita I exited $TGT calls earlier. It passed ex-div date already which was Nov 12th. This was more of a dividend catalyst play. Still pretty undervalued if you still have positions and hold long term.

  3. 回顾NBIS反弹,分析TGT分红前策略及LTC受政府停摆影响的ETF进展。

    我最近一直在发关于 $NBIS 的帖子,因为那30%的跌幅,导致我有一阵子忘了聊其他股票!跌到 $94 时的上行空间简直惊人,即使你没抓到真正的底部。 我之前提到的 $LTC 到 $TGT 的短期催化剂帖子依然有效,因为有人问起。 $TGT 11月12日的分红催化剂,我个人会持有,但由于它已经在28%-32%的隐含波动率下上涨了8%+,考虑到财报日(ER)是11月19日,再持有两周或稍微减仓我都觉得没问题。随你决定。 对于 $LTC 和其他股票,策略仍在进行中,只需等待政府停摆结束以及ETF获批。 我只是没料到政府停摆会持续一个月,所以ETF被延迟了。

    英文原文

    I've been posting about $NBIS recently because of the 30% drop that I forgot to talk about other stocks for awhile! Upside on the drop to $94 was insane, even if you didn't catch the true bottom. Near term catalyst posts that I mentioned still stands for $LTC to $TGT since others ask about it. $TGT Nov 12th dividend catalyst, I'd personally hold but since it already went up 8%+ on 28%-32% IV, I don't see many issues holding another 2 weeks since ER is Nov 19th or just trimming some. Up to you. For $LTC and others, the play is still ongoing, just need to wait for government shutdown to finish and for the ETF to be approved. I just did not expect a 1 month government shutdown so ETFs got delayed.

  4. 博主发布降息周交易清单,强烈看好TSM及Neocloud板块,建议做多。

    10月20日,重要的降息交易周。 个人想法和解释: 🛝 = 波段交易(Swing Trade) 🐈 = 催化剂交易(Catalyst Trade) 🎇 = 2026年交易,已进行税务收割(Tax Harvested) 清仓卖出(Fire Sale) 🔥 $NBIS 强烈买入(Strong Buy) $TSM $AMKR $WLAC $AMZN $LTC 🐈 $RDDT $HIMS 🛝 $IBIT $ALAB $CRDO $SMCI $FLY 🎇 $SNAP 🎇 $ETOR 🎇 $LULU 🎇 买入(Buy) $AMD $HOOD $RBRK $UNH $TGT 🐈 $IREN 🐈 $WYFI $WULF $CIFR $SLNH $BITF $GLXY $FLNC $MU (跳过“持有”,因为我过去提到的其他股票,既然没有变化,大概就继续持有)。 卖出(Sell) $ETH $BMNR $PL $BLSKY $RGTI $OKLO $IONQ $QBTS _ 宏观方面,距离降息(约97%概率)还有9天。市场处于恐惧模式。这是建立多头头寸且不减仓的理想时机。 清仓卖出 _ $NBIS - 无需多言,我仍维持2026年牛市情景下$400的目标价,基于40-60亿美元+的前瞻性收入及约60-75%的毛利率,以及另一份可能的超大规模云厂商合同(如 $META)。 周五下跌10%+是机械式对冲和做市商(MM)钉住价格所致。尽管波动剧烈,价格仍卡在$113.5。预计周一空头对冲将平仓(鉴于做市商买入看跌期权并做空看涨期权 -> 临近到期时大量做空),价格将回升。我在下跌时买入六位数的看涨期权,因为基本面没有实质性变化。 强烈买入 TSM - 天哪,请务必将其纳入投资组合。这是一台印钞机,每年营收增长38-40%的同时毛利率还在提升,简直不可思议。财报大超预期后股价回调,这是我生命中最容易的多头机会之一。 AMKR - 我尚未持有,但计划因TSM在亚利桑那州的参与以及其作为美国供应链大伙伴的潜力而加仓(随着美国推动TSM向美国晶圆厂+制造转移)。 WLAC - Neocloud SPAC IPO,上行空间巨大。我最近常提到这个,它可能是估值最好的Neocloud之一,且已有不错的利润率(并非来自矿工转型,后者不确定性稍大)。他们与Fluidstack合作,我预计若获得Mag7合同,估值将重估500%+。 AMZN - $213太离谱了哈哈。我不明白在牛市中它为何年初至今下跌-3%。 LTC - 受加密货币清算和政府停摆延迟ETF影响。现在是买入并等待ETF获批的好时机。 RDDT - 跌至$190是很好的回调。我以为$200是底部,结果跌得更低。关于ChatGPT较少引用它的新闻引发了大幅抛售,我认为这影响甚微。 HIMS - CEO减持导致下跌14%+。所有者经常卖股,对公司基本面影响不大,仅影响短期情绪。预计会反弹。 IBIT - 比特币$108k是很好的入场点,它已在$110k-$120k之间震荡一段时间,低于此价位通常很好。 ALAB - 上次我说过,因新竞争对手新闻而抛售过度。它已在市场上与AVGO竞争哈哈,拥有类似NVDA的利润率,同比增长数百%,Mag7在数据中心建设中正在使用它。 CRDO - 逻辑与ALAB类似,随Astera抛售但幅度稍小。 SMCI - 应因明年55%+的营收增长而重估。我早先怀疑这些预测,但随着数据中心增长,看起来变得现实了。 FLY - 这是中程有效载荷的博弈。人们怀疑Fly的执行能力,但NOC联合开发中程载荷消除了很多风险(并在与Falcon9竞争时可能重估500%+)。 SNAP - 我在早期的深度研究(DD)帖子中计算过Snap记忆功能的变现能力,目前完全未定价。它季度营收$13亿+,市值仅$130亿哈哈,通过增加营收+降低Google OPEX成本获得的自由现金流(FCF)非常惊人。 ETOR - 大部分为现金,以IBKR的速度增长,受税务收割影响。 LULU - 受税务收割+Alo、Vuori等竞争影响。但季节性应该不错,且现在市盈率极低。 买入 AMD - ChatGPT下AMD订单,ORCL建设AMD数据中心。随着成为$NVDA潜在竞争对手,预计明年将重估。仍认为Nvidia将主导,但鉴于其4.5T市值,即使AMD只占一小部分份额,也有很大追赶空间。 HOOD - 10%+回调后看起来好多了。可能复刻PLTR的走势。 RBRK - 之前做过深度研究,作为网络安全公司,在下跌中看起来更好,该领域倍数极低。只需削减营销,客户粘性高。 UNH - 美国医疗很烂但不会消失。认为Warren等人知道这一点。 TGT 🐈 - 下月分红,大股息股票。我认为现在是大量建仓的好时机。 IREN 🐈 - 巨大的GW,预计获得Mag7或类似交易。 WYFI - 任何Neocloud都是买入(例如见关于Mag7将收入导向这些小型10亿-50亿公司的论点)。 WULF - Neocloud博弈 CIFR - Neocloud博弈 SLNH - Neocloud博弈 BITF - Neocloud博弈 GLXY - Neocloud衍生品博弈 FLNC - Neocloud能源博弈 MU - 中国风险解除,内存在那里有巨大市场,内存也可能在数据中心建设中重估。 _ 卖出 ETH - 不喜欢$4k+的以太坊 BMNR - 如果我不喜欢这些水平的以太坊,持有国库公司也没意义 PL - 低营收,太空股(极高估值) BLSKY - 低营收,太空股(极高估值) RGTI - 量子泡沫 OKLO - 核能泡沫 IONQ - 量子泡沫 QBTS - 量子泡沫 _ 快速宏观提示: -> 9天后降息,概率~97%。预期抢跑,做多。就这些。

    英文原文

    October 20th, Important Rate Cut Trading Week. Personal thoughts and explanations: 🛝 = Swing Trade 🐈 = Catalyst Trade 🎇 = 2026 Trade, Tax Harvested Fire Sale 🔥 $NBIS Strong Buy $TSM $AMKR $WLAC $AMZN $LTC 🐈 $RDDT $HIMS 🛝 $IBIT $ALAB $CRDO $SMCI $FLY 🎇 $SNAP 🎇 $ETOR 🎇 $LULU 🎇 Buy $AMD $HOOD $RBRK $UNH $TGT 🐈 $IREN 🐈 $WYFI $WULF $CIFR $SLNH $BITF $GLXY $FLNC $MU (Skipping Hold, since any other stock I've mentioned in the past, it probably just hold it since nothing's changed). Sell $ETH $BMNR $PL $BLSKY $RGTI $OKLO $IONQ $QBTS _ So macro wise, we are 9 days away from (~97% or so rate cut). Market is in fear mode. This is the ideal time to go long and not cut positions. Fire Sale _ $NBIS - Needs no explanation, I still maintain $400 PT on a bull case 2026 due to 4-6B+ forward revenue off ~60-75% gross margins, and another likely hyperscaler contract (eg. $META) What happened on the 10%+ drop on Friday was mechanical hedging and MM Pinning. You can see this with the price stuck at $113.5, despite any volatility. I'd expect short hedges to unwind Monday (given MMs bought puts and were short calls -> heavy short into expiration) and price to go back up. I ended up buying 6 figures worth of calls on the drop as there was no material changes. Strong Buy TSM - Holy crap, please have this in your portfolio. This is a money printer, and scaling your revenue by 38-40% every year WHILE increasing gross margins is just insane. It dipped as well after smashing earnings so it's one of the easiest longs in my life. AMKR - I don't have this in my portfolio yet but will be looking to add due to TSM's involvement in Arizona and potential to be a big partner in the US supply chain (as America tries to push TSM toward US fab + manufacturing). WLAC - Neocloud SPAC IPO, large upside. I talk about this a lot recently, but it's probably one of the best valued Neoclouds out there, and already has great profit margins (not a pivot from miners, where it's a bit more uncertain). They work with Fluidstack, and I'd expect a 500%+ re-rating on top of a Mag7 contract. AMZN - $213 is insane lol. I have no clue how this is down -3% YTD during a bull market. LTC - Affected by crypto liquidations and government shutdown delaying ETFs. Great time to buy and just wait for ETF to be approved. RDDT - Great dip to $190. I thought $200 would be a bottom but ended up going lower. The news about ChatGPT citing it less caused a large sell-off which I think was very immaterial. HIMS - 14%+ drop off CEO share sale. Owners sell shares all the time, it doesn't really affect the fundamentals of the company much, just short term sentiment. I'd expect it to rebound. IBIT - Bitcoin $108k great entry point, it's been swinging between $110k - $120k for awhile so anything under is usually great. ALAB - I said this last time but it sold off way too much from news of a new competitor. It's already competing vs AVGO in the market lol, NVDA-like margins, growing hundreds of percent Y/Y, Mag7 using them in data center buildout. CRDO - Similar thesis to ALAB, sold off alongside Astera but a bit less. SMCI - Should get re-rated for 55%+ or so revenue growth into next year. I doubted the projections earlier but with the data center growth, it's looking realistic. FLY - This was a medium lift payload play. People doubt fly's execution but NOC co-developing medium lift takes a lot of risk off the table (and possible re-rating it 500%+ when it competes vs falcon9) SNAP - Did the math on Snap monetization of memories in an earlier DD post and it's completely not priced in yet. It's doing $1.3B+ quarterly revenue on a $13B market cap lol, and the amount FCF they would get from increasing their revenue + lowering Google OPEX costs is insane. ETOR - Majority cash, growing at IBKR rates, suffering from tax harvesting LULU - Suffering from tax harvesting + competition from Alo, Vuori, etc. But seasonally should be good, and extremely low p/e now. Buy AMD - ChatGPT putting in AMD orders, ORCL building out AMD data centers. Likely going to get a re-rating in the next year as a potential $NVDA competitor. Still think Nvidia will dominate but with it's 4.5T marketcap, AMD has a lot to catch up on even if it takes a small percent share. HOOD - Looking at a lot better after the 10%+ correction. Could pull a PLTR RBRK - Did DD on this earlier, looks better on the drop as a cybersecurity company really low multiples in the space. Just needs to cut back on marketing, customers sticky. UNH - Healthcare is sht in America but not going anywhere. Think Warren and the others know this TGT 🐈 - Dividend next moth, big dividend stock. Around now is a good time to load up IMO IREN 🐈 - Huge GW, expect mag7 or similar deal. WYFI - Any neocloud is a buy (eg. see thesis on mag7 funneling revenue down toward these small 1B-5B companies) WULF - neocloud play CIFR - neocloud play SLNH - neocloud play BITF - neocloud play GLXY - neocloud derivative play FLNC - neocloud energy play MU - China derisked, memory had a huge market there, memory also likely going to get re-rating in tdata center buildout _ Sell ETH - Not a fan of Ethereum at $4k+ BMNR - If I don't like Ethereum at these levels, no point of holding treasury companies PL - Low revenue, space stock (extremely high valuation) BLSKY -Low revenue, space stock (extremely high valuation) RGTI - Quantum bubble OKLO - Nuclear bubble IONQ -Quantum bubble QBTS - Quantum bubble _ Quick macro heads up: -> Rate cut in 9 days ~97% odds. Frontrunning expected, go long. That's all.

  5. 博主基于宏观利好更新美股AI/半导体/能源等板块的强烈买入、买入及持有名单。

    大豆/植物油崩盘,个人思考与解释: 强烈买入 $ALAB $CRDO $NBIS $WLAC $LTC $TSM $BTC (+ 同上次税务收割股) $AMZN $SMCI _ 买入 $AMD $FLNC $SEI $BZAI $NKLR $IREN $WULF $CIFR $CRWV $BITF $WYFI $SLNH $BITF $RBRK $GLXY $GRAB $SEA $META $TGT $SNAP $MU $RKLB $FLY $UNH 持有 $MP $HOOD $EOSE $NVDA $GOOGL $DFLI $SOFI $VIRT $RR $AVGO $BE $ASTS (已达推文股票代码上限,其余同上次帖子,Quantum或Oklo仍建议卖出) _ 强烈买入 ALAB - 数据中心建设的重要组成部分,拥有类似英伟达(NVDA)的利润率,客户包括Mag7。已有来自博通(AVGO)的竞争者,真的不认为Arista会构成竞争威胁。 CRDO - 与ALAB同样的抛售,之前觉得两者都略有高估,但现在回到修正区间,适合补仓。 NBIS - $400目标价牛市情景。宏观顺风来自政府重新开放+10月底降息预期进入财报季,短期前景看好。利好众多(如Meta x CRWV,因此有更多Mag7客户的潜力),分部表现良好,例如Clickhouse,季度收入从$1亿扩展到$15亿+非常惊人。合同已锁定,只是公司执行的问题。 WLAC - 之前在$13时写过投资逻辑。即使在$14.5也很强,因为它可以轻松重估100%+。 LTC - 受杠杆交易者和政府停摆影响。预计停摆将持续一段时间,主要买入理由是ETF获批。但无论如何,低于$100都是很好的买入点,因为最终会获批(~95%概率)。 TSM - 天哪。如果是美国公司这将是$3万亿市值的公司,利润率惊人,对于其规模而言增长率惊人。每篇关于OpenAI X (**Sydney Sweeney合作)或AMD建设/NVDA建设的帖子中,TSM都是核心,即使以历史高点买入,也轻松成为$2万亿+公司(目前约$1.5万亿)。 BTC - $112K是好的入场点。黄金不断创历史新高,基本面没什么变化,只是最近大量清算。 (+ 同上次税务收割股) AMZN - 我真不知道为什么年初至今还在跌。我觉得亚马逊不需要太多解释,但仍在增长(例如AWS积压订单巨大,仍增长24%,当然不如ORCL、GCP等),但考虑到年底季节性和2月前的上涨,现在可能是抄底的最佳时机。AMZN今天触及$213-215是补仓的好机会,因为短期波段交易通常浮动在$218-$227,但长期我预计它会追赶其他Mag7。 SMCI - 被低估。市场关注短期表现,Charles引用的55%+同比前瞻收入增长无人相信+未实现的积压订单。但现在随着所有数据中心建设,这开始说得通了。因此应在接下来两次财报中重估。 _ 买入 AMD - OpenAI x AMD,Oracle使用AMD建设,这么多交易,如果它确实是$NVDA的强劲竞争对手,将重估为潜在$1万亿+公司。我不认为赢家通吃,可以看到$NVDA $4.5万亿+市值和$AMD $3500亿市值,所以我们可以看到大幅拉升(OpenAI通常是前沿模型领导者,如果Sam说他们可以使用AMD芯片+Elon说它对中小模型有益,可能意味着积极信号) FLNC - AI消耗后能源强劲重估,很好的买入。 SEI - AI消耗后能源强劲重估,很好的买入。 BZAI - 别人做过这家公司的深度研究,仅因板块和向边缘计算转移(例如机器人将很热)。由于低市值和类似公司的上涨可能表现良好。 NKLR - 像$OKLO这样的核能股已经起飞,这只是跟随梯队。 IREN - 无需介绍,巨大的GW算力,只是还没有宣布Mag7交易,但随时可能到来 -> 强劲重估。不是强烈买入的唯一原因是因为不完全确信矿工能像CRWV那样转型并保持高利润率(例如$ORCL打击文章),但我们会看到。 WULF - GOOGL积压订单,另外$3.6+亿左右的资金帮助很大。 CIFR - X上有很多关于未来产能和强劲重估的信息。一直喜欢这家公司,因为它是NBIS-lite。你可以买任何Neocloud,因为板块潜力巨大,Mag7将收入注入。 CRWV - 因为债务不像其他人那样喜欢,但由于植物油修正,$134(低于META交易宣布时)是更好的买入点 BITF - Neocloud类别相同 WYFI - Neocloud类别相同 BITF - Neocloud类别相同 GLXY - Neocloud类别相同,有助于其建设 RBRK - 做过深度研究,中期网络安全板块很好的买入,他们只需缩减营销,然后看起来有更多自由现金流,因为他们将大部分运营支出花在营销上。 GRAB - 基本面很好,-6.56%修正再次买入 SEA - 东南亚的AMZN,很多人使用。仅因客户群+变现潜力就买入。基本面$50亿+收入38% Y/Y增长也很好。 META - 我真的很不喜欢他们在AI上的昂贵资本支出,因为他们并没有像ChatGPT那样推出前沿模型,谁知道Zuck在做什么。但除此之外,一个月下跌7.3%,回到$700支撑位,可能在这里买入以追赶是个好主意。 TGT - 下个月股息是好的催化剂。 SNAP - Jenners回来了(有助于人气),他们将前记忆运营支出转为收入,这可能会导致明年巨大的重估。只是受税务收割影响,否则现在会是强烈买入。通常税务收割事件在12月完成。 MU - 现在中国恐惧稍微减弱,MU因为建设中的内存使用而成为更强的买入。 RKLB - 中子,金色穹顶合同,很多催化剂 FLY - 中等提升 UNH - 不受大豆影响的医疗保健股,但有修正。机构发布持仓后可能会上涨(例如Warren可能买了更多) 随机想法 基本上任何不是Oklo的成长/风险股都很好,因为我们有 -> 10月底降息 -> 政府重新开放(可能在10月底或11月初) 进入 -> 12月降息。 -> 中期选举(对股票看涨) 通常市场崩盘发生在紧缩而非宽松时。你的愚蠢量子泡沫可能会再持续3-12个月。如果你做空,可能等到明年2月。 无论如何,这是风险偏好的好时机,特别是搭乘Neoclouds -> 相关板块(例如能源)-> 相关公司(例如smci, tsm等)的趋势。 我半开玩笑地说大豆,因为它可能签署了升级紧张局势,但我可能会看到明年前的上涨。另外我可以写很多关于每一个的内容,但这很耗时,但我会不时发布关于随机股票如$RBRK的投资逻辑帖子。 太空/机器人/能源/量子/AI/半导体/关键垂直领域是目前最顶级的,不要对抗动量。我可以认为某些东西被高估了(例如一些关键材料,因为与Neoclouds相比仍然具有投机性,后者基于Mag7的执行有保证的收入),但我不会在降息时做空它。 只是个人想法,非财务建议

    英文原文

    The Great Soybean/Seed Oil Crash, personal thoughts and explanations: Strong Buy $ALAB $CRDO $NBIS $WLAC $LTC $TSM $BTC (+ same as tax harvest stocks last time) $AMZN $SMCI _ Buy $AMD $FLNC $SEI $BZAI $NKLR $IREN $WULF $CIFR $CRWV $BITF $WYFI $SLNH $BITF $RBRK $GLXY $GRAB $SEA $META $TGT $SNAP $MU $RKLB $FLY $UNH Hold $MP $HOOD $EOSE $NVDA $GOOGL $DFLI $SOFI $VIRT $RR $AVGO $BE $ASTS (Hit the ticker maximum but everything else from last post, still sell on Quantum or Oklo) _ Strong Buys ALAB - Huge part of datacenter buildout, NVDA like margins, Mag7 customers. Already had competitors from AVGO, really don't think Arista would be a competitive threat. CRDO - Same sell-off as ALAB, thought they were both kind of overvalued before, but now they're back in correction territory so good to stock up. NBIS - $400 PT bull case. We have macro tailwind from government re-opening + rate cut EOM october into earnings, so short term looks promising. Lot of things going for it (eg. meta x crwv, so there's potential for more mag7 clients), sum of parts doing well, eg. clickhouse, and scaling rev from $100m to $1.5B+ a quarter is insane. there's already contracts locked in its just a matter of company execution. WLAC - Wrote a thesis about this earlier at $13. Even at $14.5 strong because it can re-rate 100%+ easily. LTC - Affected by leverage traders and government shutdown. The shutdown is predicted to last awhile and the main reason to buy was the ETF getting approved. But a great buy sub <$100 anyway, because it will get approved in due time (~95% chance). TSM - Holy crap. This would be a $3T company if this were a US company, insane profit margins, insane growth rate for their size. And every post you see about OpenAi X (**sydney sweeney partnership) or AMD buildout/NVDA buildout. TSM is the center of it all and would easily be a $2T+ company (from here at ~$1.5T), even if buying at ATHs. BTC - $112K good entry point. Goldt keeps hitting ATH, nothing really changed fundamentally, just lot of liquidations recently (+ same as tax harvest stocks last time) AMZN - I really don't know how it's still down YTD. I don't think Amazon needs much explaining but still growing (eg. AWS backlog massive, still going like 24% but not as much as ORCL, GCP and others obviously), but with EOY seasonality and runup to Feb, now is probably the best chance to catch the bottom. AMZN hitting $213-215 today was a good chance to stock up since it usually floats between $218-$227 if you're short term swing trading but long term I'd expect it to catchup to other mag7. SMCI - Underrated. Markets were looking short term performance, and Charles was quoting like 55%+ Y/Y forward revenue growth which nobody believed + backlog that didnt get realized yet. But now with all the data center buildouts, now it's kinda making sense. So should re-rate in the next two earnings. _ Buy AMD - So many deals from OpenAI x AMD, oracle building out with AMD, this is going to re-rate to a potential $1T+ company if it's actually a strong competitive to $NVDA. I don't think it's winner takes all and you can see a $4.5T+ market cap size with NVDA and some $350B marketcap size with AMD, so we can see a large ramp up (OpenAI is usually the leader in frontier models and if Sam says they can use AMD chips + elon said its' good for small-medium weight models, prboably means something positive) FLNC - Strong re-rate on energy after AI consumption, great buy. SEI - Strong re-rate on energy after AI consumption, great buy. BZAI - Someone else did a DD on this company, just cause of sector and shift to edge compute (eg. Robotics goign to be hot). Because of low MC and runup of similar companies could turn out well. NKLR - Nuclear stocks like $OKLO have been taking off, this is just follow the lader. IREN - Needs no introduction, huge GW compute capacity just no announced mag7 deals yet but could come anytime -> strong re-rate. Only reason not a strong buy is because not fully convinced miners can pivot like CRWV and maintain great margins (eg. $ORCL hit piece) but we'll see. WULF - GOOGL backlog, another $3.6+ or so in funding helps a lot. CIFR - Lot of info on X about future capacity and strong re-rating. Always liked this company because it was NBIS-lite. You can probably buy any Neocloud and it will go up because the sector is incredibly high potential with Mag7 funneling revenue. CRWV - Didn't like this as much as others because of debt but because of the seed oil correction much better buy point at $134 (below when META deal was announced) BITF - Same in Neocloud category WYFI - Same in Neocloud category BITF - Same in Neocloud category GLXY - Same in Neocloud category, helps with their buildout RBRK - Did a DD on this, great buy for cybersecurity sector in mid term, they just need to scale back marketing and then it looks like they have a lot more FCF because they're spending most OPEX on marketing. GRAB - Great fundamentally, -6.56% correction good to buy again SEA - AMZN in SEA, tons of people use them. Just a buy just because of costumer base + monetization potenetial. Fundamentally growing $5B+ rev 38% Y/Y is also great. META - I really don't like all their expensive capex on AI since they're not really putting out fronteir models like ChatGPT with it, who knows what Zuck is doing. But that aside, down 7.3% over the month, going to $700 support, probably a good buy around here to play catchup. TGT - Dividend next month good catalyst. SNAP - The Jenners are coming back (helps with popularity), they're shifting former memory opex to revenue, and this will probably cause a HUGE rerating next year. Just suffers from tax harvesting otherwise would be a strong buy rn. Usually tax harvesting events are kinda done in December. MU - Now that China fears are kinda less intense, MU is a lot stronger buy just cause of memory use on buildout. RKLB - Neutron, golden dome contracts, lot of cataylsts FLY - Medium lift UNH - Healthcare stock not affected by soybeans but had a correction. Would likely go up one instituions post their ports (eg. warren likely bought more) Random thoughts Basically any growth/risk stock that's not named Oklo is great because we have -> Rate Cut end of month October -> Government re-opening sometime (likely around end of Oct or early Nov) Into -> Rate Cut December. -> Midterms (Bullish for stocks) Usually market crashes happen when there's tightening not easing. And your stupid quantum bubbles would likely continue for another 3-12 months afterward. If you're short, then probably wait till next Feb. Anyway, this is a great time for risk-on, and specially riding trends with neoclouds -> affiliated sectors (eg. energy) -> affiliated companies (eg. smci, tsm, etc). I half joke-about soybeans because it likely signed escalating tensions, but I'd probably see a run-up into next year. Also I could write up a lot about each one but it's pretty time consuming but I'll put on a thesis post about random ones eg. $RBRK, from time to time. Space/robotics/energy/quantum/ai/semi/critical top verticals right now, don't fight against momentum. I can think something is overvalued (eg. some critical materials bc. it's still spectulative compared to neoclouds that kinda have guaranteed rev based on execution from mag7) but I wouldn't short it into rate cuts. Just personal thoughts, NFA

  6. 分析$RBRK基本面与估值,认为其是网络安全板块好买点,但非最佳机会。

    所以人们几乎每隔一条帖子就问起 $RBRK,我知道它在 X 上很火。 为了让大家别再问(我也在 $82 买入了一些 Rubrik),我最终去研究了一下它。 我的研究 TLDR(太长不看版): - 网络安全公司(该行业估值倍数极高,参考 $CRWD 或 $NET) - 80% 的毛利率(很棒) - ARR(年度经常性收入)超 10 亿美元,同比增长 40-50%(很棒) (对比 NET,ARR 约 22 亿+,同比增长 22%,市值几乎是其 5 倍) - 运营支出 (OpEx):60-75% 的收入用于营销。这是一个巨大的积极信号。 运营营销支出虽好,但短期看起来很难看,例如 $HOOD 给客户 3% 转账奖励时,这会伤害短期财报,因为具有误导性且没多少人做拆解;但长期来看,当削减支出时,客户粘性高,这对盈利能力帮助很大。 自由现金流 (FCF) 为正,但运营支出分解主要是营销,这是好事,不同于 Snapchat 的谷歌云运营支出。 - 客户基础多元化,像 Cloudflare(如高盛、百事、埃森哲等)。 缺点: - 资产负债表不是最好,约 11 亿美元债务用于资助收购。至少是为了收购。 - 不喜欢其远期收入数字放缓了 20-25%,相比之下 $NBIS 明年增长 700% 或更多。显然不公平比较,但这就是为什么我更看好 Neoclouds(新云基础设施)。 _ 看起来是一个不错的中期持有标的,计划很简单 -> 扩大客户群 -> 缩减营销 + 高粘性客户群 -> 赶上网络安全行业估值倍数并拥有更高的 FCF。 通常这类高毛利率(如 $HOOD 在 $18 时,增长 ~50% y/y)且实现盈利的成长型公司,重估 (re-rate) 幅度最大。 $RBRK 只需在未来减少营销支出,突然就会因为其粘性客户群拥有大量 FCF。 TLDR:网络安全板块的好买点,但其他地方有更好的机会。

    英文原文

    So people keep asking me about $RBRK almost every other post and I know it's really popular on X. I ended up looking into it so people stop asking (and added some Rubrik to my portfolio at $82). TLDR my own research: - Cybersecurity company (industry trades at extremely high multiples, look at $CRWD or $NET) - 80% gross margins (great) - $1B+ ARR, grew 40-50% Y/Y (great) (comparison to NET, ~2.2B+ ARR, growing 22% Y/Y, almost 5x the MC) - OpEx spend: 60-75% of revenue goes to marketing. This is a huge positive. OpEx marketing spend is great but it looks really bad short term eg. $HOOD when they give customers 3% to transfer, it hurts short term in earnings reports bc it's deceptive and not many people do the breakdown but long term when they cut back on spend, customers are sticky and this helps a lot with profitability. FCF was positive, but breakdown of opex expenses was mainly marketing, which is a good thing, unlike Snapchat google cloud opex. - Diversified client base like Cloudflare (eg. goldman, pepsi, accenture, etc). Downsides: - Balance sheet not the best, $1.1B debt or so to fund acquisitions. At least it's about acquisitions. - Don't like how their forward revenue numbers slowed down 20-25% compared to something like $NBIS growing like 700% or something more for next year. Obviously unfair comparison, but that's why I liked Neoclouds more. _ Looks like a good mid term hold with a pretty simple plan -> scale customer base -> scale back marketing + sticky base -> catch up to industry multiples in cybersecurity and hv higher FCF. Usually these types of growth companies with high gross margins (eg. $HOOD back at $18, growing ~50 y/y) that turn profitable, re-rate the hardest. $RBRK just gotta spend less on marketing down the road and suddenly they have a lot of fcf with their sticky customer base. TLDR: Great buy for cybersecurity sector, better opportunities elsewhere.

  7. 基于周五大跌,列出AI/加密/太空股买卖清单,看好Neocloud及算力基建。

    基于周五收盘(SPY跌3.6%)的思考与解释 强烈买入 $IBIT $LTC $WLAC $NBIS $MP $TSM (针对明年) $ETOR $DKNG $SNAP 买入 $UPWK $CRDO $ALAB $AMZN $META $UNH $SG $TGT $BULL $FLY $CIFR $WULF $IREN $GLXY $SMCI $DELL $MRVL 持有 $RKLB $HOOD $RBRK $MU $HOOD $GRAB $MARA $RIOT $NVO $RR $ELOSE $FLNC $SEI $PLTR 卖出 $CRCL $ETH $BMNR $PL $BKSY 强烈卖出 $RGTI $OKLO $IONQ $QBTS $QUBT _ 解释: IBIT - 跌至10.4万美元,比特币需求来自机构,关税担忧被夸大,并引发了历史上最大的清算事件之一。在我看来,清算后是购买加密货币的最佳时机。Polymarket仍定价年底有55%几率达到13万美元,但无论如何,比特币长期来看总是好的买入标的。 LTC - 单日下跌24%。使用10倍杠杆的人可能在抢先交易ETF并在交易所被清算。这可能是我见过的在98美元以下买入的最佳时机,因为政府停摆结束后ETF可能会获批。 WLAC - 由于与Fluidstack(帮助WULF和CIFR获得GOOGL背书的公司)的合作,以6亿美元估值成为有史以来最好的Neocloud SPAC IPO 1000%机会之一,而这两家公司估值为40-70亿美元。作为背景,他们将在Q4 IPO,所以你可能需要等待约2个月。 NBIS - 我持有信心最强的买入标的,明年任何Neocloud中都有400美元的激进目标价。 MP - 稀土的国家安全风险(+其他从勘探到锂电池的稀有材料股票表现可能会很好)。 TSM - 所有AI基础设施的骨干 _ 强烈买入的税务收割股票池 (可能需要等到明年) ETOR - 在38美元处严重超卖,可能是正在进行的税务收割事件叠加亏损。 DKNG - 本质上是一只成长股。鉴于市值,营收数据惊人,但他们处于年度低点-15%。可能受不受宏观影响的税务收割影响。 SNAP - 如果你读过我的论点,他们130亿美元的市值对应13亿美元的季度营收……我相信在降低运营支出+通过货币化GCP存储增加营收后,他们明年会重新评级。这只是市场何时定价的问题,但这需要1年以上。后投资者没有耐心。再次,可能受至今表现导致的年底税务收割影响。 _ 买入 UPWK - 昨日下跌4.5%,基本面极佳,~8亿同比营收,70%~或80%~的毛利率在增长,2亿回购,22亿市值。可能受罗素指数抛售影响。 CRDO - 数据中心交易,Mag7使用它们。 ALAB - 数据中心交易,Mag7使用它们。 AMZN - 虽然受到100%中国关税的实质性影响,但他们不会失去任何东西,因为成本会转嫁给商户或客户。 META - 可能因中国关税导致广告收入减少(例如,像Temu这样的中国供应商可能不会购买广告位),但仅基于-6%的1个月低点+作为落后于亚马逊的Mag7成员,我更看好它。 UNH - 医疗保健不太受100%中国关税或稀土影响。 SG - 下跌可能由于表现不佳+税务收割,但它几乎是1倍市销率(P/S)哈哈。 TGT - 我会将其列为强烈买入,因为股息催化剂+刚刚触及5年低点,但尚未对中国关税对该股票的影响做足够的研究。 BULL - 以与HOOD相似的速率增长,其基本面对于市值来说并不完全出色,但你会基于零售客户群和未来货币化潜力进行投资。 FLY - 我之前做过DD,但中型有效载荷很可能在2027年与诺斯罗普合作成功,这需要大量的耐心以换取潜在的1000%回报。 CIFR - Neocloud交易,始终看涨。像Meta X CRWV一样,更多细节可能很快公布。 WULF - Neocloud交易看涨。 IREN - Neocloud交易看涨。他们的融资轮次价格如果我记得没错的话是其股价的70%+,这是一个看涨信号(例如NBIS和CIFR在融资轮次后都达到了这一点)。 GLXY - Neocloud交易的一部分。 MRVL - 市场尚未充分定价其像NVDA一样56%的同比增长。 SMCI - 数据中心/星门建设 DELL - 数据中心/星门建设 _ 卖出 CRCL - 我会不断重复这一点,除非Circle能展示其能在利息收入之外货币化USDC,否则COIN优于Circle。因为COIN实际上获得50%的收入分成,再加上其平台上100%的收入。 ETH - 我会不断重复这一点,但我个人不会在3000美元以上买入。所以即使它下跌16%(你可以尝试波段交易,反弹至4000美元+),也始终有继续级联下跌至3000美元以下的风险,我已经数不清历史上发生过多少次了。 BMNR - 基本面与ETH挂钩。 PL - 太空股票已经上涨很多,我认为像RGTI和其他股票一样,基本面并未反映其市值。 BKSY - 太空股票已经上涨很多,我认为像RGTI和其他股票一样,基本面并未反映其市值。 强烈卖出 RGTI - 市值与估值极度脱节 OKLO - 市值与估值极度脱节 IONQ - 市值与估值脱节 QBTS - 市值与估值脱节 QUBT - 市值与估值脱节 显然存在中美贸易战的宏观压力,但这都不是新信息(中国稀土出口管制已为人所知一段时间+美国已经对中国商品征收关税) 我们正走向定价为70%的两次更多降息,以及大幅修正以清洗高估的泡沫并清算杠杆(例如加密货币),这将帮助市场走向更高的高点。我将始终推荐股票,因为对于好公司,如果你等待足够长的时间,它们可能会跑赢(但如果出现随机的宏观风险,短期可能会跑输)。 中期来看,我对Neoclouds在未来一年AI快速建设期间最为看好 -> 机器人/太空可能是之后的下一个前沿。 (该推文引用了 @aleabitoreddit 的推文,引用内容仅供理解语境): Neocloud论点:超大规模资本支出漏斗 为什么我要投入150万美元+到Neoclouds,以及为什么这可能是200-300%+的回报。 🔹 类别 Mag7合同:$CRWV, $NBIS ✅, $WULF, $CIFR ✅ 带算力:$IREN ✅, $BITF 投机性:$WYFI, $GRRR ✅, $SLNH 转向HPC的矿工:$RIOT, $MARA, $CLSK, $HUT 论点: Mag7的AI算力紧张,这是由$NVDA设计导致的。 原本流向AWS、MSFT Azure、Google Cloud用于传统算力的数万亿美元资本支出,现在当他们无法处理来自Anthropic、OpenAI、Gemini等的新AI负载时,将流入Neoclouds。 这是一个十年一遇的机会,类似于使$NVDA成为4万亿美元公司的GPU军备竞赛,关于谁将为未来5-10年的AWS/Azure等提供基础设施。 NBIS(来自MSFT的170亿)、CIFR / WULF(来自GOOGL的30亿)、CRWV(由NVDA背书)都在以百分之几百的速度扩张(NBIS从1.5亿季度营收到可能的15亿+),毛利率为60-80%。 这种营收增长在历史上几乎闻所未闻。这主要是因为最富有的超大规模公司将资本支出注入小公司。 NVDA / TSM (2022->): 超大规模公司的GPU CRDO / ALAB (2024 ->): 超大规模公司获胜 -> 抛物线增长。 NBIS/CIFR/IREN等 (2025 - ) AWS/Azure等 -> 来自AI算力的抛物线增长 这就是如何获得百分之几百的回报,而不是在Paypal上进行价值投资。动量驾驭下一代公司。 所以看空论点通常涉及 - 执行风险(以前更投机,现在像NBIS这样的公司有40亿+来执行) 人们总是担心执行,但微软或谷歌不会在没有自己尽职调查的情况下签署如此大的5-10年合同。 - 高利率(主要看你CRWV),这就是为什么NBIS、CIFR和其他公司有潜在的惊人回报。 你有40亿+的资金用于$NBIS在138美元+每股(当它是107美元时)。以及$CIFR在16美元+每股的资金当它是11美元时。高于当前价格的融资是一个看涨信号。 - GPU折旧(有效的担忧,但它几乎像石油,即使是旧型号也保持价值并仍然提供权益)。 - 估值(我认为我们才刚刚开始。如果NBIS明年扩展到60亿营收75%毛利率),260亿市值非常小。 - NVDA可能推出自己的GPU即服务并直接竞争。目前这些Neoclouds是NVDA防止对Azure/AWS等集中风险的答案。 - 自定义超大规模芯片如TPU、Trainium。但可能还需要几年,因为他们仍在乞求NVDA算力并签署了5-10年合同。 无论如何,像Nebius这样的Neoclouds相对于远期营收/毛利率确实被低估了。 我们仍然非常早期。确保像特朗普选举时的Crypto/TSLA或OpenAI发布时的NVDA一样驾驭Neocloud浪潮。 当然这是高度投机的,我不会建议全仓YOLO,但为Google/MSFT等AI工作负载提供动力的这些5-200亿Neoclouds的风险回报是值得的。(交易时间范围:8个月-1年。) 这是2025-2026年最好的非对称AI基础设施交易。

    英文原文

    Based Friday Market Close (-3.6% SPY day), Thoughts and Explanations Strong Buy $IBIT $LTC $WLAC $NBIS $MP $TSM (For Next Year) $ETOR $DKNG $SNAP Buy $UPWK $CRDO $ALAB $AMZN $META $UNH $SG $TGT $BULL $FLY $CIFR $WULF $IREN $GLXY $SMCI $DELL $MRVL Hold $RKLB $HOOD $RBRK $MU $HOOD $GRAB $MARA $RIOT $NVO $RR $ELOSE $FLNC $SEI $PLTR Sell $CRCL $ETH $BMNR $PL $BKSY Strong Sell $RGTI $OKLO $IONQ $QBTS $QUBT _ Explanations: IBIT - Dumped to $104k, Bitcoin demand has been institutional, tariff fears overblown, and caused one of the biggest liquidation events in history. IMO post-liquidation is the best time to buy crypto. Polymarket still pricing in 55% chance to $130K EOY, but either way Bitcoin is always a good buy long term. LTC - Down 24% in one day. People on 10X margin were likely frontrunning ETF and got liquidated one exchanges. Probably the best time I've seen to buy sub $98 because ETF will likely get approved when government shutdown stops. WLAC - One of the best Neocloud SPAC IPO 1000% opportunities ever at $600m valuation because of their partnership with Fluidstack (the ones that helps WULF + CIFR get backstopped by GOOGL), and both of those are $4-7B. For context they're IPOing Q4, so you might need to wait ~2 months. NBIS - Strongest conviction buy I've had, $400 aggressive PT for next year out of any Neocloud. MP - National security risk for rare earths (+other rare materials stocks from exploration to Lithium batteries will likely perform well). TSM - Backbone of all AI Infrastructure _ Strong Buy Tax Harvesting Bucket of Stocks (Might need to wait for next year) ETOR - Way too oversold at $38, likely tax harvesting event going on compounding losses. DKNG - Fundamentally a growth stock. Revenue numbers are insane given market cap but they're -15% yearly low. Likely compounded by tax harvesting unaffected by Macro. SNAP - If you read my thesis, they're doing 1.3B quarterly revenue off a 13B marketcap... I'm convinced they will re-rate next year after lowering opex + increasing revenue from monetizing GCP storage. It's just a matter of when the market will price this in, but this is 1Y+ out. Post investors aren't patient. Again likely affected by EOY tax harvesting due to performance so far. _ Buys UPWK - Down 4.5% from yesterday, amazing fundamentals, ~800m y/y rev off 70%~ or 80~ gross margins thats growing, 200m buybacks, 2.2B market cap. Likely affected by Russell selloff. CRDO - Data Center Trade, Mag7 uses them. ALAB - Data Center Trade, Mag7 uses them. AMZN - It's materially affected by 100% Chinese tariffs but they won't lose anything, since it gets passed onto the merchant or customers. META - Probably less ad revenue by Chinese tariffs (eg. Chinese vendors like Temu, might not buy adspace), buy just based on -6% 1m low + Mag7 laggard with Amazon, I like it more. UNH - Healthcare not really impacted 100% Chinese Tariff or rare earths. SG - It's down likely due to bad performance + tax harvesting but it's almost 1 P/S lol. TGT - I'd put it Strong Buy due to dividend catalyst + 5Y low just now, but haven't dont enough research on the effect on Chinese tariffs on the stock yet. BULL - Growing at similar rates asHOOD, their fundamentals aren't exactly great for the market cap but you would invest based on retail customer base and the future potential for monetization. FLY - I did a DD on this earlier but Medium Lift Payload likely to succeed with Northrop in 2027, it takes a TON of patience for a potential 1000% moonshot. CIFR - Neocloud trade, always bullish. Like Meta X CRWV, more details likely to come soon. WULF - Neocloud trade bullish. IREN - Neocloud trade bullish. Their funding round was at some number 70%+ of their stock price if I remember correctly, which is a bullish tell (eg. NBIS and CIFR both hit that after their fundraising round). GLXY - Part of Neocloud trade. MRVL - It's not really priced in that it's growing 56% Y/Y like NVDA. SMCI - Data center/stargate buildout DELL -Data center/stargate buildout _ Sell CRCL - I will keep repeating this but COIN is better than Circle unless Circle can show they can monetize USDC outside from interest income. Because COIN literally gets 50% revenue sharing and on top of that 100% of the revenue on its platform. ETH - I will keep repeating this but I will not personally buy above $3000. So even if it dips 16% (you can take the chance of a swing trade, back up to $4k+), there's always the chance it keeps cascading down below $3k and I've lost track of how many times this has happened in history. BMNR - Tied with ETH fundamentally. PL - Space stocks have gone up a lot, I think with stuff like RGTI and others, fundamentals haven't mirrored it's marketcap. BKSY - Space stocks have gone up a lot, I think with stuff like RGTI and others, fundamentals haven't mirrored it's marketcap. Strong Sell RGTI - market cap extremely disconnected from valuation OKLO - market cap extremely disconnected from valuation IONQ - market cap disconnected from valuation QBTS - market cap disconnected from valuation -market cap disconnected from valuation There's obviously a macro overhead with China x USA trade wars going on, but none of this was new information (Chinese rare earth export controls have been known for awhile + US has already been tarrifing Chinese goods) We're heading into 2x more rate cuts priced in at 70% and large corrections to cleanse the overvalued froth and liquidate margins (eg. Crypto), will help the market go to higher highs. I will always recommend shares because with good companies, if you wait long enough they will likely outperform (but short term underperform if there's random macro risk). Mid term I'm the most bullish on Neoclouds for the next year during the rapid AI buildout -> Robotics/Space likely next frontier after that.

  8. 博主调整ETF持仓:大幅加仓AMD及新购多只AI/能源股,减仓部分股票以进行税务亏损收割。

    哇,我在这个ETF上操作得极其激进,一切都涨得**很多。 不管怎样,以下是一些我会做的公司调整及解释: $AMD - +10%(重新评级) $FLY - +3%(新增) $WLAC - +1%(新增) $MU - +1%(新增) $FLNC - .5%(新增) $SEI - .5%(新增) $DFLI - - .25%(新增) _ 减仓(进行税务亏损收割 Tax harvesting) $ORCL $LULU $META $UPWK $ETOR $SNAP 其他小盘股 _ 以下是解释 $AMD - 刚刚获得了1000多亿美元的前瞻性收入,他们的季度收入几乎一夜之间翻倍,而且市场甚至还没有定价。极强的买入信号 $FLY - 44亿美元估值,从事类似$RKLB的小型至中型发射任务。让我想起RocketLab刚起步的时候,风险回报比很好。 $WLAC - Neocloud IPO,估值6亿美元(很低),EBITDA毛利率75%+,营收同比增长250%,很可能由Mag7(七大科技巨头)提供保底支持 $MU - 鉴于Stargate + OpenAI所需的基础设施量,内存需求旺盛 $FLNC + $SEI - 能源板块(高风险高回报) $DLFI - 电池板块(高风险高回报) 减仓 $ORCL - 在GPU建设方面遇到困难,这正好显示了超大规模云服务商和像$NBIS这样的Neocloud之间的护城河。直接购买Neocloud有更高的上行空间。 $LULU, $META, $UPWK, $ETOR, $SNAP. - 涨幅不大,我们要尽可能激进地持有赢家,并在完成税务亏损收割后回购,例如换成$AMD,以及获得更高回报的三次降息收益。 将在年底完成税务亏损收割后回购。

    英文原文

    Wow I cooked insanely hard with this ETF, everything is up a **** ton. Anyway, some company changes I'd make + explanations: $AMD - +10% (rerate) $FLY - +3% (new) $WLAC - +1% (new) $MU - +1% (new) $FLNC - .5% (new) $SEI - .5% (new) $DFLI - - .25% (new) _ Trim (Tax harvesting) $ORCL $LULU $META $UPWK $ETOR $SNAP Misc small caps _ Here's an explanation $AMD - Just got $100B+ in forward revenue lol, they almost doubled their quarterly revenue overnight and hasn't even been priced in yet. Extremely strong buy $FLY - $4.4B valuation doing small-medium lift launches like $RKLB. Reminds me of RocketLab when they first started, risk-reward is good. $WLAC - Neocloud IPO at $600m valuation (low) for something doing 75%+ EBITDA gross margin + 250% rev from last year + likely backstopped by Mag7 $MU - Memory in demand given the amount of infra required by Stargate + OpenAI $FLNC + $SEI - Energy Play (high risk high reward) $DLFI - Battery Play (high risk high reward) Trim $ORCL - Having trouble with GPU buildout, just goes to show the moat between hyperscalers and Neoclouds like $NBIS. Higher upside just buying Neoclouds. $LULU, $META, $UPWK, $ETOR, $SNAP. - Hasn't gone up much, we're playing as aggressive as possible with winners and will buy back once tax harvesting is done, eg. swap for $AMD, and higher return triple rate cut returns. Will buy back near EOY once tax harvesting is done.

  9. 博主分享了一份包含多只股票权重的投资组合分散化示例。

    @DigestingX 我在这里写了一个投资组合分散化的例子:https://t.co/R7eMeeqR29 (引用内容:我收到了很多关于股票权重的提问。我会构建的投资组合是:30% $NBIS,6% AMZN,5.5% TSM,5% BTC,5% LULU,4% UNH,4% $RKLB,4% LTC,3% ORCL,3% TGT,3% GRAB,2% $IREN,2% META,2% HOOD,2% HIMS,2% AMD,2% NVO,1.5% CRDO,1% BITF,1% ASTS,1% SG,1% UPWK,1% MP,1% FOUR,1% ETOR,1% INTC,1% COIN,1% SMCI,1% MRVL,1% DAVE,0.5% DLO,0.5% MELI,0.5% SNAP,0.5% CRWV,0.2% ONDS,0.2% NFE,0.2% TSSI,0.2% BKKT,0.2% GRRR)

    英文原文

    @DigestingX I wrote an example of portfolio diversification here https://t.co/R7eMeeqR29

  10. 分享激进期权卖出策略,强调底部择时与波动率管理,警示高风险。

    我写了一个期权卖出波段交易策略,上周用100万美元本金在5天内实现了2万美元利润,年化收益率(Y/Y)超过183%。 我总是提前给出确切头寸,而不是事后诸葛亮。 $NBIS +$5.52K $HIMS +$1.427k $CIFR +$5.239K $RKLB +$3.8K $TGT +$1.3k $AMZN +$1.22K $IBIT +$947.86 $META +$869 对于100万美元的组合,这相当于每周约2%的被动复利,年化回报183%。 所有行权价均归零作废,权利金被全额收取。 即使股票下跌,如$HIMS(今日跌5.32%,本周跌6.5%),你仍有100%的利润。 这是波段交易者能够极好地抄底时采用的策略。 如果本周我再写看跌期权(Put),我会动态调整行权价,并跳过一些之前写过的股票,比如因价格上涨而跳过的$RKLB。 再次强调,这适用于极其高级的交易者,这不是典型的“写看跌期权赚钱”策略,因为你需要主动进行底部择时(就像我今天在Reddit上发帖尝试寻找$200的局部底部)。不是在随机时间写期权。 如果你不知道如何很好地抄底,写看跌期权会放大亏损。 无论如何,这是许多高级交易者如何通过写期权复利净资产的一个例子。 (引用内容): 激进地基于100万美元写期权将是: 5天内+$20.24K,每周2.024%,年化回报183.48%。 使用100万美元现金,盈透证券(IBKR)组合保证金示例: 85股 $NBIS $96 PUT (+$5.52K权利金) ($809K保证金占用) 55股 $HIMS $49.5 PUT (+$1.427k) ($270k) 250股 $CIFR $10 PUT (+$5.239K) - ($253k) 80股 RKLB $42 PUT (+3.8K) ($332K) 35股 TGT $85 PUT (+$1.3k) ($296k) 35股 AMZN $207.5 PUT (+$1.22K) ($725K) 50股 IBIT $59 PUT (+$947.86) - ($293k) 5股 META $712.5 PUT (+$869) ($335K) 100万美元现金,331万美元保证金。如果我把现金留到下周,我会这样做。 这是对每只股票进行底部择时,并基于基本面、宏观时机、事件和波动率预测本周不会触及的行权价。 此外,如果你在财报周这样做,回报率可能会高于183%哈哈,这可能是任何事件中利润最高的。但再次强调,超级危险,这是我个人会做的,也许只是当作乐趣阅读并在模拟账户中尝试,不要实盘。 另外,我也是凭记忆估算保证金维持要求(例如,鉴于META、TGT、AMZN等贝塔值较低,你可以使用更多杠杆)。 你必须先择时底部,然后写看跌期权。例如,AMZN不太可能跌破$210,BTC大约在$107k附近见底,RKLB短期内不会低于$43,NBIS有$100支撑,TGT见底,META不太可能一周跌5%+等。 所以希望这对活跃的波段交易者和高级交易者有点启发,如果你是只交易指数的新手,不要尝试这个。 _ 所以只是随机想法 1. 不要在你不愿意在该价位买入的股票上写看跌期权。不要受OKLO或QBTS高权利金的诱惑,因为突然下跌后它们可能几年都无法恢复。你需要已经知道什么是伟大的多头标的。 ^^^^重要*** ^^^^,请不要在随机 penny stocks 或投机性东西上写期权。只写你愿意买入并持有的东西,因为写看跌期权基本上意味着你最终会在那些价位买入它。 2. 在真正的好股票上高隐含波动率(IV)时重复操作,例如,如果HOOD IV达到90%或RKLB IV是90%或NBIS IV是90%,因为一旦行情停滞,IV最终会下降到60%或类似水平。 3. 不要对极高贝塔值的股票过度使用保证金,通常1.3-1.5倍保证金对于像NBIS或RKLB这样的股票更安全。高贝塔值使用2-3倍保证金是危险的。 这就是为什么~1.5倍保证金对于NBIS、CIFR、HIMS、RKLB等是合适的,以防除一只外其他全部下跌。 然后对于低贝塔值股票如META、IBIT、TGT、AMZN,你可以放心使用保证金,因为即使下跌那么多也不会对组合造成太大影响。 4. 学习隐含波动率并知道它为什么变化。如果你只是重复这样做,但在财报周卖出东西,而像TTD这样的股票暴跌40%,你就麻烦了。再次强调,这仅适用于非财报周。 5. 如果你真的想玩得安全,选择一个更低的行权价。比如$CIFR $7.5可能不会触及,但$10行权价有小概率触及。但我本来就想在$10买入+5.2K权利金,所以我选择了那个行权价。 6. 还需要知道任何重大宏观事件+风险水平。所以凭记忆,可能有关于美国政府停摆的负面消息,美国衰退几率增加,Polymarket定价三次降息从65%降至56%等。 另一方面,一些催化剂,比如AMZN在8-9日有Prime Day,所以它可能会表现更好并价格上涨,所以可能更好在之后写期权。所以如果风险太大,我可能会等到10月3日才开始卖看跌期权,而不是本周。 _ 一般来说粗略的经验法则 IV - <30%,不太值得,不像Blackrock、SPY那样波动不大,除非有PPI或其他事件 IV - 30-45%,通常是像MSFT、GOOGL、AMZN这样的科技股。在你用于高贝塔值的1.5倍之上额外使用保证金来做这些是很好的。 45%-65%,通常是30-60%年化增长类型的公司,如MRVL、Coin等。有时它们被严重错误定价,比如COIN/HOOD的IV有时不值得,鉴于它们的波动幅度。 65%-100%,通常是你更有趣的散户股票,如RKLB、NBIS,这是非常好的甜蜜点,因为它们可能会在下跌时反弹,如果你知道如何择时底部+增加几个百分点,很可能获得100%+的权利金收益。 100%+,哈哈危险区(如果你卖出几天到期的期权)。像OPEN、OKLO、财报这样的东西。可能有原因。如果你知道为什么,比如NBIS因MSFT交易上涨40%,我会在当时以200% IV卖出$85看跌期权,因为从根本上说我会在那个价位买入。 如果NBIS等东西在1-2天内IV升至100%+,这对期权卖方实际上是好事。如果是一周后,嗯,可能有什么东西会极度波动。 _ 如果我要分解个别股票 例如AMZN,作为波段交易者,我会在$210水平附近买入看涨期权,不太可能跌破$207.5(所以盈亏平衡点是$207.15,即-5.96%),所以你要确保选择一个它永远不会触及的水平。你也知道IV+贝塔值(波动方式)相对较低,所以你可以基于它不会触及来调整你的保证金。 例如高贝塔值,85股 NBIS $96 PUT (+$5.52K权利金) ($809K) IV是92%,这对期权卖方来说太棒了。你获得更多权利金,而且你不真的期望它跌破$100。IBKR不这样做,所以我推荐像Robinhood这样的东西来看盈亏平衡点,所以这只股票需要下跌11.3%才能盈亏平衡。 _ 再次强调,我只推荐给风险承受能力较高的活跃波段交易者,否则坚持持有超过一年的股票。 这也是为了激进复利的期权卖出, 而不是战略性地用于定投(DCA)头寸(例如,如果我想在$120买入AMZN,并且我认为我可以以更好的位置获得它,你可以在当前行权价写看跌期权,而不是低得多的价格)。 此外,除非有像特朗普关税这样绝对砸盘市场的黑天鹅事件,否则这几乎每周都有效。所以那周的看跌期权卖方被摧毁了,你可能只需要接受微小的损失并重新开始。 当我有闲置现金时我会这样做,因为我更多是突破交易者类型。 这只是我个人的交易风格和思维流程,再次强调非常危险,即使你有一些经验。这是超级高级的,我很多前量化交易员+买方同事都有现金,并在1000万美元以上做这种期权卖出风格,我只是展示它是如何做的以及背后的思维过程。 随意问随机问题,我会帮助解释。

    英文原文

    I wrote a Option Sell Swing Trade strategy that would realized $20k profit in 5 days with $1M last week for 183%+ Y/Y. I always give exact positions ahead of time, not retroactively. $NBIS +$5.52K $HIMS +$1.427k $CIFR +$5.239K $RKLB +3.8K $TGT +$1.3k $AMZN +$1.22K $IBIT +$947.86 $META +$869 With a $1M portfolio on it would be ~2% week passive compound for 183% Y/Y return. Every strike expired worthless and the premium would be collected. Even when stocks declined such as $HIMS (down 5.32% today), and 6.5% this week, you would still have 100% profit. This is a strategy people do when you're able to bottom time extremely well as a swing trader. If I were to write puts again for this week, I would dynamically change the strikes, and skip out on some stocks that I wrote earlier like $RKLB due to an increase in price. Again this works for extremely advanced traders, this is not your typical "write put, make money" type strategy since you're actively bottom timing (like how I posted with Reddit today, trying to time $200 local bottom). Not just writing options at random times. If you don't know how to bottom time well, writing puts will magnify loss. Regardless, this is an example of how a lot of advanced traders write options to compound net worth.

  11. 博主分享6只个股的短期交易策略,强调经验直觉胜过耐心口号。

    最近 X 上流传着很多鼓舞人心的交易者心态,比如: “会有回报的。要有耐心。”全是废话。 交易者会考虑板块动量、催化剂、估值、回调、宏观、隐含波动率(IV)、期权流向等。 以下是我对各种股票短期交易的心态: 1. $NBIS - $111.91,尽管当天上涨了 1.53%,但由于 Meta 给予其 140 亿美元合同,CRWV 上涨了 12%。 这通常对所有新云厂商都是利好。它曾飙升至 $117(我可能仍会持有),但随后回落至 $111,可能是由于未平仓合约过多,但我们可能会继续看到上涨行情。因此我会利用这段时间进行定投(DCA)并买入看涨期权/股票,即使它已经上涨了 1.53%。 这不是“真正的下跌”,更像是上涨过程中的回调。 2. $HIMS - $56.4 下跌 4.67%,通常人们只是盲目抄底,但这实际上是由重大因素引起的,即特朗普推出了面向消费者的政府药品网站。随着股价升至 $60,空头比率降至 33%。 这次下跌可能会被用于空头回补。我在 $46 支撑位买入,但在反弹后不久卖出,因为我感觉它还会进一步下跌。但我个人更喜欢底部入场点,所以可能更接近 $50。 我记得 AMZN 推出竞争对手时,HIMS 暴跌 20% 然后再次上涨,我预计特朗普的计划中期也会如此,但近期它是一个逆风因素。 3. $RDDT - $228,下跌 5.45%,没有新闻。可能只是估值担忧。我们看到类似的增长股如 ALAB、CRED 有随机的 20% 回调。许多软件/社交股票如 SNAP 因非重大新闻下跌 8.1%。修正很健康,股票不会一直上涨,我个人更倾向于等待再次回到 $100+,而不是 $200+,但鉴于 RDDT 在随机日子有更大的 5-8% 回调,根据历史经验,6-7% 的下跌是日内的好买点,你可能会看到它恢复,但我们可能会看到许多增长股在 11/12 月的大涨前经历更大的修正,所以可能不是真正的底部。 我现在不看图表 RSI,只是基于过去一两年每天观察股票 + IV 的经验感觉来做。 4. AMZN - 没有重大宏观新闻,可能是 10 月 1 日的政府停摆可能会引起指数恐慌,但这没什么大不了的。它下跌了 1.35%,所以我会买入,因为这是摊低成本的好时机。 5. Klarna - $36,下跌 5.3%。有时你只是凭直觉行事。低于 IPO 价格,没有重大新闻。大多数 IPO 都下跌了,比如 Gemini 等。如果你想建立长期头寸,我会在这个水平买入。 6. TSM - $277,我有罪地进行了 $273-$279 之间的波段交易,所以我每次跌至 $273 就买入,在 $277-$279 卖出以获取 2% 的纯股票利润。到目前为止,我用股票做了大约 2 次。如果跌破 $273,我就定投,如果进一步下跌就切换到看涨期权。 没有绝对的对错方式,每个人都有自己的方法。(另外抱歉 CRM,糟糕的财报搞错了那个,如果进一步下跌我可能会摊平成本)。 但一般来说,这只是我浏览每只股票清单时的想法。再次强调,每个人想法不同,我只是想写下我的思考过程,如果对他有帮助的话。

    英文原文

    Lot of inspirational trader mindsets going around X lately like: "It will pay off. Be Patient". All BS. Traders consider sector momentum, catalysts, valuation, pullbacks, macro, IV, option flows, etc. Here's my mindset for short term trading for various stocks: 1. $NBIS - $111.91, even though it's up 1.53% on the day, CRWV is up 12% off Meta gives them a $14B contract. So usually it's bullish for all neoclouds. It spiked to $117 ( i probably would have still held) but pulled back to $111 likely from too much open interest, but we'll likely keep seeing a rally upward. So I'd use this time to DCA and buy calls/shares even if it's up 1.53% Not "truly a dip" but it's more of a dip during a rally. 2. $HIMS - $56.4 Down 4.67%, usually people just blindly buy the dip but this was actually caused from something material, which was Trump launching a direct to consumer GOV drug website. Short interest decreased back to 33% on the rise to $60. This dip will likely be used for short covering. I did buy $46 support but sold shortly on a bounce after I just felt like it would go down more. But I just personally prefer bottom entry points so that's probably closer to $50. I still remember AMZN launching a competitor, HIMS crashed 20% then rose again, I'd expect the same with Trump's program mid term but near term it's a headwind. 3. $RDDT - $228, down 5.45%, no news. Just probably valuation concerns. We saw similar growth stocks like ALAB, CRED, have random 20% pullbacks. Lot of software/social stocks like SNAP down 8.1% off non-material news. Correction is healthy, stocks don't just keep going up, I'd prefer to wait in the $100+ again, rather than $200+ (just personally), but it's actually a better buy than the rest, given RDDT has larger 5-8% pullbacks on random days, just from historical experiences so 6-7% drop is a good buy intra-day and you'd likely see it recover but we might see a lot of growth stocks have a larger correction into massive rally Nov/Dec so might not be an actual bottom. I don't really look at chart RSI nowadays, just do this based on feelings from experience looking at the stock + IV every day for the past year or two. 4. AMZN - No major macro news, prob government shutdown Oct 1st that might cause some panic for index but it's pretty immaterial. It dropped, 1.35% so I'd buy since it' a good time to cost average. 5. Klarna - $36, 5.3% drop. Sometimes you just go off gut feeling. Below IPO price, no major news. Most IPOs were down like Gemini, etc. If you wanted to build a long term position I'd buy at this level. 6. TSM - $277, I've been guilty of swing trading between $273-$279, so I just buy every drop to $273 and sell at $277-$279 for 2% profit purely with shares. So far I've done this ~2 times with shares. If it drops past $273, I'd just DCA and then if it drops further switch to calls. There's no True or False way to do this, everyone kind of has their own approach. (also sorry about CRM, bad earnings got that one wrong, I'll probably cost avg if ti declines further). But generally this is just what I'm thinking about when I go down the list of every single stock. Once again, everyone thinks differently, I just wanted to write down how I think if it's helpful to others.

  12. 博主发布周一收盘观点,列出多只美股的买卖评级及具体逻辑。

    周一收盘思考: 极强买入 $NBIS $ETOR $LTC $VIRT 买入 $AMZN $SMCI $TGT $CRM $TSM $CRDO $SG $CIFR $LULU $SLNH $ORCL $MSTR $RIOT $MARA 持有 $IREN $HIMS $RKLB $PYPL $MRVL $IBIT $UPWK $GRAB $ALAB $ASTS $SOFI $NVDA $NVO 卖出 $HOOD $TSLA $RDDT $CRCL $PLTR $BMNR 强烈卖出 $OKLO $QBTS $IONQ _ 欢迎持不同意见,但这只是我的个人看法。 极强买入理由 - 买入约7万美元的Virtu看涨期权,隐含波动率28%,远期市盈率仅6.6倍,被低估。 - 在通往200美元的路上,每次回调都定投NBIS。 - ETOR在39美元时严重被低估。我不明白它怎么跌到那的。如果我没记错,市值33亿,现金储备超7亿,复利增长类似IBKR而非HOOD/BULL,但股价却直线跌破IPO价。 - LTC ETF批准在即(3-4天内),概率95%。除非被拒,现在是绝佳买点。 买入理由 - 今天买入5万美元以上Amazon看涨期权,回调至219美元以上后复苏前景看好。受益于10月至1月的年底季节性效应。10月8日Prime Day。可能再次回调,因此适合定投而非极强买入。 - SMCI仍预测55%的远期营收增长,季度营收超50亿,有点被低估。 - TGT下个月分红。有些Target事件,但我觉得不如Amazon Prime Day重要。 - CRM图表上看刚触底,基本面没太大变化。 - TSM在273美元更好,虽然总是好买点,但不像250美元以下那样极具吸引力。 - CRDO/ALAB,两者大幅回调。更像是修正而非崩盘,因此再次成为不错的买点。 - SG,不知道。我只是喜欢他们的沙拉,考虑到不久前交易价40美元,8美元的风险回报比不错。 - CIFR,GOOGL背书,现在看执行。我会逢低买入,但今天大涨了。 - LULU受益于10月至1月的年底季节性假日购物。 - SLNH,据说X上有关于波浪的讨论。市值很小约1亿美元,风险回报比似乎可以。 - ORCL,以140亿美元折扣估值持有TikTok美国大量股份,且来自OpenAI/MSFT的远期营收众多。就像AVGO一样,财报后可能回调,然后一两个月后迎来猛烈反弹。 - MSTR,比特币10月表现良好。被做空,所以溢价率可能在1.4x-1.5x,相比炒作时的2x。 - RIOT/MARA转向HPC,所以我比之前更喜欢它们。 持有股票没什么变化 - Hood,我个人做日内交易,所以如果我认为在单日上涨12.27%的130美元以上卖出是好的,别介意。 - TSLA,脱离基本面的信仰股。 - RDDT,我在100美元时持有大量,现在240美元或450亿市值不会买,所以可能会卖出/三角套利。 - CRCL,直接买Coinbase。 - PLTR,脱离基本面的信仰股,大部分利润只是利息收入。 - BMNR,如果你想买就买ETH,但ETH在4000美元以上也是强烈卖出。 强烈卖出 任何营收极少但市值100-200亿以上的股票我觉得很可笑。如果你从8美元持有OKLO到116美元,向你致敬。

    英文原文

    Monday Market Close Thoughts: Extremely Strong Buy $NBIS $ETOR $LTC $VIRT Buy $AMZN $SMCI $TGT $CRM $TSM $CRDO $SG $CIFR $LULU $SLNH $ORCL $MSTR $RIOT $MARA Hold $IREN $HIMS $RKLB $PYPL $MRVL $IBIT $UPWK $GRAB $ALAB $ASTS $SOFI $NVDA $NVO Sell $HOOD $TSLA $RDDT $CRCL $PLTR $BMNR Strong Sell $OKLO $QBTS $IONQ _ Feel free to disagree but these are just my thoughts Strong Buy Explanations - Bought ~$70K of Virtu calls, 28% IV and just 6.6 forward p/e is undervalued. - Always DCA NBIS on the road to $200 on every dip. -ETOR is just way too undervalued at $39 imo. I don't even know how it hit that. If I remember correctly $700M+ cash pile on a 3.3B market cap, compounding similar rate to IBKR instead of HOOD/BULL but just straight line down below IPO price. - LTC ETF approval in 3-4 days with 95% odds. Great buy now unless it gets rejected ofc. Buy Explanations - Bought $50k+ Amazon calls today, looks more promising for recovery on the dip to $219+. Benefits from end of year seasonality from Oct - > Jan. Prime Day Oct 8th. Could dip again which is why it's good to DCA and not an extremely strong buy. - SMCI still projecting 55% forward revenue growth and it's kinda undervalued doing 5B+ quarterly revenue lol - TGT dividend in another month. There's some Target event but don't really think it matters as much as Amazon prime day. - CRM just bottoming chart wise, fundamentals not really changed - TSM better at $273, it's always a good buy but not a screaming buy like sub $250 - CRDO/ALAB, both dipped a lot. More of a correction rather than crash, which is why it's a decent buy agian. - SG, idk. I just like their salad and think risk reward at $8 is good considering they were trading $40 not too long ago. - CIFR, GOOGL backstopped now just execution. I'd buy on dips but today was a big rally - LULU benefits from Oct -> Jan end of year seasonality with holiday shopping. - SLNH, apparently waves have been going around X. Pretty small $100m marketcap or so, risk reward seems okay. - ORCL, they're a large shareholder of TikTok US at a discounted 14B valuation and have tons of forward rev from OpenAI/MSFT. It's one of those things where it probably dips after earnings like AVGO then pulls off a face ripping rally a month or two later. - MSTR, Bitcoin does well in Oct. Been shorted so Nav prem is probably around 1.4x-1.5x compared to 2x like during hype waves -RIOT/MARA pivoted to HPC so I like them more than before For hold stocks nothing really changed - Hood, I personally day trade so don't be offended if I think it's a good sell $130+ on a 12.27% increase day. - TSLA, cult stock detached from fundamentals - RDDT, I had a lot back at $100 wouldn't buy at $240 or 45B marketcap now so would probably sell/tri. - CRCL, just buy Coinbase instead - PLTR, cult stock detached from fundamentals, large part of their profit is just interest income - BMNR, just buy ETH if you want but ETH is a strong sell at $4k+ Strong Sell Anything carrying barely any rev with 10-20B+ marketcap I think is amusing . Props to you if you held OKLO from $8 to $116 though.

  13. 分享激进卖出高IV看跌期权的策略、保证金管理及风险警示。

    激进地卖出期权(Writing Options)$100万组合如下: 5天收益+$20.24K,周回报2.024%,年化回报183.48%。 以$100万现金、IBKR组合保证金为例: 85股 $NBIS $96看跌期权(+$5.52K权利金) ($809K保证金) 55股 $HIMS $49.5看跌期权 (+$1.427K) ($270k) 250股 $CIFR $10看跌期权 (+$5.239K) - ($253k) 80股 RKLB $42看跌期权 (+3.8K) ($332K) 35股 TGT $85看跌期权 (+$1.3k) ($296k) 35股 AMZN $207.5看跌期权 (+$1.22K), ($725K) 50股 IBIT $59看跌期权 (+$947.86) - ($293k) 5股 META $712.5看跌期权 (+$869) ($335K) $100万现金,331万保证金。如果下周持有现金,我会这么做。 这是对每只股票进行底部择时(Bottom Timing),并基于基本面、宏观时机、事件和波动率预测本周不会触及的行权价。 如果在财报周做,回报可能高于183%,这通常是最有利可图的事件。但再次强调,超级危险,这只是我个人会做的,仅供娱乐阅读或在模拟账户尝试,不要实盘。 此外,我是凭记忆估算保证金维持要求(例如,由于META、TGT、AMZN等贝塔值低,你可以加更多杠杆)。 你必须择时底部然后卖出看跌期权。例如:AMZN不太可能跌破$210,BTC在$107k左右见底,RKLB短期不会低于$43,NBIS有$100支撑,TGT见底,META不太可能一周跌5%+等。 希望这对活跃的波段交易者(Swing Traders)和高级交易者有点启发,如果你是只交易指数的新手,不要尝试。 _ 一些随机想法: 1. 不要在你不愿意在该价位买入的股票上卖出看跌期权。不要因OKLO或QBTS的高权利金而诱惑,因为它们可能在突然下跌后多年无法恢复。你需要先知道什么是优质的多头标的。 ^^^^重要*** ^^^^,请不要在随机仙股或投机标的上卖出期权。只卖你愿意买入并持有的标的,因为卖出看跌期权意味着你最终会在该价位买入。 2. 在高隐含波动率(Implied Volatility, IV)的真正好股票上重复操作,例如如果HOOD IV达到90%或RKLB/NBIS IV是90%,因为一旦行情停滞,IV最终会降至60%左右。 3. 不要对极高贝塔股票过度使用保证金,通常1.3-1.5x保证金对NBIS或RKLB这类股票更安全。高贝塔股2-3x杠杆很危险。 这就是为什么~1.5x保证金对NBIS、CIFR、HIMS、RKLB等是合理的(约1664倍杠杆效应),以防除一只外其他都跌。 然后对META、IBIT、TGT、AMZN等低贝塔股票,你可以放心使用保证金,因为即使大跌也不会严重损害投资组合。 4. 学习隐含波动率并知道它为何变化。如果你只是重复操作但在财报周卖出,而像TTD这样股票暴跌40%,你就麻烦了。这仅适用于非财报周。 5. 如果想更安全,选择低一档的行权价。比如$CIFR $7.5可能不会触及,但$10行权价有小概率触及。但我本来就想在$10买入+5.2K权利金,所以我选了那个行权价。 6. 还需要了解重大宏观事件+风险水平。凭记忆,可能有关于美国政府停摆的负面消息,美国衰退几率增加,Polymarket定价三次降息概率从65%降至56%等。 另一方面,像AMZN在8-9日有Prime Day,价格可能上涨,所以可能更好在之后卖出期权。如果风险太大,我可能会等到10月3日再开始卖出看跌期权。 _ 一般粗略经验法则: IV <30%:不太值得,像Blackrock、SPY除非有PPI等事件否则波动不大。 IV 30-45%:通常是MSFT、GOOGL、AMZN等科技股。除了用于高贝塔股的1.5x外,用额外保证金做这些很好。 45%-65%:通常是MRVL、Coin等30-60%年增长率的公司。有时它们定价错误,如COIN/HOOD的IV有时不值,鉴于它们的波动幅度。 65%-100%:通常是RKLB、NBIS等更有趣的散户股,这是很好的甜蜜点,因为它们可能在回调时反弹,如果你知道如何择时底部+加点缓冲,很可能获得100%+的权利金收益。 100%+:哈哈危险区(如果卖出几天到期的期权)。像OPEN、OKLO、财报。可能有原因。如果你知道原因,比如NBIS因MSFT交易上涨40%,我会在200% IV时卖出$85看跌期权,因为从根本上我会在那个价位买入。 如果NBIS等股票在1-2天到期时IV升至100%+,这对期权卖方其实是好事。如果是一周到期,嗯,可能有什么极度波动的事。 _ 如果我要分解个别案例: 以AMZN为例,作为波段交易者,我会在$210附近买入看涨期权,不太可能跌破$207.5(所以盈亏平衡点是$207.15,即-5.96%),所以你要确保选择一个它永远不会触及的水平。你也知道IV+贝塔(波动方式)相对较低,所以可以根据它不会触及来调整保证金。 对于高贝塔股,例如85股 NBIS $96看跌期权,(+5.52K权利金) ($809K) IV是92%,这对期权卖方太棒了。你获得更多权利金,而且你不认为它会跌破$100。IBKR不提供此功能,所以我推荐Robinhood查看盈亏平衡点,这只股票需要跌11.3%才能盈亏平衡。 _ 再次强调,我只推荐给风险承受能力较高的活跃波段交易者,否则坚持持有超过一年的股票。 这也是为了激进复利期权卖出, 而不是战略性地用于定投(DCA)建仓(例如,如果我想在$120买入AMZN,并认为能以更好价格获得,你可以卖出当前行权价的看跌期权,而不是低得多的行权价)。 此外,这几乎每周都有效,**除非**发生像特朗普关税那样彻底击垮市场的黑天鹅事件。那周的看跌期权卖方会被摧毁,你可能需要接受微小损失并重新开始。 当我有闲置现金时我会这么做,因为我更偏向突破交易者(Breakout Trader)类型。 这只是我个人的交易风格和思维流程,再次强调非常危险,即使你有一些经验。这是超级高级的,我很多前量化交易员+买方同事都有现金,并在$1000万+上做这种期权卖出风格,我只是展示怎么做以及背后的思维过程。 欢迎随意提问,我会帮忙解释。

    英文原文

    Aggressively writing options off $1m would be: +$20.24K in 5 days, 2.024% a week, 183.48% y/y return. With a $1M cash, IBKR portfolio margin example: 85 $NBIS $96 PUT, (+$5.52K premium) ($809K) 55 $HIMS $49.5 PUT (+$1.427k) ($270k) 250 $CIFR $10 Put (+$5.239K) - ($253k) 80 RKLB $42 PUT (+3.8K) ($332K) 35 TGT $85, (+$1.3k) $296k) 35 AMZN $207.5, (+$1.22K), ($725K) 50 IBIT $59 PUT (+$947.86) - ($293k) 5 META $712.5 PUT (+$869) ($335K) $1M cash, 3.31M margin. This is just something I would do if I kept cash for the next week. This is bottom timing on every stock, and predicting strikes that would not hit for this week based on fundamentals, macro timing, events, and volatility. Also the return would probably be higher than 183% if you did it earnings week lol, which is probably the most profitable out of any event. BUT AGAIN SUPER DANGEROUS, this is something I'd personally do, maybe just read for fun and try on paper accounts but not live. Also, I'm also going off the top of my head with margin maintenance (eg. you can leverage more with META, TGT, AMZN, etc. given they're low beta). You have to time bottoms then write the puts. eg. AMZN not likely hitting sub $210, BTC sort of bottoming $107k around now, RKLB not going below $43 near term, NBIS $100 support, TGT bototming, META not likely to drop 5%+ a week, etc. So hopefully this is a bit informative to active SWING TRADERS and advanced traders, if you're a newcomer with just indexes, do not try this. _ So just random thoughts 1. Do not write puts on stocks you're not comfortable buying at those levels. Don't get tempted by high premiums on OKLO or QBTS cause those could just never recover for years on a sudden drop. You need to know what a great long is already. ^^^^IMPORTANT*** ^^^^, please do not write options on random penny stocks or speculative stuff. Only stuff you're fine buying and holding since writing puts kinda means you would buy it at those levels anyway. 2. REPEAT with high IV on REALLY good stocks, eg. if HOOD IV reaches 90% or RKLB IV is 90% or NBIS IV is 90%, cause eventually IV decreases to 60% or something once things stall out. 3. Do not over-margin extremely high beta stocks, usually 1.3-1.5x margin is safer for stuff like NBIS or RKLB. 2-3x on high beta is dangerous. That's why ~1.5x margin is fine 1,664 on NBIS, CIFR, HIMS, RKLB, etc in case all of them drop aside from one. Then low beta stocks like META, IBIT, TGT, AMZN you;'re fine margining since it wouldn't really dent the portfolio much if it drops that much. 4. LEARN implied volatility and know WHY it changes. If you just do this on repeat but sell stuff on earnings week and something like TTD crashes 40%, you're in trouble. Again this only applies non-earnings week. 5. If you really want to play safe, do one strike lower. Like $CIFR $7.5 will probably not hit, but $10 strike has a small chance. But I'd want to buy it at $10 anyway + the 5.2K prem, so I chose that strike. 6. Also need to know any major macro events + risk levels. So off the top of my mind, there's probably going to be negative news about US GOV shutdown, increased chances of US recession, polymarket pricing down triple rate cut 65% -> 56%, etc. On the other hand, some catalysts like stuff like AMZN has prime day on 8th-9th so it's likely to do better around and increase in price so probably better to write options later. So I might just wait until Oct 3rd, to start selling puts instead of this week if it's too risky. _ Generally rough rule of thumb IV - <30%, not exactly worth it, doesn't really move too much like blackrock, SPY unless there's like PPI or some other event IV - 30-45%, usually tech stocks like MSFT, GOOGL, AMZN, etc. It's good to do these with extra margin on top of your 1.5x that you use for higher beta. 45%-65%, usually more 30-60% y/y growth type companies like MRVL, Coin, etc. Sometimes they're really mispriced like COIN/HOOD IV is not worth sometimes given how much they move. 65%-100%, usually your more fun retail stocks like RKLB, NBIS, it's really good sweet spot since they'll likely bounce on dips and if you know how to time bottoms + add a few percent off, it's likely 100%+ premium gain. 100%+, lol danger zone (if you're selling few days out). stuff like OPEN, OKLO, earnings. Probably a reason for it. It's good if you know WHY like NBIS increasing 40% off MSFT deal, i'd sell $85 puts back then at like 200% IV because fundamentally I'd buy at those levels. IV goes to 100%+ on stuff like NBIS if there's one or two days out and that's actually a good thing for option sellers. If it's a week out then uhh something might be extremely volatile. _ If I had to breakdown individual ones AMZN for example, as a swing trader I'd would buy calls around $210 levels, unlikely to drop past $207.5 (so breakeven is $207.15 which is -5.96%), so you want to make sure you choose a level it never hits. You also know IV + beta (how things fluctuates) is relatively low so you can change your margin based on it never hitting. For high beta for example, 85 NBIS $96 PUT, (+$5.52K premium) ($809K) IV is 92% which is so nice for option selling. You get more premium, and you don't really erxpect it to dip below $100 either. IBKR doesn't do this so I'd recommend stuff like Robinhood to see breakeven, so on this stock would need to drop 11.3% for breakeven. _ Again I'd only recommend this if you're an active swing trader with higher risk tolerance, otherwise stick with stocks that you just hold over a year. This is also for aggressive compounding option selling, not using it strategically to DCA into positions, (eg. if I wanted to buy AMZN at $120, and I think I could get it at a better position, you can write PUTS at current strike instead of way lower). Also, this kinda always works every week **UNLESS** there's a black swan event like Trump tarrifs that absolutely tank the market. So PUT sellers that week kind of got wrecked, and you might need to just take a tiny loss and restart. I do this when I have spare cash on the side since I'm more of a breakout trader type. This is just my personal trading style and flow of thoughts, again VERY DANGEROUS, even if you have some experience. This is super advanced, a lot of former quant traders + buyside colleagues of mine have cash and do this option selling style off $10m+, I'm just kinda showing how it's done and what the thought process is behind it. Feel free to ask random questions and I'll help explain.

  14. 博主区分成长与价值投资,推荐不同周期的个股组合。

    @DeepIceValue 哈哈,我看到了 $NVO 和 $UNH,然后看了你的主页,意识到你更偏向价值投资(Value Investing)。如果让我选,1-2 年周期我会选 $NBIS 或 $TSM。3 年周期我会选 $RKLB。价值投资组合(Value Investing Basket)会是:$TGT, $UPWK, $PYPL, $LULU, $UNH, $NVO。

    英文原文

    @DeepIceValue lol I saw NVO and UNH and then looked at your profile and realized it was more so value investing. If I had to choose, would be $NBIS or $TSM 1-2 years. Then $RKLB for a 3 year timeframe. Value investing basket would be: $TGT, $UPWK, $PYPL, $LULU, $UNH, $NVO

  15. 分享UNH交易经历,计划因IV较低而买入TGT看涨期权。

    @iamsattam 我对 $UNH 也做过同样的操作,买入价值 22.5 万美元以上,随后两天股价从 320 美元涨至 355 美元。 我希望它能回升至 100 美元,所以我可能会在下个月大量买入 3 月看涨期权。当时 $UNH 的隐含波动率(Implied Volatility)太高了,但 $TGT 的隐含波动率足够低。

    英文原文

    @iamsattam I did the same thing with $UNH buying $225k+ on it, then it went from $320 to $355 the next two days. I'd hope for recovery to $100, so I'd probably buy a lot more March calls next month. UNH IV was too high at the time, but TGT is low enough. https://t.co/v66nS92o4m

  16. 分享9/25市场观点、定投计划及详细投资组合权重。

    9月25日的每日思考+市场下跌分析,如果你喜欢我的见解: 1. 三次降息(Triple rate cut)的概率从65%降至56%。这影响很大,因为人们正在提前交易(front-running)降息预期。无论如何,任何降息通常都会带来大量资金流入,因此对几个月后的市场总体看涨。鲍威尔关于市场估值过高的观点在某些股票上确实成立。Oklo、Quantum等严重高估,但我从不做空。甚至像RKLB这样我喜欢的股票也严重高估。但由于通胀,场外资金太多,除了股票、房地产和BTC外别无他物可持。三次降息意味着他们希望“抢椅子游戏”(musical chairs)再持续8个月。我会开始担心明年夏天。 2. 市场过去两天下跌,我会利用这个机会在$Z下跌15%后定投(DCA),或在$NBIS下跌5%后买入AMZN。我仍需研究$CIFR,因此在下跌17.5%后还不能完全有信心推荐(暂时),如果我喜欢它,我可能会隔夜买入。还有很多有趣的标的可以波段交易,比如RKLB。我仍在等待下个月TGT的六位数看涨期权收益,因为11月的股息。大家都在加载AMZN的看涨期权,但像GOOGL一样,它可能会跌至$210->$200的水平,人们放弃后开始一波愚蠢的反弹。这就是为什么我说如果跌更多就换成看涨期权。 3. 大量税务亏损收割(tax harvesting)正在进行。如果你有耐心等4个月,像ETOR、TGT、LULU这样被低估的公司可能会恢复,但显然除非你使用杠杆+期权,否则不会获得600%+的收益。对于耐心的投资者来说,现在是囤货的好时机。 4. 我一直主张在市场放弃时(例如以太坊$1600)在低位买入,而当Bitmine出现新叙事时,在$4k+卖出是好的时机。即使跌至$3.5k我也不会抄底。我对此有一个完整的论点,但留到另一天再说。这与NBIS不同,后者投机性较低,比如一个170亿美元的合同流入一家市值250亿美元的公司,这只是执行+等待的问题。仍在等待LTC,小市值,市场仍定价90%的ETF获批。几个月后LTC可能会有一个新的Bitmine,凭借小市值可以大幅反弹。 5. 我从未见过除了“ thirst traps”(诱惑照)之外,书签数超过点赞数的帖子,所以你们一定喜欢我的投资组合权重!你已经看到我在这里做日内交易:https://t.co/AjTB69Na65,但每次改变头寸都进行喊单有点烦人,所以我更喜欢只发布一般性见解+论点。 6. 市场定价的是远期收入,即使你今天看到NBIS、TSM等下跌,它们基本面很好,可能会继续上涨。

    英文原文

    So daily thoughts on Sept 25th + market drop if you like my insights: 1. 3x rate cut went from 65% to 56% from data today. This is a lot more material, since people are front-running rate cuts now. Either way, any rate cut usually lead to large inflows so it's generally bullish for markets months out. Powell's thoughts about market being overvalued holds kind of true for certain stocks. Oklo, Quantum, etc. way too overvalued but never short. Even stuff i love like RKLB, really overvalued. But there's too much money flowing on sidelines, nothing else to hold other than stocks, real estate, btc, because of all the inflation. Triple rate cut implies they want to keep musical chairs running for another 8 moths. I'd start to worry around Summer next year. 2. Market droplast two days, I'd use the opportunity to DCA into $Z after 15% drop, AMZN, or $NBIS after 5%. I still need to research $CIFR so can't really full conviction recommend it after a 17.5% drop (yet), if I like it I'd probably buy overnight. Lot of fun things to swing trade like RKLB on the side. I'm still waiting next month for 6 figures in TGT calls, cause of Nov dividend. Everyone's loading AMZN calls now, but like GOOGL it will might drop to levels like $210 -> $200, where people give up then start some stupid rally. That's kinda why I said shares into calls if it drops more. 3. Lot of tax harvesting taking place. If you have the patience to wait 4 months, lot of undervalued companies like ETOR, TGT, LULU, will likely recover but obviously won't net 600%+ gains unless you do leverage + options. Great time to stock up if you're a patient investor. 4. I've always maintained you should buy stuff at the lows when market gives up on it (eg. Ethereum $1600), and when there's a new narrative with Bitmine, it's a good time to sell at $4k+. I wouldn't buy the dip even if it drops to $3.5k. I have a whole thesis on this but I'll save this for another day. This is only different if it's less speculative like NBIS, like a literal $17B contract flowing into a 25B marketcap company and it's just a matter of execution + waiting. Still waiting for LTC, small marketcap, market still pricing in 90% etf approval. There's likely going to be a new BItmine for Litcoin in a few months, and with a small MC can rally quite a bit. 5. I've never seen a post get more bookmarks than likes other than thirst traps, so you all must like my portfolio weighting! You've already seen me day trade here: https://t.co/AjTB69Na65 but it's a little annoying for me to do call-outs every time I change positions so I'd prefer to just post general insights + thesis. 6. Market prices in forward revenue, even if you see stuff like NBIS, TSM and stuff dropping today, they're great fundamentally and will likely keep going up.

  17. 2025-09-25 杂谈 $TGT

    更正$TGT日期错误,预计10月因股息前效应恢复。

    @soulbiri1 谢谢。抱歉我把 $TGT 的日期搞错了一个月哈哈,希望你已经卖出看涨期权(CC)以防止时间价值损耗(theta decay)。 股息日是11月12日,所以我预计股价会在10月而非本月恢复。

    英文原文

    @soulbiri1 Thx. Sorry I got $TGT off by a month lol, hope you sold CCs to prevent theta decay. Dividend is November 12th so I'd expect recovery Oct instead of this month.

  18. 博主分享其包含NBIS等39只标的的具体投资组合权重配置。

    我收到了很多关于股票权重的提问。我会构建的投资组合如下: 30% $NBIS 6% AMZN 5.5% TSM 5% BTC 5% LULU 4% UNH 4% $RKLB 4% LTC 3% ORCL 3% TGT 3% GRAB 2% $IREN 2% META 2% HOOD 2% HIMS 2% AMD 2% NVO 1.5% CRDO 1% BITF 1% ASTS 1% SG 1% UPWK 1% MP 1% FOUR 1% ETOR 1% INTC 1% COIN 1% SMCI 1% MRVL 1% DAVE .5% DLO .5% MELI .5% SNAP .5% CRWV .2% ONDS .2% NFE .2% TSSI .2% BKKT .2% GRRR

    英文原文

    I've been getting a lot of stock weighting questions. A portfolio I'd build would be: 30% $NBIS 6% AMZN 5.5% TSM 5% BTC 5% LULU 4% UNH 4% $RKLB 4% LTC 3% ORCL 3% TGT 3% GRAB 2% $IREN 2% META 2% HOOD 2% HIMS 2% AMD 2% NVO 1.5% CRDO 1% BITF 1% ASTS 1% SG 1% UPWK 1% MP 1% FOUR 1% ETOR 1% INTC 1% COIN 1% SMCI 1% MRVL 1% DAVE .5% DLO .5% MELI .5% SNAP .5% CRWV .2% ONDS .2% NFE .2% TSSI .2% BKKT .2% GRRR

  19. 看好GAP季节性机会,关注宏观关税对价值持仓的影响。

    @AndyA143597 对于 $GAP,我确实看好它,我个人也喜欢 Banana Republic。此时正值季节性利好期,该股也会从中受益。 $UPWK、$TGT、$UNH、$LULU 是我价值投资组合中的持仓,但我需要进一步观察,看看宏观环境或关税是否会产生实质性影响。

    英文原文

    @AndyA143597 For $GAP, I do like it and I like Banana Republic personally. It's a stock that benefits from seasonality around this time too. $UPWK, $TGT, $UNH, $LULU were value investing port holders but I'll need to look more to see if there's any material impact from macro/tarrifs.

  20. 2025-09-18 个股论点 $TGT

    博主在 $TGT 5年低点买入看涨期权,预期机构将因高股息而囤积。

    正在对 $TGT 看涨期权进行成本平均操作,头寸规模约 10 万美元。我也持有 100 美元行权价的期权,但风险更高。该股股息率很高,且股价处于 5 年低点,因此我确信机构会大量囤积。 https://t.co/wYCW2wMfRJ

    英文原文

    Cost averaging $TGT calls to ~$100k in positions. Have $100 strikes as well, but it's more risky. It's a high paying dividend with the stock at 5y lows, so I'm sure institutions would stock up. https://t.co/wYCW2wMfRJ