· 个股论点

以伊冲突引发市场恐慌,短期避险,若美介入则利好军工石油。

涉及标的:

中文翻译

希望你们都用开心果(Pistachios)做了对冲。 以色列现在正在空袭伊朗。 直接受益者: 石油(能源) - $XLE, $CVX, $XOM, 国防 - $AVAV, $NOC, $LASR, $LPTH, $RTX, $AVAV, $LMT, $NOC 避险资产 - 黄金, 白银 航运 - $FRO, $STNG 开心果 这可能只是互相试探(trading blows)的情况: -> 以色列发射一些导弹 -> 伊朗回击一些 -> 被美国击落,以便他们声称进行了报复 然后一切恢复正常。 我的观点是,市场会在周末和隔夜交易时恐慌,但在意识到战争对美国股市有利(bullish)后很快恢复。 但如果美国随后跟进并入侵,那么军事/石油交易逻辑就会回归。

英文原文

Hope you all hedged with Pistachios. Israel is now airstriking Iran. Immediate Beneficiaries: Oil (Energy) - $XLE, $CVX, $XOM, Defense - $AVAV, $NOC, $LASR, $LPTH, $RTX, $AVAV, $LMT, $NOC Save Haven Assets - Gold, Silver Shipping - $FRO, $STNG Pistachios This might just be a case of trading blows -> Israel fires some shows -> Iran fires some back -> they get shot down by the US so they can claim they retaliated Then all is well. My opinion is markets freak out for the weekend and overnight but recover shortly after they realize war is bullish for America. But if US follows-up and invades, then the Military/Oil trade is back.

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