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由于投资者对通货膨胀担忧不屑一顾,大型科技公司推动标准普尔500指数创下11月以来最佳一周
谷歌母公司Alphabet的股价周五飙升,使该公司的市值首次突破2万亿美元。
MarketWatch22:33 (美东)
美股迎强劲反弹 美国陷“滞胀”担忧 聚焦下周美联储利率决议
北京时间5月2日凌晨,美联储将公布其最新利率决议,鉴于通胀保持的韧性,市场机构较为一致预期美联储将继续维持现有利率决议不变。
智通财经19:49 (美东)
通胀数据不乐观,美联储到底该怎么办?
美联储可能会保持谨慎态度,并不会很快开始降息
智通财经04/27 04:55 (美东)
大消息!美国筹建全新AI安全委员会,英伟达、微软、OpenAI均参与
美国出手了!
证券时报04/27 04:02 (美东)
美股收盘 | PCE暂缓通胀担忧,谷歌绩后飙涨逾10%,英伟达涨超6%
标普指数本周累涨2.67%,纳指累涨4.23%,均创去年11月来最大周涨幅;中概指数周涨近9%,创去年7月来最大涨幅。
华尔街见闻04/26 21:45 (美东)
今日华尔街 | 本周因科技收益高位而结束
在最新的科技七巨头财报给投资者留下深刻印象之后,周五指数上涨。
Moomoo Recap US04/26 16:04 (美东)
affable Blobfish_403 : 的确,海量印钞能够短期托起经济、股市和通脹的涨势。
102362254 : I'll hedge my bets on the remaining Magnificent Seven stocks by utilizing options strategies to safeguard my investments during their earnings reports. Monitoring these stocks closely is imperative for potential surprises. Should they underperform, I’ll adjust my portfolio to minimize risks, ensuring it stays in line with market trends and my financial goals.
mr_cashcow :
Yes they are not called the magnificent 7 without any reasons
If the remaining Mag Seven stocks do not report good earnings, it could impact the overall market and investor sentiment. If it happens then I will adjust my portfolios by:
1. Rebalancing: Adjusting the allocation of stocks, bonds, and other assets to maintain their target risk profile.
2. Diversification: Spreading investments across different asset classes, sectors, and geographies to minimize exposure to any one stock or sector.
3. Risk reduction: Reducing exposure to stocks and increasing allocation to bonds, cash, or other less volatile assets.
4. Sector rotation: Shifting focus to sectors that are performing well or expected to benefit from changing market conditions.
5. Active management: Actively monitoring and adjusting investments based on changing market conditions and company-specific factors.
Remember to always do your own research before making investment decisions!
Nitrite : Nice summary buzz article to read with a Saturday morning coffee. Keeps me updated and prepared for next week, on the hot stocks of the week. Keep it up.
HuatLady : I remain calm irregardless of whether the remaining Magnificent 7 companies report strong or weak earnings. As a long-term investor, a negative earnings report is an opportunity for me to purchase more stocks and enhance my portfolio. I approach my investing as a steady journey, not a frantic trade, prioritizing long-term gains over short term ups and downs.
HuatEver :
It’s uncertain whether the remaining Magnificent 7 will report good earnings, but we can prepare to respond appropriately when the time comes. I will think about adjusting my portfolio by re-balancing or spreading out my investments to stay safe.
If they let me down, I might think about diversifying further or changing how much risk I am taking. My investment decisions are based on a holistic view of the whole market and my individual goals.