Stock Trading
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VIX与纳指波动率分化,提醒交易者不要用懒人式对冲
MarketWatch提到,VIX回落而纳斯达克100波动率上升,这种少见分化提示交易者要区分宽基对冲和科技股专项保护。
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VIX and Nasdaq volatility divergence is a warning against lazy hedges
MarketWatch highlighted a rare split between falling VIX and rising Nasdaq-100 volatility. Traders should treat it as a cue to compare broad-market hedges with tech-specific protection.
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加密APP里的股票挂钩永续,需要按股票衍生品来做风控
Binance 和 OKX 的相关产品显示,加密平台正在扩展股票挂钩衍生品,但交易者不应把它当成普通股票。
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Stock-linked perpetuals on crypto apps need an equity-style risk checklist
Binance and OKX listings show how crypto venues are expanding stock-linked derivatives, but traders should not treat them like ordinary shares.
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芯片股带动纳指反弹后市场重新盯紧财报
美股反弹重新由芯片和AI相关股票主导,交易者的关注点从油价和地缘消息扩展到台积电、达美航空、SK海力士和AI股票广度。
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Chip stocks put the Nasdaq rebound back on earnings watch
A chip-led U.S. equity rebound has put traders back on TSMC, Delta, SK Hynix and AI-stock breadth rather than only the latest oil and geopolitical headline.
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美股反弹油价回落但周末风险仍要提前规划
7月9日美股反弹看起来积极,但油价、黄金和美债收益率的联动提醒交易者,重大消息密集时不宜忽视仓位控制。
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Stocks rebound and oil eases but traders still need a weekend risk plan
The July 9 rebound in U.S. stocks looked constructive, but oil, gold and Treasury-yield moves still argue for smaller positions into headline-heavy sessions.
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百事财报提醒防御股也需要销量验证
百事二季度业绩好于预期,但北美零食和饮料需求压力说明,防御股的财报交易不能只看是否超预期。
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PepsiCo earnings show defensive stocks still need volume proof
PepsiCo beat headline expectations, but weak North American demand shows why stock traders should not treat every defensive earnings beat as low risk.