金吾财讯 | 特朗普摇摆的关税政策引发全球股市的不确定性,标普500指数今年第一季创下自2022年以来的单季最差表现,标指2025年第一季跌幅达4.6%;纳指综合大跌10.5%;道指则微跌1.3%。上星期五(3月28日)美股出现星期五效应,3大指数均跌近日低收市,纳指100下挫517点,盘后纳指6月期货再加深跌幅,跌629点收市。纳指过去连续4个星期五皆上涨的节奏改变了,已预视下一个交易日,即周一(3月31日)高概率会出现一段下杀止损单的恐惧激荡,周一NQ 期货早段开市跌逾200点,并跌破3月11日以来的波段低位,待晚上美股正式开市时段,纳指一开市即再挫一会,科技七巨头(Magnificent 7)领跌,首30分钟上演一出好戏,纳指100挫近500点,跌至市场恐惧才V弹。周一收市标普倒升30大点或0.55%,纳指100 (NDX ) 大幅收窄跌幅只微跌3点。纳指自上周三从反弹波段高位回落,连挫3天后,昨天(0331)出现V底反弹讯号,熟悉的节奏响起,预视第二阶段的恐惧低位已出现,未来将呈现震荡反弹势,虽然未来的涨跌仍然处于特朗普的关税政策上改变突发上,投资人难以捉摸,但既然看不懂特朗普政策,不如不看新闻只估节奏。港股方面,昨天恒指跟随全球股市下跌,险守23000点,今天(0401)反弹,暂时仍然受制于20天线至23900之间的阻力位,预视第二季港股难像第一季般的强势表现,4月份先偏向于再跌破3月31日的波段低位23000点一些。
【作者简介】Option Jack:国际市场资深全职交易员,32 年市场实务期货期权交易经验。前投资机构交易员、前投资机构资深分析顾问。前理财周刊期权专栏主笔、经济一周 期权专栏作者。在多个著名财经媒体包括 Now 财经台、新城财经台、策略王直播嘉宾。有畅销著作:《盘房爆炒30年》及《哪有一天不交易》
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