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股市小作手
2019-10-31
这个胜率在加强一下,在美股市场混下去应该没问题
股市小作手
2019-02-25
$虎牙(HUYA)$当初剩余仓位随便买了虎牙一不小心成了大腿
股市小作手
2019-10-31
2019-10-31 交易笔记 by 股市小作手
2019-10-31 成本 现价 浮动收益 纳伯斯(NBR) 1.83 1.89 3.72% 只要原油价格不继续往下,整个石油行业看一波反弹我觉得还是有操作意义的,所以坚持了这笔多单
2019-10-31 交易笔记 by 股市小作手
股市小作手
2019-01-02
这篇文章不错,转发给大家看
@好文:2019:分化的风险与集聚的机会
去老虎APP查看更多动态
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李迅雷 李迅雷金融与投资 (转载请注明出处:微信公众号lixunlei0722) 日前,本人接受今日头条与新华网的联合微访谈,就卖方研究模式、宏观经济走势与大类资产配置提出了粗浅的观点,应不少读者要求,略作整理和归纳。我在2017年提出了存量经济的观点,认为随着经济增速下行,经济结构变化特征会强于周期性特征。人口、地域、收入、产业、企业的分化和集聚开始加速——分化造成风险,集聚带来机会。 从政策层面看,稳中求进将继续成为2019年治国理政的总原则;从投资层面看,风险偏好下降会成为2019年配置资产主要依据;投资方向上,水往低处走,是为了寻找估值洼地,人往高处走,是为了免受风险冲击。 券商研究所如何应对卖方研究3.0时代 问:在“后新财富”时代,卖方整体环境已经发生了翻天覆地的变化,近期也感受到一些研究员的迷茫。作为所长和资深前辈,你认为卖方分析师应该如何更好体现自己的价值? 李迅雷:目前卖方研究已经严重过剩了,而且研究模式、研究方法与研究方向同质化情况非常严重。从今后看,研究分佣模式未必会长期持续下去,最佳分析师的评选活动仍会继续,也未必能大幅抬高分析师的身价,分析师主要还是靠研究专长来体现自身价值。 目前,只要一发生重大事件,各种点评报告、分析报告以最快的速度、第一时间发送给客户,或者更多是通过自媒体方式来对外传递。这种如潮水般涌向网络媒体的报告,往往有过度解读之嫌,究竟有多少价值,值得怀疑。 在10年前,我曾经对研究员的评价方法用三个不同维度来评估,一是知识的全面性;二是研究深度;三是社会资源的组织能力。 一般而言,要在三个不同方向都获得高分很难,但凡有一项能够获得高分就不错了。这就是为什么如今的卖方研究都需要团队合作,目的在于取长补短。但即便如此,在信息过度泛滥的情况下,卖方研究需要具有深度、独特性,需要为机构客户提供度身打造的个性化服务,这就需要沉下心来做研","listText":"原创: 李迅雷 李迅雷金融与投资 (转载请注明出处:微信公众号lixunlei0722) 日前,本人接受今日头条与新华网的联合微访谈,就卖方研究模式、宏观经济走势与大类资产配置提出了粗浅的观点,应不少读者要求,略作整理和归纳。我在2017年提出了存量经济的观点,认为随着经济增速下行,经济结构变化特征会强于周期性特征。人口、地域、收入、产业、企业的分化和集聚开始加速——分化造成风险,集聚带来机会。 从政策层面看,稳中求进将继续成为2019年治国理政的总原则;从投资层面看,风险偏好下降会成为2019年配置资产主要依据;投资方向上,水往低处走,是为了寻找估值洼地,人往高处走,是为了免受风险冲击。 券商研究所如何应对卖方研究3.0时代 问:在“后新财富”时代,卖方整体环境已经发生了翻天覆地的变化,近期也感受到一些研究员的迷茫。作为所长和资深前辈,你认为卖方分析师应该如何更好体现自己的价值? 李迅雷:目前卖方研究已经严重过剩了,而且研究模式、研究方法与研究方向同质化情况非常严重。从今后看,研究分佣模式未必会长期持续下去,最佳分析师的评选活动仍会继续,也未必能大幅抬高分析师的身价,分析师主要还是靠研究专长来体现自身价值。 目前,只要一发生重大事件,各种点评报告、分析报告以最快的速度、第一时间发送给客户,或者更多是通过自媒体方式来对外传递。这种如潮水般涌向网络媒体的报告,往往有过度解读之嫌,究竟有多少价值,值得怀疑。 在10年前,我曾经对研究员的评价方法用三个不同维度来评估,一是知识的全面性;二是研究深度;三是社会资源的组织能力。 一般而言,要在三个不同方向都获得高分很难,但凡有一项能够获得高分就不错了。这就是为什么如今的卖方研究都需要团队合作,目的在于取长补短。但即便如此,在信息过度泛滥的情况下,卖方研究需要具有深度、独特性,需要为机构客户提供度身打造的个性化服务,这就需要沉下心来做研","text":"原创: 李迅雷 李迅雷金融与投资 (转载请注明出处:微信公众号lixunlei0722) 日前,本人接受今日头条与新华网的联合微访谈,就卖方研究模式、宏观经济走势与大类资产配置提出了粗浅的观点,应不少读者要求,略作整理和归纳。我在2017年提出了存量经济的观点,认为随着经济增速下行,经济结构变化特征会强于周期性特征。人口、地域、收入、产业、企业的分化和集聚开始加速——分化造成风险,集聚带来机会。 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李迅雷 李迅雷金融与投资 (转载请注明出处:微信公众号lixunlei0722) 日前,本人接受今日头条与新华网的联合微访谈,就卖方研究模式、宏观经济走势与大类资产配置提出了粗浅的观点,应不少读者要求,略作整理和归纳。我在2017年提出了存量经济的观点,认为随着经济增速下行,经济结构变化特征会强于周期性特征。人口、地域、收入、产业、企业的分化和集聚开始加速——分化造成风险,集聚带来机会。 从政策层面看,稳中求进将继续成为2019年治国理政的总原则;从投资层面看,风险偏好下降会成为2019年配置资产主要依据;投资方向上,水往低处走,是为了寻找估值洼地,人往高处走,是为了免受风险冲击。 券商研究所如何应对卖方研究3.0时代 问:在“后新财富”时代,卖方整体环境已经发生了翻天覆地的变化,近期也感受到一些研究员的迷茫。作为所长和资深前辈,你认为卖方分析师应该如何更好体现自己的价值? 李迅雷:目前卖方研究已经严重过剩了,而且研究模式、研究方法与研究方向同质化情况非常严重。从今后看,研究分佣模式未必会长期持续下去,最佳分析师的评选活动仍会继续,也未必能大幅抬高分析师的身价,分析师主要还是靠研究专长来体现自身价值。 目前,只要一发生重大事件,各种点评报告、分析报告以最快的速度、第一时间发送给客户,或者更多是通过自媒体方式来对外传递。这种如潮水般涌向网络媒体的报告,往往有过度解读之嫌,究竟有多少价值,值得怀疑。 在10年前,我曾经对研究员的评价方法用三个不同维度来评估,一是知识的全面性;二是研究深度;三是社会资源的组织能力。 一般而言,要在三个不同方向都获得高分很难,但凡有一项能够获得高分就不错了。这就是为什么如今的卖方研究都需要团队合作,目的在于取长补短。但即便如此,在信息过度泛滥的情况下,卖方研究需要具有深度、独特性,需要为机构客户提供度身打造的个性化服务,这就需要沉下心来做研","listText":"原创: 李迅雷 李迅雷金融与投资 (转载请注明出处:微信公众号lixunlei0722) 日前,本人接受今日头条与新华网的联合微访谈,就卖方研究模式、宏观经济走势与大类资产配置提出了粗浅的观点,应不少读者要求,略作整理和归纳。我在2017年提出了存量经济的观点,认为随着经济增速下行,经济结构变化特征会强于周期性特征。人口、地域、收入、产业、企业的分化和集聚开始加速——分化造成风险,集聚带来机会。 从政策层面看,稳中求进将继续成为2019年治国理政的总原则;从投资层面看,风险偏好下降会成为2019年配置资产主要依据;投资方向上,水往低处走,是为了寻找估值洼地,人往高处走,是为了免受风险冲击。 券商研究所如何应对卖方研究3.0时代 问:在“后新财富”时代,卖方整体环境已经发生了翻天覆地的变化,近期也感受到一些研究员的迷茫。作为所长和资深前辈,你认为卖方分析师应该如何更好体现自己的价值? 李迅雷:目前卖方研究已经严重过剩了,而且研究模式、研究方法与研究方向同质化情况非常严重。从今后看,研究分佣模式未必会长期持续下去,最佳分析师的评选活动仍会继续,也未必能大幅抬高分析师的身价,分析师主要还是靠研究专长来体现自身价值。 目前,只要一发生重大事件,各种点评报告、分析报告以最快的速度、第一时间发送给客户,或者更多是通过自媒体方式来对外传递。这种如潮水般涌向网络媒体的报告,往往有过度解读之嫌,究竟有多少价值,值得怀疑。 在10年前,我曾经对研究员的评价方法用三个不同维度来评估,一是知识的全面性;二是研究深度;三是社会资源的组织能力。 一般而言,要在三个不同方向都获得高分很难,但凡有一项能够获得高分就不错了。这就是为什么如今的卖方研究都需要团队合作,目的在于取长补短。但即便如此,在信息过度泛滥的情况下,卖方研究需要具有深度、独特性,需要为机构客户提供度身打造的个性化服务,这就需要沉下心来做研","text":"原创: 李迅雷 李迅雷金融与投资 (转载请注明出处:微信公众号lixunlei0722) 日前,本人接受今日头条与新华网的联合微访谈,就卖方研究模式、宏观经济走势与大类资产配置提出了粗浅的观点,应不少读者要求,略作整理和归纳。我在2017年提出了存量经济的观点,认为随着经济增速下行,经济结构变化特征会强于周期性特征。人口、地域、收入、产业、企业的分化和集聚开始加速——分化造成风险,集聚带来机会。 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