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主題標題: Bradley Siderograph 2006
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    文章一覽:Bradley Siderograph 2006 (新回覆在最前面,最多列出 6 個)  [列出所有回覆]
    rainbow 發表於: 2006/12/20 02:57pm
    暫時, 上升趨勢.

    ~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~

    <pre>道瓊攀高 那指下跌
    2006-12-20
    世界新聞網

    【本報綜合十九日電訊報導】受油價上漲帶動艾克森美孚(ExxonMobil)等能源類股上揚,推動道瓊、史坦普指數上揚;那斯達克指數則因為甲骨文(Oracle)引領科技類股走低而下跌。

    ]道瓊工業指數上漲30.05點或0.24%、達12471.32點,再創新高,盤中也以12491.91點刷新紀錄;史坦普五百指數上漲3.07點或0.22%、達1425.55點;那斯達克指數下跌6.02點或0.25%、至2429.55點。

    11月份生產者物價指數大漲與聯準會通貨膨脹壓力仍在的論調相呼應,儘管如此,投資人仍正面期待利率走向,認為這項數據未必導致利率上揚。

    達拉斯聯邦準備銀行主席費雪(Robert Fisher)公開演講時表示,通貨膨脹仍對經濟成長構成威脅,升息的可能性依舊存在。另外泰國抑制短期資本流入的嚴峻措施引起投資人恐慌、導致曼谷股市19日暴跌將近15%。這兩項消息也沒有對紐約股市交易帶來重大負面影響。

    油價上漲帶動能源類股上揚,對股市挹注推升力道。紐約商品交易所1月份原油期貨價每桶上漲94分、達63.15元;艾克森美孚收盤時上漲1.48元、達76.99元。

    甲骨文盈餘報告不理想,其股價下跌81分至17.1元,為那斯達克100指數下最大跌幅。零售類股表現也欠佳,電路城及上選(Best Buy)兩家電器零售業者都因為業績不佳而股價下跌,史坦普指數下的零售業指數共下跌 0.6%。

    以小企業為主的羅素二千指數上漲0.08點或0.01%、達782.1點。 </pre>



     
    rainbow 發表於: 2006/12/15 08:59pm
    道瓊衝破 12400點
    大漲99.26創新高 就業市場穩健、企業財報亮麗 三大指數齊揚
    2006-12-15
    世界新聞網

    【本報綜合十四日電訊報導】多家企業盈餘亮麗、首度申請失業保險金人數銳減,經濟前景看好,股市14日全面上揚,道瓊指數首度飆過12400點關卡,刷新紀錄。

    道瓊工業指數上漲99.26點或0.81%、達12416.76點。自10月初以來,道指已連續第19次刷新紀錄,盤中也以12431.26創盤中最高點,今年累積漲幅達16%;史坦普五百指數上漲12.28點或0.87%、達1425.49點,盤中以1427.23點創六年新高;那斯達克指數上漲21.44點或0.88%、達2453.85點。

    企業公布亮麗盈餘報告為股市注入力道。貝爾斯登(Bear Stearns)及李曼兄弟(Lehman Brothers)兩家投資券商季度盈餘大增,貝爾斯登股價大漲2.6%;但李曼兄弟盈餘增幅不如競爭對手高盛(Goldman Sachs)所設定的目標,股價下跌。

    微軟公司(Microsoft)在UBS調升其股票目標價之後,收盤價上漲1.8%達30.07元。奇異電氣(GE)股價也上大漲2%、收盤價36.21元。

    就業市場穩健是股價上揚另一關鍵因素;潘阿古拉資產管理公司(PanAgora Asset Management)投資長彼得斯認為,失業人口降低,消費者有能力繼續支出,有利整體經濟發展。

    油價再度上漲,14日紐約商品交易所1月份期貨價每桶上漲1.13元達62.5元。艾克森美孚公司(Exxon Mobil)股價上漲1.37元、收盤價78.73元;雪夫龍公司(Chevron)上漲1.57元、收盤價75.97元。

    油價上揚打擊航空類股。大陸航空(Continental)下跌42分、收盤價44.34元;西南航空(Southwest)下跌19分、收盤價15.75元;聯合航空(UAL)下跌69分、收盤價44.55元。

    以小企業為主的羅素二千指數上漲5.47點或0.69%、達794.22點。
     
    tkm 發表於: 2006/12/01 03:25pm

    此主題相關圖片如下:
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    rainbow 發表於: 2006/11/29 01:50pm
    [這篇文章最後由rainbow在 2006/11/30 02:51pm 第 1 次編輯]

    需要看 Turning Point 大約 1 星期前, 和 1 星期後才可以證實它的 movement direction.

    As of  11 月 29 日午間(美東時間),美國股市是上升.


    ~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~~`
    <pre>AP
    Stocks Rise After GDP Report
    Wednesday November 29, 12:21 pm ET
    By Joe Bel Bruno, AP Business Writer  
    Stocks Rise on Better Than Expected GDP Report; Dow Up 84
    </pre>

    NEW YORK (AP) -- Wall Street rose for a second straight session Wednesday after the government's latest gross domestic product reading showed the economy was in better shape than expected, easing concerns that growth was moderating too sharply.
    The Commerce Department reported that GDP expanded at a 2.2 percent annual rate during the third quarter, and soothed the market's consternation the economy might not achieve a soft landing after more than two years of interest rate hikes. The reading surpassed the previous estimate of 1.6 percent and topped economists' projections for a 1.8 percent gain.

    The report was a sign that the housing slump hasn't been too much of a drag on the economy. It also helped offset another Commerce Department report released Wednesday that indicated new home sales in October suffered their largest drop since July.

    The market appears to be in a consolidation phase after its big rally the past two months. The fact that it has rebounded rather than extending Monday's plunge, when the Dow Jones industrials fell 158 points, indicates many investors want to keep buying although they're watching closely for any signs of economic trouble.

    "There is still negative news out there, outside of the GDP numbers, and I don't know what is going to shock this market," said Alexander Paris, president of Chicago-based Barrington Research. "Investors are really looking over the valley right now, and all this data is going to test that conviction."

    In midday trading, the Dow rose 84.44, or 0.70 percent, to 12,220.89. The Dow rose 14.74 Tuesday.

    Broader stock indicators also advanced. The Standard & Poor's 500 index was up 11.11, or 0.80 percent, at 1,397.83, and the Nasdaq composite index added 19.11, or 0.79 percent, to 2,431.72.

    Bonds were mostly flat, with the yield on the benchmark 10-year Treasury note edging lower to 4.51 percent from 4.50 percent late Tuesday. Gold prices also pushed lower.

    The strong GDP figures also helped the dollar rebound from a 20-month low against the euro. Economic news in the past six trading sessions had dimmed the prospect of higher interest rates, which tend to strengthen a currency by making investments in it more attractive.

    Comments from Federal Reserve Chairman Ben Bernanke on Tuesday that U.S. growth will pick up next year also supported the dollar. He said Fed policy makers, who meet again on Dec. 12, would not hesitate to raise interest rates further if inflation remained a risk.

    Oil prices advanced after weekly supply data showed U.S. inventories fell more than expected. This pushed a barrel of light sweet crude up 95 cents to $61.94 on the New York Mercantile Exchange.

    The jump helped shares of energy stocks, with Exxon Mobil Corp. up 80 cents at $74.96. ConocoPhillips rose $1.07 to $65.98.

    Jewelry retailer Tiffany & Co. helped lead the S&P 500 after it reported third-quarter profit grew a stronger than expected 23 percent as U.S. customers increased spending. The luxury goods retailer also raised fiscal 2006 guidance. Shares of the company surged $2.37, or 6.6 percent, to $38.30.

    Pfizer Inc., the world's largest drugmaker, gained 19 cents to $27.24 after it announced plans to cut 20 percent of its U.S. sales force, or about 2,200 jobs. The move is part of a cost-cutting program to transform the company into a more nimble organization as it struggles with sluggish sales.

    Ford Motor Co. rose 11 cents to $8.26 after the second-largest U.S. automaker said about 38,000 of its hourly production workers accepted buyouts or early retirement as part of its restructuring. Ford announced Sept. 15 plans to reduce its North American hourly work force by 25,000 to 30,000.

    Apple Computer Inc. rose 30 cents to $92.11 after Bear Stearns said the company will see increasing demand for its Macintosh computers and iPod music players. The stock hit a new all-time high of $93.16 Monday, following news of strong Thanksgiving weekend sales.

    The Russell 2000 index of smaller companies was up 9.32, or 1.20 percent, at 784.14.

    Advancing issues outnumbered decliners by almost 3 to 1 on the New York Stock Exchange, where volume came to 633.9 million shares compared to 678.1 million at the same point on Tuesday.

    European shares broke a five-session losing streak, with Britain's FTSE 100 up 0.97 percent, Germany's DAX index up 1.31 percent, and France's CAC-40 adding 1.41 percent. European indexes have been under pressure in recent sessions as shares in exporters were hit by a weaker dollar.

    Japan's Nikkei stock average closed up 1.39 percent.




     
    rainbow 發表於: 2006/11/29 01:47pm
    油價上漲 推升股市
    2006-11-29
    世界新聞網

    【本報綜合廿八日電訊報導】儘管消費者信心指數下降、耐久財訂單不如預期、聯準會主席柏南基仍擔憂通貨膨脹壓力,但油價上揚帶動能源類股上升,股市28日起伏震盪上漲作收。

    道瓊工業指數上漲14.74點或0.12%、達12136.45點;史坦普五百指數上漲4.82點或0.35%、達1386.72點;那斯達克指數上漲6.69點或0.28%、達2412.61點。

    油價上漲是推升28日股價的主要因素。在預期美國今年會有寒冷的冬天之下,紐約商品交易所1月份原油期貨價上漲0.67元、達每桶60.99元。

    能源類股隨即飆漲,艾克森美孚公司(Exxon Mobil)股價上漲2.3%或1.69元,收盤價74.16元;雪夫龍(Chevron)股價也上漲1.13元或1.6%、收盤價69.88元。

    戴維森公司(D.A.Davidson)市場策略專家狄克森表示,感恩節之前到現在,油價每桶漲幅已經超過2元,驅使能源類股上漲、進而推升整體股市。

    股票經紀商的操作也影響股價走勢。Neuberger Berman投資組合經理柴林斯基表示,周四是許多經紀商本會計年度最後一天,經紀商在此日之前都減量操作。

    華克維證券(Wachovia Se-curities)資產策略長山都樂說,華爾街券商在會計年度結束前不會太在意經濟數據,只想安然度過最後幾天。

    以小企業為主的羅素二千指數上漲2.72點或0.35%、達774.82點。
     
    rainbow 發表於: 2006/11/28 01:41pm
    [這篇文章最後由rainbow在 2006/11/29 02:42pm 第 1 次編輯]

    <pre>利空打壓 股市重挫
    道瓊跌158.46 那指落54.34 交易恢復熱絡
    2006-11-28
    世界新聞網

    【本報綜合廿七日電訊報導】受美元兌歐元跌至20個月新低點以及華爾市場(Wal-Mart)銷售衰退等影響,股市27日全面下跌。

    道瓊工業指數大跌158.46點或1.29%、至12121.71點,是7月中旬以來最大單日跌幅;史坦普五百指數下跌19.05點或1.36%、至1381.9點;那斯達克指數下跌54.34點或2.21%、至2405.92點。

    美元兌歐元匯價27日已經連續第五市下跌,反映海外投資人感受美國經濟成長趨緩,自美國股市撤資現象。此外,華爾市場公布11月份同店銷售量出現十年來首度負成長,投資人因此對零售業績感到憂心。

    太陽信託銀行(SunTrust Banks)首席經濟學家米勒表示,已有明確跡象顯示年底假期零售業銷售將不如預期,感恩節假期逛街人潮踴躍未必代表零售業者有豐厚獲利。追蹤零售業銷售情況的Shopper Trak公司指出,感恩節過後的黑色星期五,全美零售業銷售約較去年同期成長6%。

    投資人過去二個月股市大漲獲利了結後,資金不輕易投入股市,也是造成27日股價下跌的因素之一。

    福特公司(Ford Motor)宣布打算舉借180億元,股價大跌4.2%;搜尋引擎龍頭大廠谷歌公司(Google)指稱其股價被過度炒高,股價重挫4%,是那斯達克指數下跌幅最大的個股。

    航空類股則因為油價上揚而下跌;大陸航空(Continental Airlines)下跌7.3%、美利堅航空母公司AMR下跌5.6%。紐約商品交易所27日原油期貨價每桶上漲1.08元、達60.32元。

    股市交易恢復熱絡,紐交所交易量16億1000萬股、符合去年單日平均值。那斯達克市場達20億股,超過去年單日平均量。

    以小企業為主的羅素二千指數下跌20.17點或2.55%、達772.11點。 </pre>

     


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