科技股遇劫 非常期待看股神备战
缘政治风险再起,恐慌指数弹升,股市因风险趋避而出现明显回落,重灾区集中科技股,拖累上周美股表现。在股市震荡加剧之际,市场关注“13F持仓报告”的大型投资机构持股变化,股神巴菲特旗下的波克夏依然加码科技股。
PIMCO预期,美国经济成长与通膨都将趋缓,但仍分别高于长期成长趋势与中行目标,并经历3个转型阶段:一、财政刺激与货币政策对于经济成长的支持力道下降。二、服务消费将进一步复苏,取代疫情期间的实体商品消费。三、企业回补库存将取代内需消费贡献的成长动能。预期美国核心消费者物价指数年增率将在第一季触顶,写下6%高点,通膨将在2022年下半年降至联储局的目标水平。
根据美国证管会公布的“13F持仓报告”,透露大型投资机构去年第四季最新投资状况。其中,股神巴菲特旗下的波克夏,大举加码科技类股,持股比重从44.44%拉升到49.28%,增加近5%,是唯一逆势加码的行业,同时,更买进电竞公司动视暴雪的股票。而以重押创新科技股闻名的方舟投资,虽大砍特斯拉持股,但仍旧展现剽悍作风,加码科技、通讯服务与医疗类股,包括:远距医疗公司Teladoc、基因编辑公司CHRISPR,持股都大幅增加。反观索罗斯、桥水等知名避险基金公司,转向保守心态,减码科技股、增持消费类股,索罗斯更与巴菲特对作,减仓动视暴雪。
根据分析,历经近3个月的调整后,美股已进入超跌阶段,特别是高本益比的中小型股公司,都出现停损卖压。随着投资者逐渐适应收益率水平,待未来联储局政策上路、通膨触顶回落,市场可望展开多头反攻
https://www.sinchew.com.my/20220221/%E7%A7%91%E6%8A%80%E8%82%A1%E9%81%87%E5%8A%AB-%E9%9D%9E%E5%B8%B8%E6%9C%9F%E5%BE%85%E7%9C%8B%E8%82%A1%E7%A5%9E%E5%A4%87%E6%88%98/
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