2026-09-21
ASML 处于长期牛市完好、中期回调未修复、短期 V 型反弹进行中的复合结构,证据多空对峙,缺乏基本面催化,无法明确偏向买入或卖出。
综合五份报告:1) 长期趋势明显偏多(MA200 1509 下方支撑带 +252 日 +80.22%),dexter、vibe_trading、ai_trader 均认可;2) 中期趋势明显偏空(现价卡在 MA50 1722 与 MA60 1740 之间,MACD -5.50、60 日 -4.70%、20 日 -4.02%),daily_stock_analysis 直接定义为空头排列;3) 短期出现 V 型反弹信号(9/14 -7.26% 恐慌抛售 + 9/18 +3.09% 极端放量吸纳),但未突破 MA50 确认反转;4) Kronos 量化模型预测 20 日 -13.36%(目标 1455),是唯一的明确看空证据;5) 基本面证据完全缺失(财报、订单、出口管制口径均未提供),无法从盈利端证伪或证实技术反弹。Buy/hold/sell 票数看似 1/3/1,但 Kronos 仅为模型输出而非常规研究,而 ai_trader 的 BUY 自评置信度仅 0.55 且附带 MA50 放量站稳的硬性触发条件,本质仍是'试探性 BUY'。三份高质量技术分析(daily_stock_analysis、vibe_trading、dexter)一致给出 HOLD,且各自论据相互呼应:上方阻力密集、下方支撑未破、风险收益不显著偏多。在长期多头 vs 中期空头 vs 基本面真空的三方对峙下,机械投票或强行给出 BUY/SELL 都缺乏高质量证据支撑,HOLD 是唯一符合证据强度的判断。但因 Kronos 模型给出可观下行空间预测、加上中期趋势尚未修复,置信度仅给到中等偏下(58),并应在持仓层面设定 1665-1575 的分级止损与 1722-1764 的突破加仓触发条件以应对后续方向明朗化。Kronos 量化模型基于 251 根日线预测未来 20 个交易日下跌 13.36%,目标位 1455.44。
支撑位反弹初期而非趋势反转确认,风险收益比不显著偏多也不偏空,建议持有等待方向性信号。
盘前强势反弹至 MA20 之上、短期均线金叉雏形,但置信度仅 0.55,且明确提示 MA50/MA60 压制与 MACD 仍为负的未确认状态。
均线空头排列未改、缩量反弹至 MA20 压力区,评分 42(偏空震荡),建议等趋势确认再介入。
V 型反弹+极端放量反转信号已现,但 MA50 未收复、基本面催化缺失,加权得分 3.25 偏中性。
当日各策略报告
2026-09-21Kronos 量化模型基于 251 根日线预测未来 20 个交易日下跌 13.36%,目标位 1455.44。
纯量化时序模型输出,未涉及基本面或分析师判断,预测目标 1455 远低于 20 日支撑 1572 与 MA200 长期牛熊分界 1509,方向明确偏空,但作为单点模型结论需与定性分析交叉验证。原始报告
Kronos Forecast Feature Report — ASML
Generated at: 2026-09-21T10:28:03.260Z
Feature state
- Decision label: SELL
- Last close: 1679.92
- Forecast return: -13.36%
- Forecast close: 1455.44
- Forecast high: 1712.48
- Forecast low: 1348.52
- Prediction window: 20 business days
- Confidence: 59%
Summary
Kronos model inference projects -13.4% 20-business-day close drift from 251 real daily candles supplied by 统一行情上下文 mc_ASML_20260921102802_local_job_daily_20260921_ASML_kronos_premarket.
Provenance
- GitHub source: shiyu-coder/Kronos
- Runtime source directory: /Users/jaydon/weekly_stock_agent/Kronos
- Data source: 统一行情上下文 mc_ASML_20260921102802_local_job_daily_20260921_ASML_kronos_premarket
- Kronos model inference: yes
- Engine version: shiyu-coder/Kronos:NeoQuasar/Kronos-small
This is a quant feature extraction report, not investment advice.
支撑位反弹初期而非趋势反转确认,风险收益比不显著偏多也不偏空,建议持有等待方向性信号。
作者明确量化:上方空间至 20 日阻力 1790 仅 +4.6%,下方空间至 20 日支撑 1572 为 -8.1%,风险收益比不利于立即买入;但长期上升趋势完好、破坏性下跌未发生,亦不应卖出。最终维持 HOLD 等待中期均线收复或支撑跌破的方向性信号。原始报告
Dexter Research Report — ASML
Generated at: 2026-09-21T10:29:03.248Z
Decision
HOLD
ASML 投资研究报告
评级:HOLD(持有)
报告日期:2026年9月21日(盘前)
一、业务背景
ASML(阿斯麦)是全球领先的半导体光刻设备制造商,主营业务集中于高端光刻机系统——尤其是极紫外(EUV)光刻机——是先进制程芯片制造(如先进逻辑芯片与高带宽存储)所必需的关键资本品。其客户高度集中于全球领先晶圆厂,订单与出货节奏与全球先进制程资本开支周期深度绑定。
在所提供的行情快照中,由于不包含基本面数据,本报告仅基于价格行为、均线系统、动量结构、量能与风险指标进行判断。
二、市场证据
1. 关键价格水平
当前盘前报价:1711.45 美元,较前一交易日收盘 1679.92 美元上涨 +1.88%。
| 关键水平 | 价格 (USD) | 与现价距离 |
|---|---|---|
| 20日阻力 | 1790 | -4.39% |
| 50日均线 | 1722.15 | -0.62% |
| 60日均线 | 1739.56 | -1.65% |
| 20日均线 | 1689.40 | +1.30% |
| 20日支撑 | 1572.84 | +8.81% |
| 52周高点 | 1999.96 | -14.43% |
| 52周低点 | 925.87 | +84.83% |
2. 均线结构
价格位于 5/10/20 日均线之上,但仍位于 50/60 日均线之下,呈现典型的"短线修复、中期承压"形态:
- MA5(1615.69):现价上方约 5.6%
- MA20(1689.40):现价已突破
- MA50(1722.15):现价下方约 0.6%,构成近期关键阻力
- MA200(1509.47):现价远在其上方 13.4%,长期上升趋势仍完好
3. 动量指标
- RSI(14):48.44 —— 中性,未到超买/超卖- MACD 柱状图:-5.50 —— 仍为负值,短期动能尚未确认翻正
4. 量能
- 5日均量:1,760,060 股
- 20日均量:1,256,500 股
- 量比 1.40 —— 反弹阶段量能放大,是正面信号
5. 回报率
| 区间 | 回报 |
|---|---|
| 1日 | +1.88% |
| 5日 | -1.08% |
| 20日 | -4.02% |
| 60日 | -4.70% |
| 252日 | +80.22% |
长期涨幅显著,但中期(1–3 个月)处于震荡回撤阶段。
6. 价格行为复盘
- 6 月 30 日触及 1999.96(52周高点附近)
- 7 月 27 日单日下挫至 1553区域后,7 月底出现放量反弹失败
- 8 月中旬反弹至 1883 区域,再次回落
- 9 月 14 日回踩 1572.84(与20 日支撑几乎重合)
- 9 月 15–18 日连续反弹至 1679.92
- 9 月 21 日盘前进一步上行至 1711.45
关键观察:9月14日精准测试20日支撑后出现明确反弹,5个交易日累计回升约8.6%,量能同步放大,呈现典型的"支撑位放量反弹"形态。
三、风险
- 中期趋势尚未修复:现价仍位于 MA50/MA60 下方,MACD 柱状图为负,意味着反弹能否演变为新一轮中期上行尚需确认。
- 关键阻力密集:50日均线(1722)、60日均线(1739.56)、20日阻力(1790)层层压制,距现价 0.6%–4.4%。
- 高波动率:20日年化波动率高达 38.7%,属于高弹性标的;过去12 个月最大回撤达 -22.05%,下行风险不容忽视。
- 中期回报为负:20日 /60日回报均为负值(-4.0% / -4.7%),说明前期高点套牢盘较重。
- 盘前流动性偏低:成交量为 0(盘前数据),+1.88% 的涨幅需待正常交易时段量能验证。
- 基本面不可见:本数据快照不含订单、营收、毛利率、客户集中度或地缘风险信息,无法评估基本面催化或逆风。
四、决策逻辑
支持买入的因素:
- 长期上升趋势完好(远在 MA200 上方,252日 +80%)
- 精准回踩 20日支撑后放量反弹
- RSI 中性,提供进一步上行空间
- 量能放大配合价格上涨不支持买入的因素:
- 仍位于 MA50/MA60 下方,中期结构未修复
- MACD 柱状图仍为负,动能未确认
- 距上方多重阻力仅 0.6%–4.4%,上行空间有限
- 20日/60日回报仍为负
综合判断:
当前价格行为属于 "支撑位反弹的早期阶段",而非趋势反转确认。MACD 仍为负、中期均线未被收复,向上空间(至 20 日阻力 1790)约 4.6%,向下空间(至 20 日支撑 1572)约 8.1%,风险收益比并不显著有利于立即买入。
与此同时,长期趋势未破、支撑精准反弹、量能配合,意味着不应在此处卖出——破坏趋势的下跌尚未发生,过早离场可能错过修复行情。
结论:持有现有仓位等待中期均线收复或支撑跌破的方向性信号。
最终评级:HOLD
Provenance
- GitHub source: virattt/dexter
- Runtime source directory: /Users/jaydon/dexter
- Adapter version: dexter-agent-v1
- Engine version: virattt/dexter:pool-auto
- Data sources: Dexter GitHub source, Configured Dexter tools, Configured LLM provider
This is automated financial research, not investment advice.
盘前强势反弹至 MA20 之上、短期均线金叉雏形,但置信度仅 0.55,且明确提示 MA50/MA60 压制与 MACD 仍为负的未确认状态。
作者最终给出 BUY,但附带低置信度(0.55)与严格的触发条件(须站稳 MA50=1722 并放量),且主动列出 MACD 仍负、盘前零成交量、MA50/MA60 阻力密集等多项风险,本质为'试探性买入'而非趋势性看多。原始报告
AI-Trader 官方策略报告 — ASML
生成时间:2026-09-21T10:29:38.172Z
归一化结论
BUY
官方策略原始输出
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"title": "ASML 官方策略信号 2026-09-21",
"content": "AI-Trader 官方市场分析信号:ASML。\n\n官方信号:BUY。\n\n最新价格:1801.58。\n\nASML 盘前走强,价格上穿 MA20,短期均线由空转多,呈现自 20 日支撑位反弹的修复结构;中长期 MA200 仍提供强力多头背景,但 MACD 仍为负、RSI 中性,趋势反转尚未完全确认。",
"conclusion": "BUY: ASML 盘前走强,价格上穿 MA20,短期均线由空转多,呈现自 20 日支撑位反弹的修复结构;中长期 MA200 仍提供强力多头背景,但 MACD 仍为负、RSI 中性,趋势反转尚未完全确认。",
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"tags": "ai-trader-room,official-adapter",
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"points_earned": 10
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"market": "us-stock",
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"last_updated_at": "2026-07-24T06:24:06.429300Z",
"macro_verdict": "neutral",
"macro_bullish_count": 1,
"macro_total_count": 5,
"macro_summary": "Macro signals are mixed and do not show a clear regime.",
"macro_summary_zh": "当前宏观信号分化,尚未形成明确主导方向。",
"etf_direction": "mixed",
"etf_summary": "Estimated BTC ETF flow is mixed.",
"etf_summary_zh": "估算的 BTC ETF 资金方向分化。",
"etf_tracked_count": 8,
"featured_stock_count": 4,
"news_status": "elevated",
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"top_headline": "Old Dominion stock holds firm as LTL demand supports revenue growth",
"top_source": "Simply Wall Street",
"created_at": "2026-07-24T06:24:06.429300Z"
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"summary": "BuzzFeed (BZFD) director Washington Stanley Eric was granted 156,250 restricted stock units (RSUs) on July 21, 2026. These RSUs, each representing one share of Class A common stock, will vest in four equal quarterly installments, contingent on his continued service to the company. Following this grant, Eric directly holds 156,250 RSUs that do not expire but either vest or are cancelled prior to the vesting dates.",
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{
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"source": "StreetInsider",
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"banner_image": "https://www.streetinsider.com/images/news2/190/19018223/upgradeSItop.jpg",
"time_published": "2026-07-24T06:03:37Z",
"overall_sentiment_score": 0.304565,
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"relevance_score": 1,
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"url": "https://www.ad-hoc-news.de/boerse/news/ueberblick/host-hotels-and-resorts-stock-holds-steady-after-latest-earnings/69858516",
"source": "Ad-hoc-news.de",
"summary": "Host Hotels & Resorts (US44107P1049) stock remains stable following its latest earnings report, with its performance primarily driven by revenue, profitability, and balance-sheet management. As a US lodging REIT listed on Nasdaq, the company's stock narrative is influenced by room demand, average daily rates, and its portfolio of upper-upscale and luxury hotels. Investors focus on how well its operations support distributions and debt service amidst resilient travel demand, with asset quality and capital allocation being key drivers.",
"banner_image": "https://mdb.ad-hoc-news.de/bild/bild-2706863_1100_0.webp",
"time_published": "2026-07-24T06:00:00Z",
"overall_sentiment_score": 0.125727,
"overall_sentiment_label": "Neutral",
"ticker_sentiment": [
{
"ticker": "HST",
"relevance_score": 1,
"sentiment_score": 0.122851,
"sentiment_label": "Neutral"
}
],
"topics": [
{
"topic": "earnings",
"relevance_score": 0.935744
},
{
"topic": "real_estate",
"relevance_score": 0.830505
},
{
"topic": "financial_markets",
"relevance_score": 0.700496
}
]
},
{
"title": "Old Dominion stock holds firm as LTL demand supports revenue growth",
"url": "https://www.ad-hoc-news.de/boerse/news/ueberblick/old-dominion-stock-holds-firm-as-ltl-demand-supports-revenue-growth/69858410",
"source": "Ad-hoc-news.de",
"summary": "Old Dominion Freight Line (ODFL) continues to demonstrate strong performance in the US less-than-truckload (LTL) freight market, driven by disciplined capacity management and resilient domestic demand. The company reported increased revenue and operating income in its most recent quarter, achieving high operating margins uncommon in the logistics sector. ODFL's financial strategy focuses on high returns on capital, a conservative balance sheet, and returning value to shareholders through dividends and share repurchases, leading to consistent EPS growth.",
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{
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"agentAnalysis": {
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"signal": "BUY",
"summary": "ASML 盘前走强,价格上穿 MA20,短期均线由空转多,呈现自 20 日支撑位反弹的修复结构;中长期 MA200 仍提供强力多头背景,但 MACD 仍为负、RSI 中性,趋势反转尚未完全确认。",
"confidence": 0.55,
"evidence": [
"盘前报价 1711.45,较前收 1679.92 上涨 1.88%,站上 MA20(1689.40)和 MA10(1667.43)",
"MA5(1615.69)位于 MA10 下方形成短期金叉雏形,5 日均线上穿 10 日均线趋势有利于多头",
"价格仍高于 MA200(1509.47),252 日累计涨幅 +80.22%,长期上升趋势未破坏",
"9 月 14 日触及 20 日支撑 1572.84 后连续反弹,9 月 18 日收于 1679.92,确认支撑有效",
"5 日均量较 20 日均量放大约 1.40 倍,近期量能配合反弹"
],
"risks": [
"盘前报价成交量为 0,存在报价不实或流动性不足风险,需以正式开盘成交为准",
"MACD 柱状图仍为负值(-5.50),中期动能尚未转正",
"价格仍位于 MA50(1722.15)和 MA60(1739.56)下方,中期均线构成压制",
"距 20 日阻力 1790 仅 -4.4%,距 52 周高点 2000 仍有 -14.4%,上方阻力密集",
"年化波动率高达 38.7%,近一年最大回撤 -22.05%,波动风险显著",
"近 60 日累计仍下跌 4.70%,中期趋势仍偏弱,反弹或仅为下跌中继"
],
"officialConclusion": "ASML 当前处于中期回调末期的修复行情中:盘前价格强势反弹至 MA20 之上,短期均线结构改善,叠加 MA200 多头背景完好,支持阶段性买入判断。然而,MACD 仍为负、RSI 中性、价格仍受 MA50/MA60 压制,且盘前无成交量确认,使得趋势反转尚未完整确立。建议以轻仓试探性买入为主,止损参考 20 日支撑 1572.84 上方;若有效站稳 MA50(1722)并伴随成交量放大,可考虑加仓;上方首要目标 1790 阻力,突破后可看向 1900 区域。综合权衡反弹结构与未确认的中期动能,给予 BUY 信号,但置信度中性偏低(0.55),并强调严格止损与仓位控制。",
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"rawText": "<think>Let me analyze this data carefully for ASML.\n\nKey observations:\n1. Current price: 1711.45 (premarket), regular close: 1679.92\n2. The quote is from \"premarket\" session with volume 0 - this is concerning\n3. changePct: 1.88% (premarket movement)\n4. RSI14: 48.4 - neutral\n5. MACD Hist: -5.5 - bearish momentum\n6. MA5: 1615.69, MA10: 1667.43, MA20: 1689.40 - price is above short-term MAs but below MA20\n7. MA50: 1722.15, MA60: 1739.56 - price is below these\n8. MA200: 1509.47 - price is well above long-term MA (still in uptrend)\n9. Recent trend: ret5d -1.08%, ret20d -4.02%, ret60d -4.70% - short-term declining\n10. ret252d: 80.22% - strong long-term uptrend\n11. 52w high: 2000, distance from high: -14.4%\n12. Support20d: 1572.84, Resistance20d: 1790\n13. Price is 8.8% above 20d support, 4.4% below 20d resistance\n14. Volatility (annualized): 38.7% - high\n15. Max drawdown 1y: -22%\n16. Volume ratio 5d/20d: 1.40 - elevated recent volume\n\nThe premarket quote has volume 0 which is suspicious - this might be a stale or non-trade premarket quote. But it's flagged as not stale (81 seconds old).\n\nLooking at the candlestick data:\n- Recent low around 1572-1575 (Sept 14)\n- Recovery to 1679.92 on Sept 18\n- Now premarket showing 1711.45 - that would be a +1.88% move overnight\n\nThe pattern looks like a recovery off recent lows. The stock hit a low of 1572.84 on Sept 14, recovered to 1679.92 by Sept 18, and premarket is suggesting further upside to 1711.45.\n\nKey technical levels:\n- Above MA5 (1615.69) and MA10 (1667.43) ✓ bullish short-term\n- Below MA20 (1689.40) - just barely below ✓ caution\n- Below MA50 (1722.15) ✗ bearish intermediate\n- Above MA200 (1509.47) ✓ bullish long-term\n\nThe stock is in a recovery phase from recent lows but hasn't yet reclaimed the key MAs. The premarket move suggests potential upside.\n\nHowever, with MACD histogram negative and RSI neutral, momentum isn't confirmed bullish yet.\n\nI think the signal should be HOLD or slight BUY. Given:\n- Recovery from oversold lows\n- Above short-term MAs\n- Premarket strength\n- But still below key MAs (20, 50)\n- Negative MACD\n- Neutral RSI\n- High volatility\n\nI'll lean toward HOLD with slight bullish bias. The setup could become a buy if it breaks above MA20 (1689) with conviction, but for now, the trend isn't fully confirmed.\n\nActually, let me reconsider. The premarket move of +1.88% is significant and pushes the price above MA20. If we use 1711.45 as the effective current price:\n- Above MA20 (1689.40) ✓\n- Still below MA50 (1722.15) ✗\n- Still below MA60 (1739.56) ✗\n- RSI14 at 48.4 - if price is higher, RSI would be higher too (closer to 55-60 perhaps)\n\nThis looks like a potential bullish breakout attempt. With volatility at 38.7%, this is a volatile stock but the trend reversal signs are appearing.\n\nI think BUY is defensible here with moderate confidence, but HOLD is also reasonable. Let me go with BUY with moderate confidence given the recovery pattern and premarket strength, but acknowledge the risks.\n\nActually, considering:\n1. The premarket quote has volume 0 - this is a flag\n2. The price action shows recovery but not yet a confirmed breakout\n3. MACD still negative\n\nI'll go with HOLD with a slight bullish lean, confidence around 0.55.\n\nWait, let me reconsider one more time. The setup:\n- Strong 252-day return (+80%)\n- Recent pullback of about 4.7% over 60 days\n- Bottoming process around 1572 support\n- Recovery underway\n- Premarket gap up\n\nThis is a classic \"buy the dip in uptrend\" setup. With MA200 as long-term support way below, the risk-reward favors upside.\n\nI'll go with BUY, confidence 0.55-0.6.</think>\n\n```json\n{\n \"signal\": \"BUY\",\n \"summary\": \"ASML 盘前走强,价格上穿 MA20,短期均线由空转多,呈现自 20 日支撑位反弹的修复结构;中长期 MA200 仍提供强力多头背景,但 MACD 仍为负、RSI 中性,趋势反转尚未完全确认。\",\n \"confidence\": 0.55,\n \"evidence\": [\n \"盘前报价 1711.45,较前收 1679.92 上涨 1.88%,站上 MA20(1689.40)和 MA10(1667.43)\",\n \"MA5(1615.69)位于 MA10 下方形成短期金叉雏形,5 日均线上穿 10 日均线趋势有利于多头\",\n \"价格仍高于 MA200(1509.47),252 日累计涨幅 +80.22%,长期上升趋势未破坏\",\n \"9 月 14 日触及 20 日支撑 1572.84 后连续反弹,9 月 18 日收于 1679.92,确认支撑有效\",\n \"5 日均量较 20 日均量放大约 1.40 倍,近期量能配合反弹\"\n ],\n \"risks\": [\n \"盘前报价成交量为 0,存在报价不实或流动性不足风险,需以正式开盘成交为准\",\n \"MACD 柱状图仍为负值(-5.50),中期动能尚未转正\",\n \"价格仍位于 MA50(1722.15)和 MA60(1739.56)下方,中期均线构成压制\",\n \"距 20 日阻力 1790 仅 -4.4%,距 52 周高点 2000 仍有 -14.4%,上方阻力密集\",\n \"年化波动率高达 38.7%,近一年最大回撤 -22.05%,波动风险显著\",\n \"近 60 日累计仍下跌 4.70%,中期趋势仍偏弱,反弹或仅为下跌中继\"\n ],\n \"officialConclusion\": \"ASML 当前处于中期回调末期的修复行情中:盘前价格强势反弹至 MA20 之上,短期均线结构改善,叠加 MA200 多头背景完好,支持阶段性买入判断。然而,MACD 仍为负、RSI 中性、价格仍受 MA50/MA60 压制,且盘前无成交量确认,使得趋势反转尚未完整确立。建议以轻仓试探性买入为主,止损参考 20 日支撑 1572.84 上方;若有效站稳 MA50(1722)并伴随成交量放大,可考虑加仓;上方首要目标 1790 阻力,突破后可看向 1900 区域。综合权衡反弹结构与未确认的中期动能,给予 BUY 信号,但置信度中性偏低(0.55),并强调严格止损与仓位控制。\"\n}\n```",
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"content": "<think>Let me analyze this data carefully for ASML.\n\nKey observations:\n1. Current price: 1711.45 (premarket), regular close: 1679.92\n2. The quote is from \"premarket\" session with volume 0 - this is concerning\n3. changePct: 1.88% (premarket movement)\n4. RSI14: 48.4 - neutral\n5. MACD Hist: -5.5 - bearish momentum\n6. MA5: 1615.69, MA10: 1667.43, MA20: 1689.40 - price is above short-term MAs but below MA20\n7. MA50: 1722.15, MA60: 1739.56 - price is below these\n8. MA200: 1509.47 - price is well above long-term MA (still in uptrend)\n9. Recent trend: ret5d -1.08%, ret20d -4.02%, ret60d -4.70% - short-term declining\n10. ret252d: 80.22% - strong long-term uptrend\n11. 52w high: 2000, distance from high: -14.4%\n12. Support20d: 1572.84, Resistance20d: 1790\n13. Price is 8.8% above 20d support, 4.4% below 20d resistance\n14. Volatility (annualized): 38.7% - high\n15. Max drawdown 1y: -22%\n16. Volume ratio 5d/20d: 1.40 - elevated recent volume\n\nThe premarket quote has volume 0 which is suspicious - this might be a stale or non-trade premarket quote. But it's flagged as not stale (81 seconds old).\n\nLooking at the candlestick data:\n- Recent low around 1572-1575 (Sept 14)\n- Recovery to 1679.92 on Sept 18\n- Now premarket showing 1711.45 - that would be a +1.88% move overnight\n\nThe pattern looks like a recovery off recent lows. The stock hit a low of 1572.84 on Sept 14, recovered to 1679.92 by Sept 18, and premarket is suggesting further upside to 1711.45.\n\nKey technical levels:\n- Above MA5 (1615.69) and MA10 (1667.43) ✓ bullish short-term\n- Below MA20 (1689.40) - just barely below ✓ caution\n- Below MA50 (1722.15) ✗ bearish intermediate\n- Above MA200 (1509.47) ✓ bullish long-term\n\nThe stock is in a recovery phase from recent lows but hasn't yet reclaimed the key MAs. The premarket move suggests potential upside.\n\nHowever, with MACD histogram negative and RSI neutral, momentum isn't confirmed bullish yet.\n\nI think the signal should be HOLD or slight BUY. Given:\n- Recovery from oversold lows\n- Above short-term MAs\n- Premarket strength\n- But still below key MAs (20, 50)\n- Negative MACD\n- Neutral RSI\n- High volatility\n\nI'll lean toward HOLD with slight bullish bias. The setup could become a buy if it breaks above MA20 (1689) with conviction, but for now, the trend isn't fully confirmed.\n\nActually, let me reconsider. The premarket move of +1.88% is significant and pushes the price above MA20. If we use 1711.45 as the effective current price:\n- Above MA20 (1689.40) ✓\n- Still below MA50 (1722.15) ✗\n- Still below MA60 (1739.56) ✗\n- RSI14 at 48.4 - if price is higher, RSI would be higher too (closer to 55-60 perhaps)\n\nThis looks like a potential bullish breakout attempt. With volatility at 38.7%, this is a volatile stock but the trend reversal signs are appearing.\n\nI think BUY is defensible here with moderate confidence, but HOLD is also reasonable. Let me go with BUY with moderate confidence given the recovery pattern and premarket strength, but acknowledge the risks.\n\nActually, considering:\n1. The premarket quote has volume 0 - this is a flag\n2. The price action shows recovery but not yet a confirmed breakout\n3. MACD still negative\n\nI'll go with HOLD with a slight bullish lean, confidence around 0.55.\n\nWait, let me reconsider one more time. The setup:\n- Strong 252-day return (+80%)\n- Recent pullback of about 4.7% over 60 days\n- Bottoming process around 1572 support\n- Recovery underway\n- Premarket gap up\n\nThis is a classic \"buy the dip in uptrend\" setup. With MA200 as long-term support way below, the risk-reward favors upside.\n\nI'll go with BUY, confidence 0.55-0.6.</think>\n\n```json\n{\n \"signal\": \"BUY\",\n \"summary\": \"ASML 盘前走强,价格上穿 MA20,短期均线由空转多,呈现自 20 日支撑位反弹的修复结构;中长期 MA200 仍提供强力多头背景,但 MACD 仍为负、RSI 中性,趋势反转尚未完全确认。\",\n \"confidence\": 0.55,\n \"evidence\": [\n \"盘前报价 1711.45,较前收 1679.92 上涨 1.88%,站上 MA20(1689.40)和 MA10(1667.43)\",\n \"MA5(1615.69)位于 MA10 下方形成短期金叉雏形,5 日均线上穿 10 日均线趋势有利于多头\",\n \"价格仍高于 MA200(1509.47),252 日累计涨幅 +80.22%,长期上升趋势未破坏\",\n \"9 月 14 日触及 20 日支撑 1572.84 后连续反弹,9 月 18 日收于 1679.92,确认支撑有效\",\n \"5 日均量较 20 日均量放大约 1.40 倍,近期量能配合反弹\"\n ],\n \"risks\": [\n \"盘前报价成交量为 0,存在报价不实或流动性不足风险,需以正式开盘成交为准\",\n \"MACD 柱状图仍为负值(-5.50),中期动能尚未转正\",\n \"价格仍位于 MA50(1722.15)和 MA60(1739.56)下方,中期均线构成压制\",\n \"距 20 日阻力 1790 仅 -4.4%,距 52 周高点 2000 仍有 -14.4%,上方阻力密集\",\n \"年化波动率高达 38.7%,近一年最大回撤 -22.05%,波动风险显著\",\n \"近 60 日累计仍下跌 4.70%,中期趋势仍偏弱,反弹或仅为下跌中继\"\n ],\n \"officialConclusion\": \"ASML 当前处于中期回调末期的修复行情中:盘前价格强势反弹至 MA20 之上,短期均线结构改善,叠加 MA200 多头背景完好,支持阶段性买入判断。然而,MACD 仍为负、RSI 中性、价格仍受 MA50/MA60 压制,且盘前无成交量确认,使得趋势反转尚未完整确立。建议以轻仓试探性买入为主,止损参考 20 日支撑 1572.84 上方;若有效站稳 MA50(1722)并伴随成交量放大,可考虑加仓;上方首要目标 1790 阻力,突破后可看向 1900 区域。综合权衡反弹结构与未确认的中期动能,给予 BUY 信号,但置信度中性偏低(0.55),并强调严格止损与仓位控制。\"\n}\n```",
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"quote": {
"timestamp": 1789986401,
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"open": 1711.45,
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溯源
- 平台:ai4trade.ai
- 官方接口:POST /api/signals/strategy
- 适配器:ai-trader-official-strategy-v2
非投资建议。这里保留的是官方平台策略发布链路的原始请求和响应。
均线空头排列未改、缩量反弹至 MA20 压力区,评分 42(偏空震荡),建议等趋势确认再介入。
作者指出 MA5<MA10<MA20 的空头结构仍未修复,9/18 反弹遇 MA20(约 1685)技术性抛压,且基本面/资金面数据缺失,认定当前不具备理想买点,明确建议空仓者等待均线翻多再介入。原始报告
daily_stock_analysis Report — ASML
Generated at: 2026-09-21T10:28:32.330Z
Decision
HOLD
⚪ ASML Holding N.V. - New York Re (ASML)
2026-09-21 18:31 | 评分: 42 | 震荡
📈 当日行情
| 收盘 | 昨收 | 开盘 | 最高 | 最低 | 涨跌幅 | 涨跌额 | 振幅 | 成交量 | 成交额 |
|---|---|---|---|---|---|---|---|---|---|
| 1679.92 | 1629.67 | 1630.00 | 1681.61 | 1628.27 | 0.56% | 50.25 | 3.27% | 252.38 万股 | 42.40 亿元 |
| 当前价 | 量比 | 换手率 | 行情来源 |
|---|---|---|---|
| 1679.92 | N/A | N/A | 降级兜底 |
📌 核心结论
观望: 空头排列未改,缩量反弹至MA20压力区,不追高、等趋势确认
📰 重要信息速览
📊 业绩预期: 数据缺失,无法判断。最近报告期、营业收入、净利润等关键财报字段均为N/A。 💭 舆情情绪: 舆情数据缺失,技术面空头排列下的超跌反弹,消息面无催化。
🚨 风险警报:
- 风险点1:均线空头排列(MA5<MA10<MA20),中期趋势偏弱,不符合多头排列买入条件
- 风险点2:价格反弹至MA20压力位(1685元附近),上方存在技术性抛压
- 风险点3:量比、换手率、筹码集中度等关键数据缺失,无法判断主力资金流向和筹码健康度
✨ 利好催化:
- 利好1:放量反弹(量比1.81倍),短期买盘积极性提升
- 利好2:乖离率仅+2.64%,未进入追高危险区(<5%)
- 利好3:ASML作为全球EUV光刻机垄断龙头,长期基本面逻辑仍在
🎯 操作点位
| 理想买入点 | 止损位 | 目标位 |
|---|---|---|
| 理想买入点:待均线翻转为多头排列(MA5>MA10>MA20)后再介入,当前不具备理想买点 | 止损位:1628元(今日最低价下方,跌破MA5且次日不能收回) | 目标位:突破MA20(1685元)并站稳后看至1720-1750元区间;若无法突破则高抛低吸 |
💼 持仓建议
- 🆕 空仓者: 空仓者建议:当前均线呈空头排列(MA5<MA10<MA20),严禁追高介入。等待价格有效突破MA20(约1685元)并站稳2-3日、且均线翻转为多头排列后再考虑建仓。激进者可轻仓(≤2成)在回踩MA5(1636元附近)且不破时试多,但务必设好止损。
- 💼 持仓者: 持仓者建议:继续持有观察,但需密切关注MA10(1664元)和MA5(1637元)支撑。止损位设在MA5下方(1630元附近),若有效跌破则减仓/离场;若放量突破MA20并站稳,则可继续持有看高一线。
分析模型: openai/pool-auto AI生成,仅供参考,不构成投资建议
Provenance
- GitHub source: ZhuLinsen/daily_stock_analysis
- Runtime source directory: /Users/jaydon/daily_stock_analysis
- Adapter version: daily-stock-analysis-v1
- Engine version: ZhuLinsen/daily_stock_analysis
- Market context: mc_ASML_20260921102802_local_job_daily_20260921_ASML_kronos_premarket
- Data sources: mc_ASML_20260921102802_local_job_daily_20260921_ASML_kronos_premarket, Configured LLM provider
This is automated stock research, not investment advice.
V 型反弹+极端放量反转信号已现,但 MA50 未收复、基本面催化缺失,加权得分 3.25 偏中性。
作者以情景化矩阵给出 4 种路径(基准 55%/看多 30%/强反弹 10%/看空 5%),基础场景为 HOLD;明确要求收盘价放量突破 MA50(≥1722 且量能 ≥1.5M)才考虑 BUY,并设 1665 与 1575 两档止损。催化项因统一上下文未提供财报/订单证据仅评 1 分。原始报告
Vibe-Trading 中文策略报告 — ASML
生成时间:2026-09-21T10:29:29.227Z
最终结论
HOLD
中文摘要
- 仅使用提供的 MarketContext 数据
- 不调用任何外部搜索(Yahoo/Brave/Jina/Eastmoney/SEC EDGAR等)
- 必须包含证据、风险控制和最终决策
- 保留原始输出(指 MarketContext 数据)
让我整理手头的数据:
- asOf: 2026-09-21T10:28:02.114Z(美东时间 9/21 盘前)
- 最新价: 1711.45 USD
- 日涨跌: +1.88%
- MA20: 1689.40
- MA50: 1722.15
- MA200: 1509.47
- 20日收益: -4.02%
- 60日收益: -4.70%
- 252日收益: +80.22%
- RSI14: 48.44
20根日线数据已给出,从 8/21 到 9/18。
让我做技术分析:
-
价格 vs 均线的位置:
- 1711.45 vs MA20 (1689.40) = +22.05 / +1.31% (价格在MA20之上)
- 1711.45 vs MA50 (1722.15) = -10.70 / -0.62% (价格在MA50之下)
- 1711.45 vs MA200 (1509.47) = +201.98 / +13.38% (价格在MA200之上,长期多头格局未变)
-
趋势分析:
- 短期:9/14 大跌(1575.15,跌7.85%),然后开始反弹,9/18 收 1679.92,9/21 盘前 1711.45
- 中期:从 8/21 的 1763.76 到 9/14 的 1575.15,下跌约 188.61 或 10.7%,明显回调
- 长期:252日 +80.22%,仍在大牛市中
-
成交量:
- 正常成交量:约 800k-1.4M
- 异常放量日:
- 9/14: 1.97M(暴跌日,恐慌抛售)
- 9/18: 2.52M(巨量反弹,+5.57%)
- 9/03: 1.44M(缩量下跌 -2.04%,下跌量能增加)
-
关键技术位:
- 9/14 低点: 1575.15(关键支撑)
- 8/28-9/04 平台下沿: 1665.14
- 8/21 高点: 1763.76
- 当前价: 1711.45
-
RSI14 = 48.44(中性偏弱,但已远离超卖区域)
-
关键观察:
- 9/18 的 2.52M 巨量反弹 +5.57% 暗示有资金抄底
- 9/21 盘前 +1.88% 至 1711.45,继续上攻
- 但仍在 MA50 (1722) 之下,多头需收复 MA50 才能确认反弹
- 60日 -4.70% 偏弱,但 252日 +80.22% 偏强
-
风险控制:
- 止损:跌破 9/14 低点 1575 (跌 -8.0%) 表明弱势未尽
- 阻力:MA50 (1722),向上突破则看 1744-1764 区间
- 量价配合:反弹需成交量配合
-
决策建议:
- 1-4 周视角
- MA20 之上,MA50 之下,处于反弹中
- 短期量价配合良好(9/18 放量反弹)
- 长期趋势未变(MA200 上方,252日 +80%)
- 但中期仍有不确定性(20日 -4.02%,60日 -4.70%)
- 综合判断:HOLD 偏向谨慎增仓;若放量突破 MA50 (1722.15),可考虑轻仓介入;止损 1575
让我整理成报告。
格式要求:
- 中文
- 包含证据、风险控制、最终决策
- 保留原始 MarketContext 数据(即"原始输出")
- 用 markdown 表格
- 不要用
---分隔
我先思考一下输出结构:
标题 + asOf 信息
一、原始输出(MarketContext 数据)
二、关键技术信号分析
均线位置
趋势判断
量价结构
动量指标
三、催化因素与驱动
四、风险与不确定
五、风险控制方案
六、最终决策(HOLD/加仓信号)
七、失效与监控
让我写报告。
ASML 研究报告 2026-09-21(盘前版)
asOf: 2026-09-21T10:28:02.114Z(美东时间 9/21 06:28 ET,盘前)
MarketContext: mc_ASML_20260921102802_local_job_daily_20260921_ASML_kronos_premarket
统一上下文纪律:本报告仅使用下方"原始输出"中的真实行情数据,未调用 Yahoo / Brave / Jina / Eastmoney / SEC EDGAR 或任何外部网页/搜索接口。统一上下文未提供的财报、订单、指引、新闻等证据,明确标注"统一上下文未提供该证据",不得外推。
一、原始输出(MarketContext 真实行情快照,保留备查)
1.1 价位与基准
| 字段 | 数值 |
|---|---|
| 最新价(盘前) | 1711.45 USD |
| 日期 | 2026-09-21 |
| 日涨跌(vs 9/18 收盘) | +1.88% |
| 60日收益 | -4.70% |
| 20日收益 | -4.02% |
| 252日收益 | +80.22% |
| RSI14 | 48.44 |
| MA20 | 1689.40 |
| MA50 | 1722.15 |
| MA200 | 1509.47 |
1.2 最近 20 根日线(按交易日升序)
| 日期 | 收盘 | 成交量 | 单日隐含涨跌幅 | 量能定性 |
|---|---|---|---|---|
| 2026-08-21 | 1763.76 | 972,400 | — | 基期 |
| 2026-08-24 | 1740.13 | 1,202,000 | -1.34% | 正常放量阴跌 |
| 2026-08-25 | 1744.16 | 808,900 | +0.23% | 缩量企稳 |
| 2026-08-26 | 1745.64 | 873,500 | +0.08% | 缩量横盘 |
| 2026-08-27 | 1735.01 | 1,027,200 | -0.61% | 温和放量下跌 |
| 2026-08-28 | 1696.16 | 1,257,700 | -2.24% | 放量跌破 MA20 |
| 2026-08-31 | 1696.01 | 1,212,100 | 0.00% | 缩量双底 |
| 2026-09-01 | 1665.14 | 1,004,800 | -1.82% | 跌破 1700 关口 |
| 2026-09-02 | 1682.30 | 872,800 | +1.03% | 缩量反弹 |
| 2026-09-03 | 1646.19 | 1,437,500 | -2.15% | 放量下跌,恐慌初现 |
| 2026-09-04 | 1714.88 | 1,288,700 | +4.18% | 放量反弹 |
| 2026-09-08 | 1764.85 | 1,352,800 | +2.91% | 放量突破,回到起点 |
| 2026-09-09 | 1729.52 | 1,060,000 | -2.00% | 放量回吐 |
| 2026-09-10 | 1687.43 | 1,078,100 | -2.43% | 跌破 MA20 |
| 2026-09-11 | 1698.30 | 881,200 | +0.64% | 缩量横盘 |
| 2026-09-14 | 1575.15 | 1,970,800 | -7.26% | 极端放量暴跌,创 20 日低点 |
| 2026-09-15 | 1591.48 | 1,577,600 | +1.04% | 缩量反弹 |
| 2026-09-16 | 1602.22 | 1,334,100 | +0.67% | 缩量企稳 |
| 2026-09-17 | 1629.67 | 1,394,000 | +1.71% | 温和放量反弹 |
| 2026-09-18 | 1679.92 | 2,523,800 | +3.09% | 极端放量反弹,3 日累计 +6.61% |
| 2026-09-21 盘前 | 1711.45 | n/a | +1.88%(盘前 vs 9/18 收盘) | 盘前延续强势 |
二、关键技术信号分析
2.1 均线层级与多空结构
| 均线 | 数值 | vs 现价 1711.45 | 含义 |
|---|---|---|---|
| MA200 | 1509.47 | +13.38% | 长期多头格局完好 |
| MA50 | 1722.15 | -0.62% | 现价卡在 MA50 下方约 11 美元,是多头关键关卡 |
| MA20 | 1689.40 | +1.31% | 现价站上 MA20,短期企稳 |
判断:长期趋势(MA200 上方 + 252 日 +80.22%)完全健康;中期趋势(MA50 阻力)尚未收复;短期均线(MA20)已经收复。属于"长期多头 + 中期回调反弹"复合结构。
2.2 趋势结构:V 型反弹进行时
| 维度 | 解读 |
|---|---|
| 8/21 高点 → 9/14 低点 | 1763.76 → 1575.15,跌幅 -10.69%(188.61 USD) |
| 9/14 低点 → 9/18 收盘 | 1575.15 → 1679.92,反弹 +6.65%(104.77 USD) |
| 9/18 收盘 → 9/21 盘前 | 1679.92 → 1711.45,+1.88% |
| 20 日总收益 | -4.02%(仍为负,但已远离最低点) |
| 60 日总收益 | -4.70%(中期仍偏弱) |
| 252 日总收益 | +80.22%(长期大牛市格局未破) |
判断:9/14 单日 -7.26% 极端放量阴线砸出短期恐慌底,随后三个交易日温和反弹,到 9/18 出现 +3.09% 极端放量(2.52M 股)吞没信号;9/21 盘前继续上行至 1711.45,已逼近 MA50(1722.15)临界点。
2.3 量价行为:典型恐慌底 + 增量反弹
| 量能档 | 出现日 | 单日涨幅 | 技术含义 |
|---|---|---|---|
| ≥ 2M | 9/14(1.97M)/ 9/18(2.52M) | -7.26% / +3.09% | 恐慌抛售 + 恐慌吸纳(量能极值反转) |
| 1.2M-1.5M | 8/24、8/28、8/31、9/03、9/04、9/08、9/09、9/10、9/15、9/16、9/17 | 涨跌互见 | 趋势加速期典型成交 |
| < 1M | 8/25、8/26、9/02、9/11 | 微涨/微跌 | 观望、低波动 |
异常量能观察:
- 9/14:单日 -7.26% 配 1.97M 成交量(区间最高量之一)→ 卖压释放
- 9/18:单日 +3.09% 配 2.52M(20 日最大值) → 买盘承接
- 9/14→9/18 三个交易日累计成交 7.43M(>20 日均量区间 2.5 倍以上),是吸筹区而非派发区
2.4 动量指标
| 指标 | 数值 | 解读 |
|---|---|---|
| RSI14 | 48.44 | 中性偏弱,已从底部回升,但未进入超买 |
| 价格 vs MA20 | +1.31% | 短期多头已占优 |
| 价格 vs MA50 | -0.62% | 中期空头主导,但临界翻转 |
| 价格 vs MA200 | +13.38% | 长期多头稳固 |
三、催化因素与驱动
统一上下文未提供以下证据,按纪律不得外推,仅列出应跟踪的高优先事件类型:
| 类别 | 状态 | 跟踪优先级 |
|---|---|---|
| Q3 2026 业绩预告 / 订单数据 | 统一上下文未提供该证据 | 极高(EUV 订单是 ASML 估值锚) |
| 财报季 EPS / 营收 / 毛利率 / 指引 | 统一上下文未提供该证据 | 极高 |
| 中国大陆 DUV 出口管制最新口径 | 统一上下文未提供该证据 | 高(影响 2026 全年订单结构) |
| Samsung / SK Hynix / TSMC 资本开支指引 | 统一上下文未提供该证据 | 高 |
| High-NA EUV 客户验证进展 | 统一上下文未提供该证据 | 中 |
| 公司回购 / 管理层增持 / 8-K 自愿披露 | 统一上下文未提供该证据 | 中 |
| 板块(SMH/SOXX)资金流与美债利率 | 统一上下文未提供该证据 | 中 |
结论性提示:在缺乏财报/订单证据的前提下,技术面给出的"恐慌底反转"信号只能视为结构性机会,而非"盈利确定性催化"。任何决策必须保留对基本面兑现的二次验证窗口。
四、风险与不确定性
| 风险 | 量化依据 | 严重度 |
|---|---|---|
| 中期 MA50 阻力未收复 | 现价 1711.45 vs MA50 1722.15,差距仅 0.62% | 中 |
| 60 日仍为负收益 (-4.70%) | 中期趋势尚未确认反转 | 中 |
| 9/14 单日 -7.26% 暴露流动性脆弱 | 极端成交量出现在下跌端,警惕二次探底 | 高 |
| 9/18 反弹量能能否持续 | 若 9/21 收盘成交量低于 1.5M,则放量反弹失效 | 中 |
| MA200 远离 13% 正常回踩压力 | 长期超买修正随时启动 | 低 |
| 财报/订单催化缺失 | 统一上下文未提供,无法证伪或证实 | 高 |
五、风险控制方案
5.1 关键价位(基于最近 20 根日线)
| 类别 | 价位 | 距离现价 | 含义 |
|---|---|---|---|
| 强阻力 | 1763.76 | +3.06% | 8/21 高点,对应 V 型反弹的"等量回测" |
| 关键阻力 | 1722.15(MA50) | +0.63% | 中期多空分水岭 |
| 次级阻力 | 1744-1765 区间 | +1.9-3.1% | 9/08 高点 + 8/25 高点密集成交区 |
| 当前价 | 1711.45 | — | — |
| 关键支撑 | 1665.14 | -2.71% | 9/01 低点,前低测试 |
| 强支撑 | 1575.15 | -7.95% | 9/14 恐慌底 |
| 极限支撑 | 1509.47(MA200) | -11.81% | 长期牛熊分界 |
5.2 分级止损(按仓位类型)
| 仓位性质 | 入场参考 | 失效止损 | 最大单笔亏损 |
|---|---|---|---|
| 试探仓(≤10%) | 现价 1711.45 附近 | 跌破 1665(-2.7%)即清仓 | < 2.7% |
| 标准仓(20-30%) | 突破 1722(MA50)且当日收 ≥ 1724 | 跌破 1665(-3.3% 从 1722 起算止损) | < 3.3% |
| 反转补仓 | 突破 1763.76 确认 V 型反转 | 跌破 1700 即部分止盈 | < 3.6% |
| 不入场情景 | 若 9/21 收盘 < 1700 且量能 < 1.5M | 反弹量价背离,不参与 | — |
5.3 失效监控条件(任一触发即重新评估)
| 触发条件 | 含义 | 应对 |
|---|---|---|
| 9/21 收盘跌破 1665.14 | 跌破前低,V 型反弹失效 | 清仓观望 |
| 反弹至 1722(MA50)但当日收阴且量能 < 1M | MA50 假突破 | 不追高,等待二次回踩 |
| 9/14 低点 1575.15 被收盘跌破 | 恐慌底被破,下行空间打开 | 离场,参考 MA200(1509) |
| 单日涨幅 > 4% 但收盘价低于开盘 > 1% | 上影线放量,冲高回落 | 减仓 |
| 财报/订单证据确认显著下修 | 基本面证伪 | 立即重估目标价 |
六、未来 1-4 周决策:HOLD(偏多过渡至轻仓)
6.1 决策矩阵
| 维度 | 评分 (1-5) | 权重 | 加权得分 |
|---|---|---|---|
| 长期趋势(MA200 上、252 日 +80.22%) | 5 | 30% | 1.50 |
| 中期趋势(MA50 阻力未破、60 日 -4.70%) | 2 | 25% | 0.50 |
| 短期结构(V 型反弹 + 量价配合) | 4 | 20% | 0.80 |
| 动量(RSI 48.44 中性) | 3 | 10% | 0.30 |
| 催化(财报/订单证据缺失) | 1 | 15% | 0.15 |
| 加权总分(满分 5) | — | 100% | 3.25 |
6.2 决策与情景化操作
基础评级:HOLD(持有/观望)→ 触发条件后切换 BUY
由于技术面显示"V 型反弹 + 极端放量反转信号",但中期 MA50 尚未收复、且统一上下文未提供财报/订单等基本面催化证据,未来 1-4 周采用"分批过渡至轻仓多"策略:
| 情景 | 触发条件 | 1-4 周操作 |
|---|---|---|
| 基准(概率 55%) | 9/21 收盘 1690-1730 区间,量能 1.2-1.8M | HOLD 现有持仓,新资金观望;若已持仓继续持有,等待 MA50 验证 |
| 看多(概率 30%) | 9/21 收盘 ≥ 1722 且量能 ≥ 1.5M | 轻仓 BUY(20-30% 标准仓),目标 1764,止损 1665 |
| 强反弹(概率 10%) | 9/21 收盘 ≥ 1740 且量能 ≥ 1.8M | 加仓 BUY(试探仓合并标准仓),目标 1830+ |
| 看空(概率 5%) | 9/21 收盘 < 1665 跌破前低 | 全部清仓,下一档支撑看 MA200(1509.47) |
6.3 最终决策(一句话)
未来 1-4 周:HOLD 为主基调;在 1711-1722 区间内不主动追高、不杀跌;只有当收盘价放量突破 MA50(≥ 1722 且量能 ≥ 1.5M)才考虑 BUY,止损严格 1665;若 9/14 低点 1575 跌破则立即 SELL 清仓。
七、复盘与监控清单
| 频率 | 监控项 | 阈值 |
|---|---|---|
| 每日盘前 | 价格 vs 1711.45 / MA20 (1689) / MA50 (1722) | 任何突破/失守 |
| 每日收盘 | 日成交量 vs 1.5M | < 1M = 量能失效信号 |
| 每周 | RSI14 趋势 | < 30 = 加速超卖 / > 70 = 加速超买 |
| 每周 | 9/14 低点 1575 与 1665 区间 | 任一破位 |
| 1-4 周 | MA50 能否收复并站稳 3 日 | 判定中期反转 |
| 财报季 | 任何 Q3 2026 业绩预告/订单/指引 | 估值锚定 + 趋势再判 |
最终结论评级:
HOLD (过渡) → BUY (条件触发) / SELL (止损破位)——结构性反弹机会已经出现,但需要放量突破 MA50(1722)才会升级为 BUY;在统一上下文未提供财报证据之前,绝不重仓(单一标的不超过组合 30%)。
原始输入与模型输出
Prompt
请用中文研究 ASML:趋势、催化因素、风险、流动性/成交量背景,并给出未来 1-4 周 BUY/HOLD/SELL 结论。必须包含证据、风险控制和最终决策,同时保留原始输出。
统一股票数据入口已提供真实行情上下文,请优先且仅使用下列数据完成本次报告,不要再调用 Yahoo、Brave、Jina 或外部网页搜索。若缺少新闻/财报证据,请明确写“统一上下文未提供该证据”,不要等待外部搜索。
- MarketContext: mc_ASML_20260921102802_local_job_daily_20260921_ASML_kronos_premarket
- asOf: 2026-09-21T10:28:02.114Z
- 最新价: 1711.45, 日期: 2026-09-21, 日涨跌: 1.88%
- MA20: 1689.3960, MA50: 1722.1500, MA200: 1509.4696
- 20日收益: -4.02%, 60日收益: -4.70%, 252日收益: 80.22%, RSI14: 48.44
- 最近20根日线: 2026-08-21 close=1763.7600 volume=972400 2026-08-24 close=1740.1300 volume=1202000 2026-08-25 close=1744.1600 volume=808900 2026-08-26 close=1745.6400 volume=873500 2026-08-27 close=1735.0100 volume=1027200 2026-08-28 close=1696.1600 volume=1257700 2026-08-31 close=1696.0100 volume=1212100 2026-09-01 close=1665.1400 volume=1004800 2026-09-02 close=1682.3000 volume=872800 2026-09-03 close=1646.1899 volume=1437500 2026-09-04 close=1714.8800 volume=1288700 2026-09-08 close=1764.8500 volume=1352800 2026-09-09 close=1729.5200 volume=1060000 2026-09-10 close=1687.4301 volume=1078100 2026-09-11 close=1698.3000 volume=881200 2026-09-14 close=1575.1500 volume=1970800 2026-09-15 close=1591.4800 volume=1577600 2026-09-16 close=1602.2200 volume=1334100 2026-09-17 close=1629.6700 volume=1394000 2026-09-18 close=1679.9200 volume=2523800
Vibe-Trading 原始输出
- 仅使用提供的 MarketContext 数据
- 不调用任何外部搜索(Yahoo/Brave/Jina/Eastmoney/SEC EDGAR等)
- 必须包含证据、风险控制和最终决策
- 保留原始输出(指 MarketContext 数据)
让我整理手头的数据:
- asOf: 2026-09-21T10:28:02.114Z(美东时间 9/21 盘前)
- 最新价: 1711.45 USD
- 日涨跌: +1.88%
- MA20: 1689.40
- MA50: 1722.15
- MA200: 1509.47
- 20日收益: -4.02%
- 60日收益: -4.70%
- 252日收益: +80.22%
- RSI14: 48.44
20根日线数据已给出,从 8/21 到 9/18。
让我做技术分析:
-
价格 vs 均线的位置:
- 1711.45 vs MA20 (1689.40) = +22.05 / +1.31% (价格在MA20之上)
- 1711.45 vs MA50 (1722.15) = -10.70 / -0.62% (价格在MA50之下)
- 1711.45 vs MA200 (1509.47) = +201.98 / +13.38% (价格在MA200之上,长期多头格局未变)
-
趋势分析:
- 短期:9/14 大跌(1575.15,跌7.85%),然后开始反弹,9/18 收 1679.92,9/21 盘前 1711.45
- 中期:从 8/21 的 1763.76 到 9/14 的 1575.15,下跌约 188.61 或 10.7%,明显回调
- 长期:252日 +80.22%,仍在大牛市中
-
成交量:
- 正常成交量:约 800k-1.4M
- 异常放量日:
- 9/14: 1.97M(暴跌日,恐慌抛售)
- 9/18: 2.52M(巨量反弹,+5.57%)
- 9/03: 1.44M(缩量下跌 -2.04%,下跌量能增加)
-
关键技术位:
- 9/14 低点: 1575.15(关键支撑)
- 8/28-9/04 平台下沿: 1665.14
- 8/21 高点: 1763.76
- 当前价: 1711.45
-
RSI14 = 48.44(中性偏弱,但已远离超卖区域)
-
关键观察:
- 9/18 的 2.52M 巨量反弹 +5.57% 暗示有资金抄底
- 9/21 盘前 +1.88% 至 1711.45,继续上攻
- 但仍在 MA50 (1722) 之下,多头需收复 MA50 才能确认反弹
- 60日 -4.70% 偏弱,但 252日 +80.22% 偏强
-
风险控制:
- 止损:跌破 9/14 低点 1575 (跌 -8.0%) 表明弱势未尽
- 阻力:MA50 (1722),向上突破则看 1744-1764 区间
- 量价配合:反弹需成交量配合
-
决策建议:
- 1-4 周视角
- MA20 之上,MA50 之下,处于反弹中
- 短期量价配合良好(9/18 放量反弹)
- 长期趋势未变(MA200 上方,252日 +80%)
- 但中期仍有不确定性(20日 -4.02%,60日 -4.70%)
- 综合判断:HOLD 偏向谨慎增仓;若放量突破 MA50 (1722.15),可考虑轻仓介入;止损 1575
让我整理成报告。
格式要求:
- 中文
- 包含证据、风险控制、最终决策
- 保留原始 MarketContext 数据(即"原始输出")
- 用 markdown 表格
- 不要用
---分隔
我先思考一下输出结构:
标题 + asOf 信息
一、原始输出(MarketContext 数据)
二、关键技术信号分析
均线位置
趋势判断
量价结构
动量指标
三、催化因素与驱动
四、风险与不确定
五、风险控制方案
六、最终决策(HOLD/加仓信号)
七、失效与监控
让我写报告。
ASML 研究报告 2026-09-21(盘前版)
asOf: 2026-09-21T10:28:02.114Z(美东时间 9/21 06:28 ET,盘前)
MarketContext: mc_ASML_20260921102802_local_job_daily_20260921_ASML_kronos_premarket
统一上下文纪律:本报告仅使用下方"原始输出"中的真实行情数据,未调用 Yahoo / Brave / Jina / Eastmoney / SEC EDGAR 或任何外部网页/搜索接口。统一上下文未提供的财报、订单、指引、新闻等证据,明确标注"统一上下文未提供该证据",不得外推。
一、原始输出(MarketContext 真实行情快照,保留备查)
1.1 价位与基准
| 字段 | 数值 |
|---|---|
| 最新价(盘前) | 1711.45 USD |
| 日期 | 2026-09-21 |
| 日涨跌(vs 9/18 收盘) | +1.88% |
| 60日收益 | -4.70% |
| 20日收益 | -4.02% |
| 252日收益 | +80.22% |
| RSI14 | 48.44 |
| MA20 | 1689.40 |
| MA50 | 1722.15 |
| MA200 | 1509.47 |
1.2 最近 20 根日线(按交易日升序)
| 日期 | 收盘 | 成交量 | 单日隐含涨跌幅 | 量能定性 |
|---|---|---|---|---|
| 2026-08-21 | 1763.76 | 972,400 | — | 基期 |
| 2026-08-24 | 1740.13 | 1,202,000 | -1.34% | 正常放量阴跌 |
| 2026-08-25 | 1744.16 | 808,900 | +0.23% | 缩量企稳 |
| 2026-08-26 | 1745.64 | 873,500 | +0.08% | 缩量横盘 |
| 2026-08-27 | 1735.01 | 1,027,200 | -0.61% | 温和放量下跌 |
| 2026-08-28 | 1696.16 | 1,257,700 | -2.24% | 放量跌破 MA20 |
| 2026-08-31 | 1696.01 | 1,212,100 | 0.00% | 缩量双底 |
| 2026-09-01 | 1665.14 | 1,004,800 | -1.82% | 跌破 1700 关口 |
| 2026-09-02 | 1682.30 | 872,800 | +1.03% | 缩量反弹 |
| 2026-09-03 | 1646.19 | 1,437,500 | -2.15% | 放量下跌,恐慌初现 |
| 2026-09-04 | 1714.88 | 1,288,700 | +4.18% | 放量反弹 |
| 2026-09-08 | 1764.85 | 1,352,800 | +2.91% | 放量突破,回到起点 |
| 2026-09-09 | 1729.52 | 1,060,000 | -2.00% | 放量回吐 |
| 2026-09-10 | 1687.43 | 1,078,100 | -2.43% | 跌破 MA20 |
| 2026-09-11 | 1698.30 | 881,200 | +0.64% | 缩量横盘 |
| 2026-09-14 | 1575.15 | 1,970,800 | -7.26% | 极端放量暴跌,创 20 日低点 |
| 2026-09-15 | 1591.48 | 1,577,600 | +1.04% | 缩量反弹 |
| 2026-09-16 | 1602.22 | 1,334,100 | +0.67% | 缩量企稳 |
| 2026-09-17 | 1629.67 | 1,394,000 | +1.71% | 温和放量反弹 |
| 2026-09-18 | 1679.92 | 2,523,800 | +3.09% | 极端放量反弹,3 日累计 +6.61% |
| 2026-09-21 盘前 | 1711.45 | n/a | +1.88%(盘前 vs 9/18 收盘) | 盘前延续强势 |
二、关键技术信号分析
2.1 均线层级与多空结构
| 均线 | 数值 | vs 现价 1711.45 | 含义 |
|---|---|---|---|
| MA200 | 1509.47 | +13.38% | 长期多头格局完好 |
| MA50 | 1722.15 | -0.62% | 现价卡在 MA50 下方约 11 美元,是多头关键关卡 |
| MA20 | 1689.40 | +1.31% | 现价站上 MA20,短期企稳 |
判断:长期趋势(MA200 上方 + 252 日 +80.22%)完全健康;中期趋势(MA50 阻力)尚未收复;短期均线(MA20)已经收复。属于"长期多头 + 中期回调反弹"复合结构。
2.2 趋势结构:V 型反弹进行时
| 维度 | 解读 |
|---|---|
| 8/21 高点 → 9/14 低点 | 1763.76 → 1575.15,跌幅 -10.69%(188.61 USD) |
| 9/14 低点 → 9/18 收盘 | 1575.15 → 1679.92,反弹 +6.65%(104.77 USD) |
| 9/18 收盘 → 9/21 盘前 | 1679.92 → 1711.45,+1.88% |
| 20 日总收益 | -4.02%(仍为负,但已远离最低点) |
| 60 日总收益 | -4.70%(中期仍偏弱) |
| 252 日总收益 | +80.22%(长期大牛市格局未破) |
判断:9/14 单日 -7.26% 极端放量阴线砸出短期恐慌底,随后三个交易日温和反弹,到 9/18 出现 +3.09% 极端放量(2.52M 股)吞没信号;9/21 盘前继续上行至 1711.45,已逼近 MA50(1722.15)临界点。
2.3 量价行为:典型恐慌底 + 增量反弹
| 量能档 | 出现日 | 单日涨幅 | 技术含义 |
|---|---|---|---|
| ≥ 2M | 9/14(1.97M)/ 9/18(2.52M) | -7.26% / +3.09% | 恐慌抛售 + 恐慌吸纳(量能极值反转) |
| 1.2M-1.5M | 8/24、8/28、8/31、9/03、9/04、9/08、9/09、9/10、9/15、9/16、9/17 | 涨跌互见 | 趋势加速期典型成交 |
| < 1M | 8/25、8/26、9/02、9/11 | 微涨/微跌 | 观望、低波动 |
异常量能观察:
- 9/14:单日 -7.26% 配 1.97M 成交量(区间最高量之一)→ 卖压释放
- 9/18:单日 +3.09% 配 2.52M(20 日最大值) → 买盘承接
- 9/14→9/18 三个交易日累计成交 7.43M(>20 日均量区间 2.5 倍以上),是吸筹区而非派发区
2.4 动量指标
| 指标 | 数值 | 解读 |
|---|---|---|
| RSI14 | 48.44 | 中性偏弱,已从底部回升,但未进入超买 |
| 价格 vs MA20 | +1.31% | 短期多头已占优 |
| 价格 vs MA50 | -0.62% | 中期空头主导,但临界翻转 |
| 价格 vs MA200 | +13.38% | 长期多头稳固 |
三、催化因素与驱动
统一上下文未提供以下证据,按纪律不得外推,仅列出应跟踪的高优先事件类型:
| 类别 | 状态 | 跟踪优先级 |
|---|---|---|
| Q3 2026 业绩预告 / 订单数据 | 统一上下文未提供该证据 | 极高(EUV 订单是 ASML 估值锚) |
| 财报季 EPS / 营收 / 毛利率 / 指引 | 统一上下文未提供该证据 | 极高 |
| 中国大陆 DUV 出口管制最新口径 | 统一上下文未提供该证据 | 高(影响 2026 全年订单结构) |
| Samsung / SK Hynix / TSMC 资本开支指引 | 统一上下文未提供该证据 | 高 |
| High-NA EUV 客户验证进展 | 统一上下文未提供该证据 | 中 |
| 公司回购 / 管理层增持 / 8-K 自愿披露 | 统一上下文未提供该证据 | 中 |
| 板块(SMH/SOXX)资金流与美债利率 | 统一上下文未提供该证据 | 中 |
结论性提示:在缺乏财报/订单证据的前提下,技术面给出的"恐慌底反转"信号只能视为结构性机会,而非"盈利确定性催化"。任何决策必须保留对基本面兑现的二次验证窗口。
四、风险与不确定性
| 风险 | 量化依据 | 严重度 |
|---|---|---|
| 中期 MA50 阻力未收复 | 现价 1711.45 vs MA50 1722.15,差距仅 0.62% | 中 |
| 60 日仍为负收益 (-4.70%) | 中期趋势尚未确认反转 | 中 |
| 9/14 单日 -7.26% 暴露流动性脆弱 | 极端成交量出现在下跌端,警惕二次探底 | 高 |
| 9/18 反弹量能能否持续 | 若 9/21 收盘成交量低于 1.5M,则放量反弹失效 | 中 |
| MA200 远离 13% 正常回踩压力 | 长期超买修正随时启动 | 低 |
| 财报/订单催化缺失 | 统一上下文未提供,无法证伪或证实 | 高 |
五、风险控制方案
5.1 关键价位(基于最近 20 根日线)
| 类别 | 价位 | 距离现价 | 含义 |
|---|---|---|---|
| 强阻力 | 1763.76 | +3.06% | 8/21 高点,对应 V 型反弹的"等量回测" |
| 关键阻力 | 1722.15(MA50) | +0.63% | 中期多空分水岭 |
| 次级阻力 | 1744-1765 区间 | +1.9-3.1% | 9/08 高点 + 8/25 高点密集成交区 |
| 当前价 | 1711.45 | — | — |
| 关键支撑 | 1665.14 | -2.71% | 9/01 低点,前低测试 |
| 强支撑 | 1575.15 | -7.95% | 9/14 恐慌底 |
| 极限支撑 | 1509.47(MA200) | -11.81% | 长期牛熊分界 |
5.2 分级止损(按仓位类型)
| 仓位性质 | 入场参考 | 失效止损 | 最大单笔亏损 |
|---|---|---|---|
| 试探仓(≤10%) | 现价 1711.45 附近 | 跌破 1665(-2.7%)即清仓 | < 2.7% |
| 标准仓(20-30%) | 突破 1722(MA50)且当日收 ≥ 1724 | 跌破 1665(-3.3% 从 1722 起算止损) | < 3.3% |
| 反转补仓 | 突破 1763.76 确认 V 型反转 | 跌破 1700 即部分止盈 | < 3.6% |
| 不入场情景 | 若 9/21 收盘 < 1700 且量能 < 1.5M | 反弹量价背离,不参与 | — |
5.3 失效监控条件(任一触发即重新评估)
| 触发条件 | 含义 | 应对 |
|---|---|---|
| 9/21 收盘跌破 1665.14 | 跌破前低,V 型反弹失效 | 清仓观望 |
| 反弹至 1722(MA50)但当日收阴且量能 < 1M | MA50 假突破 | 不追高,等待二次回踩 |
| 9/14 低点 1575.15 被收盘跌破 | 恐慌底被破,下行空间打开 | 离场,参考 MA200(1509) |
| 单日涨幅 > 4% 但收盘价低于开盘 > 1% | 上影线放量,冲高回落 | 减仓 |
| 财报/订单证据确认显著下修 | 基本面证伪 | 立即重估目标价 |
六、未来 1-4 周决策:HOLD(偏多过渡至轻仓)
6.1 决策矩阵
| 维度 | 评分 (1-5) | 权重 | 加权得分 |
|---|---|---|---|
| 长期趋势(MA200 上、252 日 +80.22%) | 5 | 30% | 1.50 |
| 中期趋势(MA50 阻力未破、60 日 -4.70%) | 2 | 25% | 0.50 |
| 短期结构(V 型反弹 + 量价配合) | 4 | 20% | 0.80 |
| 动量(RSI 48.44 中性) | 3 | 10% | 0.30 |
| 催化(财报/订单证据缺失) | 1 | 15% | 0.15 |
| 加权总分(满分 5) | — | 100% | 3.25 |
6.2 决策与情景化操作
基础评级:HOLD(持有/观望)→ 触发条件后切换 BUY
由于技术面显示"V 型反弹 + 极端放量反转信号",但中期 MA50 尚未收复、且统一上下文未提供财报/订单等基本面催化证据,未来 1-4 周采用"分批过渡至轻仓多"策略:
| 情景 | 触发条件 | 1-4 周操作 |
|---|---|---|
| 基准(概率 55%) | 9/21 收盘 1690-1730 区间,量能 1.2-1.8M | HOLD 现有持仓,新资金观望;若已持仓继续持有,等待 MA50 验证 |
| 看多(概率 30%) | 9/21 收盘 ≥ 1722 且量能 ≥ 1.5M | 轻仓 BUY(20-30% 标准仓),目标 1764,止损 1665 |
| 强反弹(概率 10%) | 9/21 收盘 ≥ 1740 且量能 ≥ 1.8M | 加仓 BUY(试探仓合并标准仓),目标 1830+ |
| 看空(概率 5%) | 9/21 收盘 < 1665 跌破前低 | 全部清仓,下一档支撑看 MA200(1509.47) |
6.3 最终决策(一句话)
未来 1-4 周:HOLD 为主基调;在 1711-1722 区间内不主动追高、不杀跌;只有当收盘价放量突破 MA50(≥ 1722 且量能 ≥ 1.5M)才考虑 BUY,止损严格 1665;若 9/14 低点 1575 跌破则立即 SELL 清仓。
七、复盘与监控清单
| 频率 | 监控项 | 阈值 |
|---|---|---|
| 每日盘前 | 价格 vs 1711.45 / MA20 (1689) / MA50 (1722) | 任何突破/失守 |
| 每日收盘 | 日成交量 vs 1.5M | < 1M = 量能失效信号 |
| 每周 | RSI14 趋势 | < 30 = 加速超卖 / > 70 = 加速超买 |
| 每周 | 9/14 低点 1575 与 1665 区间 | 任一破位 |
| 1-4 周 | MA50 能否收复并站稳 3 日 | 判定中期反转 |
| 财报季 | 任何 Q3 2026 业绩预告/订单/指引 | 估值锚定 + 趋势再判 |
最终结论评级:
HOLD (过渡) → BUY (条件触发) / SELL (止损破位)——结构性反弹机会已经出现,但需要放量突破 MA50(1722)才会升级为 BUY;在统一上下文未提供财报证据之前,绝不重仓(单一标的不超过组合 30%)。
数据来源与溯源
- GitHub source: HKUDS/Vibe-Trading
- PyPI package: vibe-trading-ai
- Adapter version: vibe-trading-cli-v1
- Market context: mc_ASML_20260921102802_local_job_daily_20260921_ASML_kronos_premarket
- Raw shape: status, run_id, run_dir, reason
非投资建议。所有展示数据以本次实际生成报告和行情源为准。