2026-09-21
CRM 短期破位叠加 Kronos 量化模型预测 -13% 跌幅,证据偏空但中长期上行结构尚存,整体倾向防御性卖出
综合 5 份报告,证据明显偏空但尚未极端: **偏空证据(占主导):** 1. Kronos 量化模型(5 份中唯一的明确 SELL)显示 20 日预期回报 -13.24%,预测收盘 206.42(接近 MA50),这是基于 251 根日线的纯数据驱动判断,权重不应被低估; 2. 短期技术面全面转弱:股价 238.30 跌破 MA5/10/20(均线空头排列)、RSI 37.12、MACD 柱 -3.22 持续负向; 3. 9/17 与 9/18 连续两日放量下挫(16.6M、21.9M 股),9/18 成交为 20 日均量的 1.27 倍且为下跌日,构成典型'分发形态',是被多个报告反复强调的关键风险信号; 4. 60 日 +55.75% 的极端涨幅本身意味着调整风险累积; 5. daily_stock_analysis 内部评分 39 标注'看空',vibe_trading 评分矩阵空方 3 项对多方 2 项; 6. 20 日年化波动率 85.59%、近 1 年最大回撤 -43.61%,下行空间不容忽视。 **偏多证据(但不足以扭转):** 1. 股价仍显著高于 MA50(206.93)、MA60(199.38)、MA200(201.57),长期上升结构未被破坏; 2. 距 MA50 仍有约 13% 缓冲,未到关键技术破位点; 3. 成交量虽放大但 8/27 跳空缺口 205.62 尚未被回补。 **判定逻辑:**虽然 4 份报告表面评级为 HOLD,但其中 3 份明确标注'防御性'或'看空'倾向,仅有 Kronos 一份给出明确 SELL 信号。考虑到 Kronos 模型是独立量化证据而非主观判断,且与 3 份 HOLD 报告所警告的下行风险场景一致(破位 MA50 至 206 一线),偏空证据在质量和数量上均占优。HOLD 共识主要源于'等待方向确认'的谨慎原则,而非真正中性——一旦跌破 242.85 即触发 SELL 降级,意味着 HOLD 实际上已嵌入卖出倾向。综合判断给予 SELL,置信度 58(中等),反映中长期上行结构对结论构成一定对冲;如后续跌破 MA50 或回补 8/27 缺口,则信心将上调至 70+。Kronos 量化模型预测未来 20 个交易日收盘价跌至 206.42,预期回报 -13.24%
中长期上行结构未破但短期动能偏弱,维持观望
短期回撤但中长期上行结构未破,建议观望等待企稳信号
放量跌破均线弱势整理,内部评分 39 偏空但最终决策观望
技术面略偏防御,最终维持 HOLD 并设置明确降级触发
当日各策略报告
2026-09-21Kronos 量化模型预测未来 20 个交易日收盘价跌至 206.42,预期回报 -13.24%
Kronos 是基于 251 根真实日线数据的纯量化推理模型,输出明确为 SELL。模型预测 20 个交易日内:预测收盘 206.42(vs 当前 237.92)、预测区间 187.71-241.21、预期回报 -13.24%、置信度 58%。预测低点 187.71 接近 52 周低点区域(52 周低 146.32),暗示模型认为当前短期下跌动能将延续至中期支撑带。模型输出的 forecast close 206.42 正好对应 MA50(206.93) 附近,表明量化模型认为 MA50 将被测试甚至跌破。原始报告
Kronos Forecast Feature Report — CRM
Generated at: 2026-09-21T12:12:52.335Z
Feature state
- Decision label: SELL
- Last close: 237.92
- Forecast return: -13.24%
- Forecast close: 206.42
- Forecast high: 241.21
- Forecast low: 187.71
- Prediction window: 20 business days
- Confidence: 58%
Summary
Kronos model inference projects -13.2% 20-business-day close drift from 251 real daily candles supplied by 统一行情上下文 mc_CRM_20260921121251_local_job_daily_20260921_CRM_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_CRM_20260921121251_local_job_daily_20260921_CRM_kronos_premarket
- Kronos model inference: yes
- Engine version: shiyu-coder/Kronos:NeoQuasar/Kronos-small
This is a quant feature extraction report, not investment advice.
中长期上行结构未破但短期动能偏弱,维持观望
作者最终评级 HOLD。判断依据:股价 238.30 跌破 MA5/10/20 但远在 MA50/60/200 上方;RSI 37.12、MACD 柱 -3.22 偏空但未达极端超卖;20 日年化波动率高达 85.59%、近 1 年最大回撤 -43.61%。距 20 日阻力 268.27 与支撑 198.95 各有一段距离,缺乏明显的风险/收益不对称。在缺乏基本面催化剂背景下,'既不追空也不追高'的持仓观望是中性选择。原始报告
Dexter Research Report — CRM
Generated at: 2026-09-21T12:13:57.604Z
Decision
HOLD
CRM(Salesforce)研究报告最终评级:HOLD
一、业务背景
CRM(Salesforce)是全球领先的客户关系管理(CRM)SaaS提供商,覆盖销售、服务、营销、商务、数据与AI等企业级软件模块,长期占据企业云服务市场头部位置。本报告以截至2026 年 9 月 21 日盘前的市场数据为唯一证据依据。
二、市场证据
1. 当前价位与近期走势
- 盘前报价:$238.30(前一日常规收盘 $237.92,单日 +0.16%)
- 5 日回报:-3.96%(短期回调)
- 20 日回报:+15.82%(中期强势)
- 60 日回报:+55.75%(前期大幅拉升)
- 252 日回报:-3.71%(年度级别仍为小幅下跌)
价格在过去两个月经历了一轮显著拉升后,近期进入回调整理阶段。
2. 移动均线结构
| 均线 | 价位 | 当前价相对位置 |
|---|---|---|
| MA5 | 249.28 | 下方 |
| MA10 | 248.96 | 下方 |
| MA20 | 243.21 | 下方 |
| MA50 | 206.93 | 上方 |
| MA60 | 199.38 | 上方 |
| MA200 | 201.57 | 上方 |
关键判断:短期均线(5/10/20)仍处于价格之上,显示近期动能偏弱;但中长期均线(50/60/200)远在价格下方,长期趋势结构未被破坏。
3. 动能指标
- RSI(14):37.12(接近超卖区但尚未触及30 极值)
- MACD 柱状:-3.22(负向动能延续)
- 短期技术面偏空,但未达到极端超卖水平
4. 关键价位
- 52 周高点:$269.11(当前距高点 -11.45%)
- 52 周低点:$146.32
- 20 日阻力:$268.27(距阻力 -11.17%)
- 20 日支撑:$198.95(距支撑 +19.78%)
价格处在中期阻力下方、但距中期支撑仍有较宽缓冲区间,处于"中位带"。
5. 量能- 5 日均量:1448.99 万股
- 20 日均量:1678.27 万股
- 量比(5日/20日):0.86(近期成交量低于中期均量,回调中无放量恐慌迹象)
三、风险1. 波动率极高:20 日年化波动率 85.59%,在主流大盘股中属于偏高水平,区间震荡可能剧烈。
- 历史最大回撤:近1 年最大回撤 -43.61%,表明在不利环境下下行幅度可能很大。
- 短期动能偏弱:MACD 负向、RSI 低于 50、价格位于 MA5/10/20 之下,短期可能继续承压。
- 高位回撤风险:从 8 月底 9 月初高点 $269 一线回落约 11%,若情绪转弱,存在向 20 日支撑 $198.95 进一步测试的可能(潜在下行约 16%)。
- 基本面信息有限:本次证据包未包含最新财报或业务催化剂,无法评估估值与盈利预期对当前价格的支撑力度。
四、综合判断
CRM 在中长期(50/60/200 日均线仍显著低于当前价)保持上行结构,但短期已跌破 MA5/10/20,且 MACD 与 RSI 均指向动能减弱。价格既不在极端超卖区,也未确认止跌反转。当前位置距阻力与支撑均有一段距离,缺乏明显的风险/收益不对称。
在缺乏额外基本面催化证据、且短期技术面偏空的背景下,维持持仓观望是相对中性的选择——既不在动能转弱中追空,也不追高买入处于回调初段的标的。后续需重点观察:
- 能否守住 MA50(约 $207)以维持长期上行结构;
- 20 日支撑 $198.95 是否成为下一阶段的关键测试位;
- MACD 柱状是否由负转正,作为动能修复的早期信号。
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.
短期回撤但中长期上行结构未破,建议观望等待企稳信号
作者明确给出 HOLD 信号(置信度 0.58)。核心逻辑:股价跌破 MA5/10/20 短期偏空,RSI 37、MACD 负值;但 60 日累计 +55.75% 且股价仍显著高于 MA50/60/200,长期趋势完整。8/27 财报跳涨 +23% 后属典型事件驱动回调,当前距 MA50 仍有约 19.8% 缓冲,作者认为贸然买卖风险收益比均不佳,因此维持观望。原始报告
AI-Trader 官方策略报告 — CRM
生成时间:2026-09-21T12:15:15.749Z
归一化结论
HOLD
官方策略原始输出
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"macro_summary_zh": "当前宏观信号分化,尚未形成明确主导方向。",
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"etf_summary": "Estimated BTC ETF flow is mixed.",
"etf_summary_zh": "估算的 BTC ETF 资金方向分化。",
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"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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"category": "equities",
"item_count": 50,
"activity_level": "elevated",
"top_headline": "Chemours Company (0HWG) Q4 2023 Earnings Report - Results, Call & Slides",
"top_source": "Ad-hoc-news.de",
"highlight_symbols": [
"GPC",
"AAPL",
"CL",
"NVDA",
"MSFT"
],
"sentiment_breakdown": {
"neutral": 16,
"somewhat-bullish": 14,
"bullish": 15,
"somewhat-bearish": 4,
"bearish": 1
},
"latest_item_time": "2026-07-24T06:10:49Z"
},
"created_at": "2026-07-24T06:24:06.429300Z",
"available": true
}
],
"last_updated_at": "2026-07-24T06:24:06.429300Z",
"total_items": 50,
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},
"agentAnalysis": {
"source": "registered_ark_agent_with_ai4trade_context",
"signal": "HOLD",
"summary": "CRM 短线处于回撤阶段但中长期趋势未破,建议观望等待企稳信号。",
"confidence": 0.58,
"evidence": [
"当前股价 238.30 低于 MA5(249.28)、MA10(248.96) 和 MA20(243.21),短期均线呈空头排列",
"60 日累计涨幅 +55.75% 表明中期上行趋势仍完整,股价仍站上 MA50(206.93)、MA60(199.38) 与 MA200(201.57)",
"RSI14 为 37.12,接近超卖但尚未触及极端区域,MACD 柱状图为 -3.22 显示动能偏空",
"从 9 月 3 日高点 268.27 至 9 月 18 日收盘 237.92,回撤约 11.3%,但仍守住 20 日支撑 198.95 上方",
"5 日均量较 20 日均量下降至 0.86 倍,回撤期间量能萎缩属正常整理",
"8 月 27 日单日大涨约 23%(疑似财报驱动)后出现获利回吐,属典型的事件驱动后回调结构"
],
"risks": [
"20 日年化波动率高达 85.59%,价格波动剧烈,止损执行难度大",
"近一年最大回撤 -43.61%,下行风险不可忽视",
"距离 52 周高点 -11.45%,若跌破 MA50(206.93) 则中期趋势可能转弱",
"AI4Trade 新闻数据停留在 2026-07-24,已近两个月未更新,舆情参考价值有限",
"盘前成交量为 0,流动性极低,报价可能存在噪音",
"宏观信号分化为中性,无明确方向性指引"
],
"officialConclusion": "【官方结论】标的:CRM(Salesforce);信号:HOLD;置信度:0.58。综合来看,CRM 在 8 月 27 日疑似财报日跳涨约 23% 后冲高至 268.27,随后进入持续约两周的回撤通道,当前盘前报价 238.30 已较近期高点回落逾 11%。技术面呈现典型的短线偏弱格局:股价跌破短周期均线组合(MA5/MA10/MA20),RSI14 降至 37 附近、MACD 柱状图为负 -3.22,量能同步萎缩至 5 日均量约为 20 日均量的 86%。然而中长期趋势并未破坏:60 日累计涨幅仍达 +55.75%,股价相对 MA50(206.93)、MA60(199.38) 与 MA200(201.57) 保持显著升水,20 日支撑位 198.95 距离当前价格约 19.8%,下方缓冲空间充裕。宏观层面 AI4Trade 信号分化为中性,缺乏明确的方向性催化。鉴于:1) 短期动能转弱但未现极端超卖;2) 中长期上行结构仍完整;3) 当前价位处于回撤中段,贸然买入风险收益比不佳而直接卖出则可能错过新一轮上行;策略上建议以观望为主,等待 RSI 进一步进入超卖区或股价企稳于短周期均线之上的明确信号,再行加仓或减仓决策。需密切关注 200 美元整数关口与 MA50 共同构成的强支撑带,一旦有效跌破则需重新评估中期趋势。",
"keyLevels": {
"support": [
206.93,
198.95,
191.1
],
"resistance": [
243.21,
249.28,
268.27
],
"stopLoss": 198,
"takeProfit": null
},
"timeHorizon": "1-2 周观察期,等待技术面修复信号",
"dataQuality": "盘前报价,流动性低;新闻数据陈旧(约 2 个月前);指标计算窗口完整",
"model": "pool-auto",
"rawText": "<think>Let me analyze this CRM (Salesforce) data carefully and generate a trading signal based only on the input data.\n\nKey observations:\n\n1. **Current Quote**: \n - Premarket price: $238.30\n - Regular close: $237.92\n - Change: +0.16%\n - Session: premarket\n - Volume: 0 (premarket, low liquidity)\n\n2. **Moving Averages**:\n - MA5: 249.28\n - MA10: 248.96\n - MA20: 243.21\n - MA50: 206.93\n - MA60: 199.38\n - MA200: 201.57\n \n Price (238.30) is BELOW MA5 (249.28), MA10 (248.96), and MA20 (243.21), but ABOVE MA50 (206.93), MA60 (199.38), and MA200 (201.57). This is a mixed picture - short-term bearish, but longer-term bullish.\n\n3. **Returns**:\n - 1d: +0.16% (slightly positive)\n - 5d: -3.96% (short-term decline)\n - 20d: +15.82% (strong medium-term gain)\n - 60d: +55.75% (very strong)\n - 252d: -3.71% (negative yearly)\n\n4. **RSI(14)**: 37.12 - approaching oversold territory, but still neutral\n\n5. **MACD Histogram**: -3.22 (bearish momentum)\n\n6. **Support/Resistance**:\n - Support 20d: $198.95\n - Resistance 20d: $268.27\n - 52w High: $269.11\n - 52w Low: $146.32\n - Distance from 52w high: -11.45%\n - Distance from 20d resistance: -11.17%\n - Distance from 20d support: +19.78%\n\n7. **Volatility**:\n - 20d annualized volatility: 85.59% (very high)\n - Max drawdown 1y: -43.61%\n\n8. **Volume**:\n - 5d avg: 14.49M\n - 20d avg: 16.78M\n - Ratio 5d/20d: 0.86 (declining volume)\n\n9. **Recent price action** (looking at the candles):\n - Stock had a huge rally from late August (around $200) to peak of $268 on Sept 3\n - Then has been declining: $259.23 (Sept 4) → $249.12 (Sept 8) → $244.16 (Sept 9) → $243 (Sept 10) → $247.72 (Sept 11) → $259.43 (Sept 14) → $255.65 (Sept 15) → $250.54 (Sept 16) → $242.85 (Sept 17) → $237.92 (Sept 18)\n - The trend over the past 5-7 trading sessions has been clearly bearish (down from ~$268 to ~$238, about -11%)\n - The Aug 27 jump from $205 to $252 (+23% in one day) was earnings-related\n\n10. **Macro/News**:\n - Macro verdict: neutral\n - News status: elevated\n - But the news data is from July 24, 2026 - quite stale (about 2 months old)\n - No specific CRM news\n\nAnalysis:\n- The stock is in a clear short-term downtrend after a post-earnings rally\n- It's now retracing from the highs, trading below all short-term moving averages\n- RSI at 37 suggests weakening momentum but not yet oversold\n- MACD histogram is negative\n- However, the longer-term trend (60d return +55.75%) is still very strong\n- Price is still well above MA50, MA60, MA200\n- Volume is declining on this pullback, which could be healthy consolidation\n- High volatility suggests caution\n- The stock had a massive 23% single-day jump on Aug 27 (likely earnings), followed by a peak, then a -11% pullback\n\nGiven the mixed signals:\n- Short-term bearish (below MAs, declining MACD, RSI weakness)\n- Medium to long-term still bullish (60d return +55%, above long-term MAs)\n- The pullback from $268 to $238 is meaningful but the stock is still up significantly from 2 months ago\n\nSignal consideration:\n- The technical setup suggests HOLD - we're in a pullback phase within a larger uptrend\n- The stock hasn't broken key support levels (MA50 at $206.93, 20d support at $198.95)\n- Buying right now in the middle of a pullback is risky\n- Selling would be premature given the longer-term trend is still up\n\nI think HOLD is the most appropriate signal here. The stock is undergoing a healthy pullback after a post-earnings rally, but the short-term momentum is bearish and the RSI/MACD suggest more downside possible before a base forms.\n\nConfidence: Around 0.55-0.65 for HOLD. The signals are mixed enough that I'm not very confident.\n\nLet me structure the output.</think>\n\n```json\n{\n \"signal\": \"HOLD\",\n \"summary\": \"CRM 短线处于回撤阶段但中长期趋势未破,建议观望等待企稳信号。\",\n \"confidence\": 0.58,\n \"evidence\": [\n \"当前股价 238.30 低于 MA5(249.28)、MA10(248.96) 和 MA20(243.21),短期均线呈空头排列\",\n \"60 日累计涨幅 +55.75% 表明中期上行趋势仍完整,股价仍站上 MA50(206.93)、MA60(199.38) 与 MA200(201.57)\",\n \"RSI14 为 37.12,接近超卖但尚未触及极端区域,MACD 柱状图为 -3.22 显示动能偏空\",\n \"从 9 月 3 日高点 268.27 至 9 月 18 日收盘 237.92,回撤约 11.3%,但仍守住 20 日支撑 198.95 上方\",\n \"5 日均量较 20 日均量下降至 0.86 倍,回撤期间量能萎缩属正常整理\",\n \"8 月 27 日单日大涨约 23%(疑似财报驱动)后出现获利回吐,属典型的事件驱动后回调结构\"\n ],\n \"risks\": [\n \"20 日年化波动率高达 85.59%,价格波动剧烈,止损执行难度大\",\n \"近一年最大回撤 -43.61%,下行风险不可忽视\",\n \"距离 52 周高点 -11.45%,若跌破 MA50(206.93) 则中期趋势可能转弱\",\n \"AI4Trade 新闻数据停留在 2026-07-24,已近两个月未更新,舆情参考价值有限\",\n \"盘前成交量为 0,流动性极低,报价可能存在噪音\",\n \"宏观信号分化为中性,无明确方向性指引\"\n ],\n \"officialConclusion\": \"【官方结论】标的:CRM(Salesforce);信号:HOLD;置信度:0.58。综合来看,CRM 在 8 月 27 日疑似财报日跳涨约 23% 后冲高至 268.27,随后进入持续约两周的回撤通道,当前盘前报价 238.30 已较近期高点回落逾 11%。技术面呈现典型的短线偏弱格局:股价跌破短周期均线组合(MA5/MA10/MA20),RSI14 降至 37 附近、MACD 柱状图为负 -3.22,量能同步萎缩至 5 日均量约为 20 日均量的 86%。然而中长期趋势并未破坏:60 日累计涨幅仍达 +55.75%,股价相对 MA50(206.93)、MA60(199.38) 与 MA200(201.57) 保持显著升水,20 日支撑位 198.95 距离当前价格约 19.8%,下方缓冲空间充裕。宏观层面 AI4Trade 信号分化为中性,缺乏明确的方向性催化。鉴于:1) 短期动能转弱但未现极端超卖;2) 中长期上行结构仍完整;3) 当前价位处于回撤中段,贸然买入风险收益比不佳而直接卖出则可能错过新一轮上行;策略上建议以观望为主,等待 RSI 进一步进入超卖区或股价企稳于短周期均线之上的明确信号,再行加仓或减仓决策。需密切关注 200 美元整数关口与 MA50 共同构成的强支撑带,一旦有效跌破则需重新评估中期趋势。\",\n \"keyLevels\": {\n \"support\": [206.93, 198.95, 191.10],\n \"resistance\": [243.21, 249.28, 268.27],\n \"stopLoss\": 198.00,\n \"takeProfit\": null\n },\n \"timeHorizon\": \"1-2 周观察期,等待技术面修复信号\",\n \"dataQuality\": \"盘前报价,流动性低;新闻数据陈旧(约 2 个月前);指标计算窗口完整\"\n}\n```",
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"content": "<think>Let me analyze this CRM (Salesforce) data carefully and generate a trading signal based only on the input data.\n\nKey observations:\n\n1. **Current Quote**: \n - Premarket price: $238.30\n - Regular close: $237.92\n - Change: +0.16%\n - Session: premarket\n - Volume: 0 (premarket, low liquidity)\n\n2. **Moving Averages**:\n - MA5: 249.28\n - MA10: 248.96\n - MA20: 243.21\n - MA50: 206.93\n - MA60: 199.38\n - MA200: 201.57\n \n Price (238.30) is BELOW MA5 (249.28), MA10 (248.96), and MA20 (243.21), but ABOVE MA50 (206.93), MA60 (199.38), and MA200 (201.57). This is a mixed picture - short-term bearish, but longer-term bullish.\n\n3. **Returns**:\n - 1d: +0.16% (slightly positive)\n - 5d: -3.96% (short-term decline)\n - 20d: +15.82% (strong medium-term gain)\n - 60d: +55.75% (very strong)\n - 252d: -3.71% (negative yearly)\n\n4. **RSI(14)**: 37.12 - approaching oversold territory, but still neutral\n\n5. **MACD Histogram**: -3.22 (bearish momentum)\n\n6. **Support/Resistance**:\n - Support 20d: $198.95\n - Resistance 20d: $268.27\n - 52w High: $269.11\n - 52w Low: $146.32\n - Distance from 52w high: -11.45%\n - Distance from 20d resistance: -11.17%\n - Distance from 20d support: +19.78%\n\n7. **Volatility**:\n - 20d annualized volatility: 85.59% (very high)\n - Max drawdown 1y: -43.61%\n\n8. **Volume**:\n - 5d avg: 14.49M\n - 20d avg: 16.78M\n - Ratio 5d/20d: 0.86 (declining volume)\n\n9. **Recent price action** (looking at the candles):\n - Stock had a huge rally from late August (around $200) to peak of $268 on Sept 3\n - Then has been declining: $259.23 (Sept 4) → $249.12 (Sept 8) → $244.16 (Sept 9) → $243 (Sept 10) → $247.72 (Sept 11) → $259.43 (Sept 14) → $255.65 (Sept 15) → $250.54 (Sept 16) → $242.85 (Sept 17) → $237.92 (Sept 18)\n - The trend over the past 5-7 trading sessions has been clearly bearish (down from ~$268 to ~$238, about -11%)\n - The Aug 27 jump from $205 to $252 (+23% in one day) was earnings-related\n\n10. **Macro/News**:\n - Macro verdict: neutral\n - News status: elevated\n - But the news data is from July 24, 2026 - quite stale (about 2 months old)\n - No specific CRM news\n\nAnalysis:\n- The stock is in a clear short-term downtrend after a post-earnings rally\n- It's now retracing from the highs, trading below all short-term moving averages\n- RSI at 37 suggests weakening momentum but not yet oversold\n- MACD histogram is negative\n- However, the longer-term trend (60d return +55.75%) is still very strong\n- Price is still well above MA50, MA60, MA200\n- Volume is declining on this pullback, which could be healthy consolidation\n- High volatility suggests caution\n- The stock had a massive 23% single-day jump on Aug 27 (likely earnings), followed by a peak, then a -11% pullback\n\nGiven the mixed signals:\n- Short-term bearish (below MAs, declining MACD, RSI weakness)\n- Medium to long-term still bullish (60d return +55%, above long-term MAs)\n- The pullback from $268 to $238 is meaningful but the stock is still up significantly from 2 months ago\n\nSignal consideration:\n- The technical setup suggests HOLD - we're in a pullback phase within a larger uptrend\n- The stock hasn't broken key support levels (MA50 at $206.93, 20d support at $198.95)\n- Buying right now in the middle of a pullback is risky\n- Selling would be premature given the longer-term trend is still up\n\nI think HOLD is the most appropriate signal here. The stock is undergoing a healthy pullback after a post-earnings rally, but the short-term momentum is bearish and the RSI/MACD suggest more downside possible before a base forms.\n\nConfidence: Around 0.55-0.65 for HOLD. The signals are mixed enough that I'm not very confident.\n\nLet me structure the output.</think>\n\n```json\n{\n \"signal\": \"HOLD\",\n \"summary\": \"CRM 短线处于回撤阶段但中长期趋势未破,建议观望等待企稳信号。\",\n \"confidence\": 0.58,\n \"evidence\": [\n \"当前股价 238.30 低于 MA5(249.28)、MA10(248.96) 和 MA20(243.21),短期均线呈空头排列\",\n \"60 日累计涨幅 +55.75% 表明中期上行趋势仍完整,股价仍站上 MA50(206.93)、MA60(199.38) 与 MA200(201.57)\",\n \"RSI14 为 37.12,接近超卖但尚未触及极端区域,MACD 柱状图为 -3.22 显示动能偏空\",\n \"从 9 月 3 日高点 268.27 至 9 月 18 日收盘 237.92,回撤约 11.3%,但仍守住 20 日支撑 198.95 上方\",\n \"5 日均量较 20 日均量下降至 0.86 倍,回撤期间量能萎缩属正常整理\",\n \"8 月 27 日单日大涨约 23%(疑似财报驱动)后出现获利回吐,属典型的事件驱动后回调结构\"\n ],\n \"risks\": [\n \"20 日年化波动率高达 85.59%,价格波动剧烈,止损执行难度大\",\n \"近一年最大回撤 -43.61%,下行风险不可忽视\",\n \"距离 52 周高点 -11.45%,若跌破 MA50(206.93) 则中期趋势可能转弱\",\n \"AI4Trade 新闻数据停留在 2026-07-24,已近两个月未更新,舆情参考价值有限\",\n \"盘前成交量为 0,流动性极低,报价可能存在噪音\",\n \"宏观信号分化为中性,无明确方向性指引\"\n ],\n \"officialConclusion\": \"【官方结论】标的:CRM(Salesforce);信号:HOLD;置信度:0.58。综合来看,CRM 在 8 月 27 日疑似财报日跳涨约 23% 后冲高至 268.27,随后进入持续约两周的回撤通道,当前盘前报价 238.30 已较近期高点回落逾 11%。技术面呈现典型的短线偏弱格局:股价跌破短周期均线组合(MA5/MA10/MA20),RSI14 降至 37 附近、MACD 柱状图为负 -3.22,量能同步萎缩至 5 日均量约为 20 日均量的 86%。然而中长期趋势并未破坏:60 日累计涨幅仍达 +55.75%,股价相对 MA50(206.93)、MA60(199.38) 与 MA200(201.57) 保持显著升水,20 日支撑位 198.95 距离当前价格约 19.8%,下方缓冲空间充裕。宏观层面 AI4Trade 信号分化为中性,缺乏明确的方向性催化。鉴于:1) 短期动能转弱但未现极端超卖;2) 中长期上行结构仍完整;3) 当前价位处于回撤中段,贸然买入风险收益比不佳而直接卖出则可能错过新一轮上行;策略上建议以观望为主,等待 RSI 进一步进入超卖区或股价企稳于短周期均线之上的明确信号,再行加仓或减仓决策。需密切关注 200 美元整数关口与 MA50 共同构成的强支撑带,一旦有效跌破则需重新评估中期趋势。\",\n \"keyLevels\": {\n \"support\": [206.93, 198.95, 191.10],\n \"resistance\": [243.21, 249.28, 268.27],\n \"stopLoss\": 198.00,\n \"takeProfit\": null\n },\n \"timeHorizon\": \"1-2 周观察期,等待技术面修复信号\",\n \"dataQuality\": \"盘前报价,流动性低;新闻数据陈旧(约 2 个月前);指标计算窗口完整\"\n}\n```",
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"created": 1789992977,
"model": "MiniMax-M3",
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"usage": {
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"marketContext": {
"id": "mc_CRM_20260921121251_local_job_daily_20260921_CRM_kronos_premarket",
"asOf": "2026-09-21T12:12:51.169Z",
"quote": {
"timestamp": 1789992581,
"date": "2026-09-21",
"open": 238.3,
"high": 238.3,
"low": 238.3,
"close": 238.3,
"volume": 0,
"changePct": 0.15971755211836916,
"regularClose": 237.92,
"session": "premarket",
"provider": "Yahoo Finance",
"source": "Yahoo Finance 5-minute extended-hours chart API",
"staleSeconds": 190,
"isStale": false
},
"dataSources": [
{
"type": "market_data",
"provider": "Yahoo Finance",
"providerKey": "yahoo",
"source": "Yahoo Finance chart API",
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"range": "1y",
"observations": 251,
"latestDate": "2026-09-18"
},
{
"type": "market_data",
"provider": "Yahoo Finance",
"providerKey": "yahoo_premarket",
"source": "Yahoo Finance 5-minute extended-hours chart API",
"interval": "5m",
"latestDate": "2026-09-21",
"latestTimestamp": "2026-09-21T12:09:41.000Z",
"session": "premarket",
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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。
放量跌破均线弱势整理,内部评分 39 偏空但最终决策观望
作者最终评级 HOLD(操作建议观望),但内部评分 39 明确标注'看空',表明其立场实际偏防御。核心证据:9/18 收盘 237.92 已跌破 MA5(244.98) 和 MA20(244.65),成交量较前日放大 1.32 倍为放量下跌;MA5<MA10 显示短期趋势走弱。建议空仓者继续空仓、持仓者减仓防守。虽然外部标签是 HOLD,但实际倾向是规避风险而非中性持有。原始报告
daily_stock_analysis Report — CRM
Generated at: 2026-09-21T12:13:18.857Z
Decision
HOLD
⚪ Salesforce, Inc. (CRM)
2026-09-21 20:15 | 评分: 39 | 看空
📈 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 |
|---|---|---|---|---|---|---|---|---|---|
| 237.92 | 242.85 | 244.25 | 244.25 | 236.55 | -0.25% | -4.93 | 3.17% | 2194.79 万股 | 52.22 亿元 |
| 当前价 | 量比 | 换手率 | 行情来源 |
|---|---|---|---|
| 237.92 | N/A | N/A | 降级兜底 |
📌 核心结论
观望: 放量跌破均线,弱势整理中,观望等待止跌信号
📰 重要信息速览
📊 业绩预期: 数据缺失,无法判断。当前无最新业绩预告或财报信息可供分析。 💭 舆情情绪: 舆情信息空白,市场情绪无法从新闻端验证,仅能依据技术面判断为弱势偏空。
🚨 风险警报:
- 风险点1:放量下跌(成交较昨日放大1.32倍),空方抛压释放,短期动能向下
- 风险点2:均线非标准多头排列(MA5<MA10),短期趋势走弱,技术面缺乏支撑
- 风险点3:收盘价237.92已跌破MA5(244.98)和MA20(244.65),价格处于均线下方弱势区域
✨ 利好催化:
- 利好1:乖离率-2.88%处于安全范围,尚未出现超跌极端值
- 利好2:MA10仍高于MA20,中期趋势尚未完全破坏
🎯 操作点位
| 理想买入点 | 止损位 | 目标位 |
|---|---|---|
| 理想买入点:233.00美元附近(前期低点区域,需出现缩量企稳K线信号) | 止损位:225.00美元(跌破近期平台支撑约5%) | 目标位:248.00-250.00美元(MA10及整数关口) |
💼 持仓建议
- 🆕 空仓者: 空仓者建议:当前技术面弱势且放量下跌,不具备买入条件,继续空仓等待价格企稳并重新站上MA5(约244.98美元)后再考虑介入。
- 💼 持仓者: 持仓者建议:已跌破MA5且放量下行,建议减仓或清仓防守,关注MA20(约244.65美元)支撑力度;若跌破则进一步降低仓位。
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_CRM_20260921121251_local_job_daily_20260921_CRM_kronos_premarket
- Data sources: mc_CRM_20260921121251_local_job_daily_20260921_CRM_kronos_premarket, Configured LLM provider
This is automated stock research, not investment advice.
技术面略偏防御,最终维持 HOLD 并设置明确降级触发
作者最终评级 HOLD(略偏防御)。综合评分:多方 2 项(长期/中期趋势)、空方 3 项(短期破 MA20、60 日涨幅已大幅兑现、9/17-9/18 放量下挫分发信号)、中性 3 项、不确定 1 项,结论'略偏中性偏空'。明确列出降级触发:跌破 242.85(9/17 低点)→ 降级 SELL;跌破 206.93(MA50)→ 紧急清仓;跌破 201.57(MA200)→ 长期转空。情景概率分配:反弹续涨 35%、区间震荡 30%、破位下行 30%、极端破位 5%,'当前最可能路径 B 偏 C'。原始报告
Vibe-Trading 中文策略报告 — CRM
生成时间:2026-09-21T12:15:01.177Z
最终结论
HOLD
中文摘要
Key instructions:
- Use ONLY the provided MarketContext data - DO NOT call Yahoo, Brave, Jina, or external web search
- If news/earnings evidence is missing, explicitly state "统一上下文未提供该证据" (unified context does not provide this evidence)
- Must include evidence, risk control, and final decision
- Preserve original output
Let me analyze the provided data:
MarketContext: mc_CRM_20260921121251_local_job_daily_20260921_CRM_kronos_premarket asOf: 2026-09-21T12:12:51.169Z (Monday, September 21, 2026, premarket) Current Price: 238.30 USD | Date: 2026-09-21 | Daily change: +0.16%
Moving Averages:
- MA20: 243.2110
- MA50: 206.9272
- MA200: 201.5669
Returns:
- 20-day: +15.82%
- 60-day: +55.75%
- 252-day: -3.71%
RSI14: 37.12
Recent 20 daily bars (with key observation):
- 8/21: 209.17 (vol 9.69M)
- 8/24: 209.06 (vol 9.58M)
- 8/25: 205.69 (vol 10.08M)
- 8/26: 205.62 (vol 14.89M)
- 8/27: 252.05 (vol 55.52M) ← MASSIVE JUMP, +22.6% on huge volume
- 8/28: 256.00 (vol 34.36M)
- 8/31: 257.54 (vol 22.47M)
- 9/01: 258.11 (vol 15.90M)
- 9/02: 256.93 (vol 14.39M)
- 9/03: 264.43 (vol 16.03M) ← PEAK
- 9/04: 259.23 (vol 10.49M)
- 9/08: 249.12 (vol 17.48M) ← Earnings? Big drop on volume
- 9/09: 244.16 (vol 11.85M)
- 9/10: 243.00 (vol 10.73M)
- 9/11: 247.72 (vol 9.74M)
- 9/14: 259.43 (vol 12.96M) ← bounce
- 9/15: 255.65 (vol 11.50M)
- 9/16: 250.54 (vol 9.42M)
- 9/17: 242.85 (vol 16.61M) ← bigger drop on volume
- 9/18: 237.92 (vol 21.95M) ← biggest drop day in this period (-2.03%)
Let me look at this more carefully:
Major moves:
- 8/26→8/27: 205.62 → 252.05 = +22.60% on 55M volume ← CRITICAL CATALYST
- 8/27→9/03: 252.05 → 264.43 = continued rally to peak
- 9/03→9/18: 264.43 → 237.92 = -10.0% pullback
- 9/14→9/18: 259.43 → 237.92 = -8.31% in 4 trading days, with volume rising
Trend Analysis:
- Price is BELOW MA20 (238.30 vs 243.21) - short-term bearish
- Price is ABOVE MA50 (238.30 vs 206.93) - medium-term bullish
- Price is ABOVE MA200 (238.30 vs 201.57) - long-term bullish
- MA20 < MA50 < recent peak → pullback in uptrend
- RSI 37.12 → oversold territory but not extreme
Returns:
- 20-day: +15.82% — strong but now reversing
- 60-day: +55.75% — very strong rally
- 252-day: -3.71% — still negative YTD
Volume analysis:
- Average volume during 8/27-9/18: very high (15-55M during rally, 10-22M during pullback)
- Last 2 days volume RISING during decline (16.6M, 21.95M) — distribution pattern
- 9/18: -2.03% on 21.95M volume — high-volume sell day
- Average volume last 20 days: ~17M
Liquidity: Excellent — massive volume, easily tradeable
Catalysts (need to identify without external search):
- 8/27: massive +22.6% gap up on 55M volume — likely earnings beat or major announcement. This is a textbook post-earnings surge.
- 9/03: New high at 264.43
- 9/04→9/18: pullback ~10%
Without external search, I can only identify WHAT happened, not WHY. The user explicitly said not to search.
Risks:
- Distribution pattern (rising volume on down days)
- Below MA20
- Lost ~10% from peak
- RSI approaching oversold but still room to fall
- 252-day return still negative
Final Decision Framework:
- Was a strong rally, now in pullback
- Multiple support levels: MA50 (206.93), MA200 (201.57)
- Could be a buying opportunity IF the uptrend resumes
- But could also be breakdown from blow-off top
Given:
- Price below MA20 (short-term bearish)
- MA20 declining from peak
- Last 2 days high-volume decline
- Lost 10% from peak in 2 weeks
- But 60-day return still +55.75%
- Above MA50/MA200 (medium/long-term bullish)
- RSI 37 (oversold)
This is a HOLD with potential downgrade to SELL if breaks MA50 (206.93). For 1-4 weeks: HOLD seems appropriate, leaning defensive.
Let me structure the response in Chinese with:
- 数据纪律与边界 (Data discipline and boundaries)
- 趋势分析 (Trend analysis)
- 催化因素 (Catalysts)
- 风险 (Risks)
- 流动性/成交量背景 (Liquidity/volume context)
- 未来1-4周决策 (1-4 week decision)
- 风险控制 (Risk control)
- 最终决策 (Final decision)
I need to use markdown pipe tables per the guidelines. No horizontal rules (---). Use ## and ### headings.
Let me craft the response.
CRM 研究报告 2026-09-21(盘前版)
asOf: 2026-09-21T12:12:51.169Z(美东时间 9/21 盘前 08:12 ET)
MarketContext: mc_CRM_20260921121251_local_job_daily_20260921_CRM_kronos_premarket
最新价(盘前): 238.30 USD | 9/18 收盘: 237.92 USD | 9/18 日涨跌: -2.03%
盘前变动: +0.16%(基于 9/18 收盘)
数据纪律与边界
仅使用统一上下文 MarketContext 提供的真实行情数据,未调用 Yahoo / Brave / Jina 或任何外部网页搜索。
统一上下文未提供的证据(必须显式标注,不得外推):
| 类别 | 缺失证据 |
|---|---|
| 财报与盈利数据 | 无最新季报(Q1/Q2 2027 FY)EPS、营收、订阅收入、运营利润率、自由现金流、GAAP/Non-GAAP 利润率、cARR / RPO、指引、ROE |
| 公司公告与新闻 | 8/27 +22.6% 跳空暴涨具体原因(财报/指引/管理层动作/M&A/AI 公告)未在上下文中给出;8/26→9/18 期间管理层动作、回购、并购、产能调整披露均无 |
| 行业与同业 | Agentforce / Einstein GPT / Data Cloud / Slack AI 进展、Microsoft Copilot / Dynamics / ServiceNow / HubSpot 同业对比未提供 |
| 估值数据 | 远期 PE / EV/Sales / PS / DCF / 同业相对估值倍数未提供 |
| 内部人与机构 | Form 4、13F 持仓变动、暗池/大宗交易未提供 |
| 期权与衍生品 | IV / Put-Call / 未平仓量 / Skew 未提供 |
| 宏观与利率 | 利率路径、宏观事件、行业板块资金流向未提供 |
结论中所有"为什么暴涨 / 为什么下跌"的归因均不得编造,仅基于价格/成交量结构进行技术层面推断。
趋势分析
均线与趋势结构
| 维度 | 数值 | 价格 vs 均线 | 结构含义 |
|---|---|---|---|
| 当前价 | 238.30 | — | — |
| MA20 | 243.21 | 价 < MA20(-2.02%) | 短期跌破,短线偏弱 |
| MA50 | 206.93 | 价 > MA50(+15.18%) | 中期仍在多头区域 |
| MA200 | 201.57 | 价 > MA200(+18.23%) | 长期多头结构未破 |
| MA20 位置 | 在 MA50 之上 | 多头排列中短期未崩 | — |
| MA50 vs MA200 | 50 > 200(金叉残留) | 长期上升趋势仍存 | — |
趋势状态:多头趋势中的回调阶段。价格在 MA20 下方运行,但仍在 MA50 / MA200 之上。
- 若 238 一线失守 → 下看 50 日线 206.93(约 -13.2% 空间),再到 200 日线 201.57
- 若企稳反弹 → 上看 MA20 243.21 → 前高 264.43
周期收益与强度
| 周期 | 收益 | 解读 |
|---|---|---|
| 20 日 | +15.82% | 强势上涨后已开始回吐 |
| 60 日 | +55.75% | 大级别反弹 / 主升段 |
| 252 日 | -3.71% | 仍未扭转 1 年负收益 |
信号解读:60 日 +55.75% 属于典型主升浪幅度,配合 RSI=37.12(已从超买回落至接近超卖),说明上涨动能已被显著消化,但尚未进入极端超卖。
RSI14 = 37.12
| 区间 | RSI 阈值 | 当前状态 |
|---|---|---|
| 超买 | > 70 | — |
| 偏强 | 50–70 | — |
| 偏弱 | 30–50 | 当前位置 |
| 极弱 | < 30 | — |
RSI 37 接近 30 超卖阈值但未触及,存在两种可能:
- 健康回调:超买消化后再上行(更可能,若 MA50 不破)
- 趋势反转:跌破 MA50 后 RSI 进入 20–30 区间形成新一轮下行(次可能)
催化因素(仅基于价格/成交量结构推断,非归因)
⚠️ 统一上下文未提供 8/27 +22.6% 跳空暴涨的具体原因(财报/指引/AI 公告/M&A),下列为纯技术结构观察,不构成事件归因。
| 日期 | 现象 | 推断性质 |
|---|---|---|
| 8/26→8/27 | 价 205.62→252.05(+22.60%),量 14.89M→55.52M(×3.73 倍) | 典型重大事件跳空(财报 / 指引 / 战略级公告至少其一) |
| 8/27→9/03 | 252.05→264.43(+4.91%),量维持 16–34M | 主升浪延续,量价配合 |
| 9/03 | 创阶段高点 264.43,量 16.03M | 顶部量能未显著放大,初现分歧 |
| 9/04→9/18 | 264.43→237.92(-10.00%),区间 16 个交易日 | 高位回吐阶段 |
| 9/17 | 跌 -2.99%(250.54→242.85),量 16.61M | 单日大跌,量能放大 |
| 9/18 | 跌 -2.03%(242.85→237.92),量 21.95M | 连续放量下挫,分发信号增强 |
结构观察(非归因):8/27 跳空后 9/17、9/18 出现"放量阴跌"形态,9/18 成交 21.95M 为近 20 日均量(约 17.3M)的 1.27 倍,且为下跌日,提示主力可能在对敲或机构减持——但这是技术结构推断,不构成事实归因。
风险
| 风险类型 | 具体描述 | 量级 |
|---|---|---|
| 短期技术破位 | 9/18 收盘 237.92 已下穿 MA20(243.21),若 9/21 继续下行,MA20 将由支撑转压力 | 高 |
| 中期支撑测试 | 若跌破 9/17 低点 242.85 → 下看 MA50 206.93(潜在跌幅 -13.2%) | 高 |
| 长期趋势转弱 | MA50 206.93 再破,则下看 MA200 201.57;若 MA200 也破,60 日 +55.75% 涨幅可能完全回吐 | 中 |
| 跳空缺口回补 | 8/27 跳空缺口 205.62→252.05 区间下沿 205.62 若被回补,将改变"长期上升趋势"叙事 | 中 |
| 量价背离 | 9/17–9/18 连续放量下跌(16.6M、21.95M),且 RSI 仍在 37 未到极弱区,可能还有下行空间 | 高 |
| 事件风险 | 8/27 暴涨的具体催化剂若为一次性事件(财报一次性高增 / 一次性合约 / 一次性 M&A),后续财报可能无法延续,估值支撑减弱 | 中(无法验证) |
| 宏观与利率 | 统一上下文未提供,但大盘科技股估值与利率敏感度较高 | 不确定 |
流动性 / 成交量背景
| 指标 | 数值 | 评级 |
|---|---|---|
| 最近 20 日均量(估算) | ~17.3M 股 | — |
| 9/18 成交量 | 21.95M 股 | 高于均值 27% |
| 9/17 成交量 | 16.61M 股 | 接近均值 |
| 8/27 跳空日成交量 | 55.52M 股 | 极端放量,为均量 3.21 倍 |
| 流动性评级 | — | 优秀(高成交量、无流动性风险) |
成交量分布特征:
| 阶段 | 区间 | 量能特征 | 含义 |
|---|---|---|---|
| 突破期 | 8/26→9/03 | 15.9M–55.5M(暴涨日 55.5M) | 巨量突破 → 事件驱动 |
| 高位震荡 | 9/04→9/16 | 9.4M–17.5M,均量约 12M | 缩量盘整,无方向 |
| 分发期 | 9/17–9/18 | 16.6M、22.0M,连续放量下跌 | 典型派发形态(疑似) |
流动性结论:CRM 流动性极佳,盘前 / 盘中任何规模头寸都可快速进出。盘前报价 238.30 与 9/18 收盘 237.92 基本持平,无显著盘前方向性指引。
未来 1–4 周(2026-09-21 至 2026-10-16)路径推演
场景概率与路径(仅基于技术结构,非事件预测)
| 场景 | 触发条件 | 路径 | 价格区间 | 概率(主观) |
|---|---|---|---|---|
| A. 反弹续涨 | 9/21–9/25 企稳 238 上方,重新站上 MA20 243.21 | 反弹 → 突破 9/14 高点 259.43 → 测试前高 264.43 | 238–270 | 35% |
| B. 区间震荡 | 在 MA20 与近期低点 235 一线震荡 | 235–250 区间,无明确方向 | 235–250 | 30% |
| C. 破位下行 | 跌破 9/17 低点 242.85 继续放量下挫 | 测试 MA50 206.93 → 测试 MA200 201.57 | 200–240 | 30% |
| D. 极端破位 | 跌破 MA200 201.57 且 RSI 进入 25 以下 | 抹去 60 日全部涨幅 | 180–205 | 5% |
当前最可能路径(B 偏 C):盘前 +0.16% 几乎平开,未给出方向性指引。结合 9/17–9/18 连续放量下挫 + 价格跌破 MA20,技术面短期偏空;MA50/MA200 仍提供中期支撑,但若 9/22–9/25 任何一日继续放量破位,C 路径概率会上修。
风险控制
关键价格位(基于统一上下文真实数据计算)
| 位次 | 名称 | 价格 | 性质 |
|---|---|---|---|
| 上方阻力 R3 | 9/03 阶段高点 | 264.43 | 强阻力 |
| 上方阻力 R2 | 9/14 高点 | 259.43 | 短线阻力 |
| 上方阻力 R1 | MA20 | 243.21 | 短线生命线 |
| 当前价 | 盘前 | 238.30 | — |
| 下方支撑 S1 | 9/17 低点 | 242.85 | 关键 1 — 跌破则短线转弱 |
| 下方支撑 S2 | 8/26 收盘(缺口下沿) | 205.62 | 关键 2 — 缺口回补则中期结构破坏 |
| 下方支撑 S3 | MA50 | 206.93 | 中期均线 |
| 下方支撑 S4 | MA200 | 201.57 | 长期牛熊分界 |
操作规则(HOLD 情景下的风控)
| 规则 | 内容 |
|---|---|
| 多头止损 | 收盘价跌破 9/17 低点 242.85,则视为短线破位,降级为 SELL / DEFEND |
| 中线离场 | 收盘价跌破 206.93(MA50),则中期上升趋势破坏,全部清仓 |
| 牛熊分界 | 收盘价跌破 201.57(MA200),且连续两日不收回,长期趋势转空 |
| 加仓触发 | 收盘价重新站上 243.21(MA20)且放量 > 17M,可小幅加仓 |
| 止盈触发 | 反弹至 259–264 区间且 RSI > 65,分批止盈 |
| 仓位上限 | 在破位信号出现前,单一持仓上限不超过组合的 15%(流动性极佳,可适度集中) |
最终决策:HOLD(中性持有 / 等待方向)
决策矩阵
| 维度 | 评估 | 权重 |
|---|---|---|
| 长期趋势(MA200 上方) | 偏多 | + |
| 中期趋势(MA50 上方 +15%) | 偏多 | + |
| 短期趋势(MA20 下方 -2%) | 偏空 | - |
| RSI 37.12 | 偏弱但未极弱 | 中性 |
| 60 日 +55.75% 涨幅 | 已大幅兑现,可能进入调整 | - |
| 9/17–9/18 放量下挫 | 分发信号增强 | - |
| 流动性 | 极佳(执行无忧) | + |
| 事件催化剂 | 统一上下文未提供,无法评估财报/指引后续兑现度 | 不确定 |
| 盘前报价方向 | 几乎平开(+0.16%),无指引 | 中性 |
综合评分:多方 2 项,空方 3 项,中性 3 项,不确定 1 项 → 略偏中性偏空。
评级
| 项目 | 内容 |
|---|---|
| 最终评级(1–4 周) | HOLD(中性持有) |
| 倾向 | 略偏防御 |
| 目标区间 | 235–250(震荡),上沿 260 / 下沿 205 |
| 核心信号 | 9/21 收盘能否重新站上 MA20 243.21,且成交量不萎缩 |
| 降级触发 | 跌破 242.85 → SELL;跌破 206.93 → 紧急清仓 |
| 升级触发 | 站稳 243.21 + 放量 → 调升至弱 BUY |
三档应急预案
| 档位 | 触发条件 | 行动 |
|---|---|---|
| 🟢 偏多 | 9/21–9/25 收盘站上 243.21(MA20) | 维持 HOLD,可在 250–260 分批减仓兑现 |
| 🟡 中性(基准) | 维持在 235–243 区间 | HOLD 现状,不加仓 |
| 🔴 偏空 | 收盘跌破 242.85 | 降级为 SELL,减仓 1/2–2/3 |
| ⚫ 紧急 | 收盘跌破 206.93(MA50) | 全清仓,离场观望 |
风险声明
- 本报告仅基于统一上下文 MarketContext 提供的 20 日日线数据,不包含财报、新闻、估值数据。8/27 +22.6% 暴涨、9/17–9/18 放量下跌的根本原因在上下文中均未给出,所有事件性归因均不得外推。
- 当前评级 HOLD 是技术结构评级,不构成投资建议。若存在未在上下文中体现的财报风险、监管风险、宏观风险,结论可能失效。
- 任何跌破 242.85 的盘中/收盘信号应被视为短线破位,需立即启动风控;任何跌破 206.93 的信号应被视为中期趋势破坏,必须清仓。
- 流动性极佳,盘前报价 238.30 与 9/18 收盘 237.92 基本持平,无显著盘前方向,真正的方向选择需要等 9/21 盘中 K 线收出。
原始输出(保留 MarketContext 输入与计算)
MarketContext: mc_CRM_20260921121251_local_job_daily_20260921_CRM_kronos_premarket
asOf: 2026-09-21T12:12:51.169Z
最新价: 238.3, 日期: 2026-09-21, 日涨跌: 0.16%
MA20: 243.2110, MA50: 206.9272, MA200: 201.5669
20日收益: 15.82%, 60日收益: 55.75%, 252日收益: -3.71%, RSI14: 37.12
最近20根日线:
2026-08-21 close=209.1700 volume=9685400
2026-08-24 close=209.0600 volume=9580200
2026-08-25 close=205.6900 volume=10081800
2026-08-26 close=205.6200 volume=14888900
2026-08-27 close=252.0500 volume=55517500 ← +22.60%, 极端放量
2026-08-28 close=256.0000 volume=34362700
2026-08-31 close=257.5400 volume=22471500
2026-09-01 close=258.1100 volume=15897500
2026-09-02 close=256.9300 volume=14393700
2026-09-03 close=264.4300 volume=16028300 ← 阶段高点
2026-09-04 close=259.2300 volume=10490600
2026-09-08 close=249.1200 volume=17482700
2026-09-09 close=244.1600 volume=11853700
2026-09-10 close=243.0000 volume=10732600
2026-09-11 close=247.7200 volume=9738300
2026-09-14 close=259.4300 volume=12963700
2026-09-15 close=255.6500 volume=11502800
2026-09-16 close=250.5400 volume=9423800
2026-09-17 close=242.8500 volume=16611300 ← -3.08%, 放量
2026-08-18 close=237.9200 volume=21947900 ← -2.03%, 放量下挫
关键计算:
- 当前价 vs MA20: 238.30 / 243.21 - 1 = -2.02%
- 当前价 vs MA50: 238.30 / 206.93 - 1 = +15.18%
- 当前价 vs MA200: 238.30 / 201.57 - 1 = +18.23%
- 8/27 涨幅: 252.05/205.62 - 1 = +22.60%
- 8/27 量比: 55.52M / 14.89M = 3.73x
- 9/03→9/18 跌幅: 237.92/264.43 - 1 = -10.03%
- 9/18 量: 21.95M,约 20 日均量(~17.3M) 的 1.27x
- 缺口区间: 8/27 跳空 205.62→252.05,下沿 205.62
- RSI14 = 37.12(接近超卖但未到 30)
原始输入与模型输出
Prompt
请用中文研究 CRM: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_CRM_20260921121251_local_job_daily_20260921_CRM_kronos_premarket
- asOf: 2026-09-21T12:12:51.169Z
- 最新价: 238.3, 日期: 2026-09-21, 日涨跌: 0.16%
- MA20: 243.2110, MA50: 206.9272, MA200: 201.5669
- 20日收益: 15.82%, 60日收益: 55.75%, 252日收益: -3.71%, RSI14: 37.12
- 最近20根日线: 2026-08-21 close=209.1700 volume=9685400 2026-08-24 close=209.0600 volume=9580200 2026-08-25 close=205.6900 volume=10081800 2026-08-26 close=205.6200 volume=14888900 2026-08-27 close=252.0500 volume=55517500 2026-08-28 close=256.0000 volume=34362700 2026-08-31 close=257.5400 volume=22471500 2026-09-01 close=258.1100 volume=15897500 2026-09-02 close=256.9300 volume=14393700 2026-09-03 close=264.4300 volume=16028300 2026-09-04 close=259.2300 volume=10490600 2026-09-08 close=249.1200 volume=17482700 2026-09-09 close=244.1600 volume=11853700 2026-09-10 close=243.0000 volume=10732600 2026-09-11 close=247.7200 volume=9738300 2026-09-14 close=259.4300 volume=12963700 2026-09-15 close=255.6500 volume=11502800 2026-09-16 close=250.5400 volume=9423800 2026-09-17 close=242.8500 volume=16611300 2026-09-18 close=237.9200 volume=21947900
Vibe-Trading 原始输出
Key instructions:
- Use ONLY the provided MarketContext data - DO NOT call Yahoo, Brave, Jina, or external web search
- If news/earnings evidence is missing, explicitly state "统一上下文未提供该证据" (unified context does not provide this evidence)
- Must include evidence, risk control, and final decision
- Preserve original output
Let me analyze the provided data:
MarketContext: mc_CRM_20260921121251_local_job_daily_20260921_CRM_kronos_premarket asOf: 2026-09-21T12:12:51.169Z (Monday, September 21, 2026, premarket) Current Price: 238.30 USD | Date: 2026-09-21 | Daily change: +0.16%
Moving Averages:
- MA20: 243.2110
- MA50: 206.9272
- MA200: 201.5669
Returns:
- 20-day: +15.82%
- 60-day: +55.75%
- 252-day: -3.71%
RSI14: 37.12
Recent 20 daily bars (with key observation):
- 8/21: 209.17 (vol 9.69M)
- 8/24: 209.06 (vol 9.58M)
- 8/25: 205.69 (vol 10.08M)
- 8/26: 205.62 (vol 14.89M)
- 8/27: 252.05 (vol 55.52M) ← MASSIVE JUMP, +22.6% on huge volume
- 8/28: 256.00 (vol 34.36M)
- 8/31: 257.54 (vol 22.47M)
- 9/01: 258.11 (vol 15.90M)
- 9/02: 256.93 (vol 14.39M)
- 9/03: 264.43 (vol 16.03M) ← PEAK
- 9/04: 259.23 (vol 10.49M)
- 9/08: 249.12 (vol 17.48M) ← Earnings? Big drop on volume
- 9/09: 244.16 (vol 11.85M)
- 9/10: 243.00 (vol 10.73M)
- 9/11: 247.72 (vol 9.74M)
- 9/14: 259.43 (vol 12.96M) ← bounce
- 9/15: 255.65 (vol 11.50M)
- 9/16: 250.54 (vol 9.42M)
- 9/17: 242.85 (vol 16.61M) ← bigger drop on volume
- 9/18: 237.92 (vol 21.95M) ← biggest drop day in this period (-2.03%)
Let me look at this more carefully:
Major moves:
- 8/26→8/27: 205.62 → 252.05 = +22.60% on 55M volume ← CRITICAL CATALYST
- 8/27→9/03: 252.05 → 264.43 = continued rally to peak
- 9/03→9/18: 264.43 → 237.92 = -10.0% pullback
- 9/14→9/18: 259.43 → 237.92 = -8.31% in 4 trading days, with volume rising
Trend Analysis:
- Price is BELOW MA20 (238.30 vs 243.21) - short-term bearish
- Price is ABOVE MA50 (238.30 vs 206.93) - medium-term bullish
- Price is ABOVE MA200 (238.30 vs 201.57) - long-term bullish
- MA20 < MA50 < recent peak → pullback in uptrend
- RSI 37.12 → oversold territory but not extreme
Returns:
- 20-day: +15.82% — strong but now reversing
- 60-day: +55.75% — very strong rally
- 252-day: -3.71% — still negative YTD
Volume analysis:
- Average volume during 8/27-9/18: very high (15-55M during rally, 10-22M during pullback)
- Last 2 days volume RISING during decline (16.6M, 21.95M) — distribution pattern
- 9/18: -2.03% on 21.95M volume — high-volume sell day
- Average volume last 20 days: ~17M
Liquidity: Excellent — massive volume, easily tradeable
Catalysts (need to identify without external search):
- 8/27: massive +22.6% gap up on 55M volume — likely earnings beat or major announcement. This is a textbook post-earnings surge.
- 9/03: New high at 264.43
- 9/04→9/18: pullback ~10%
Without external search, I can only identify WHAT happened, not WHY. The user explicitly said not to search.
Risks:
- Distribution pattern (rising volume on down days)
- Below MA20
- Lost ~10% from peak
- RSI approaching oversold but still room to fall
- 252-day return still negative
Final Decision Framework:
- Was a strong rally, now in pullback
- Multiple support levels: MA50 (206.93), MA200 (201.57)
- Could be a buying opportunity IF the uptrend resumes
- But could also be breakdown from blow-off top
Given:
- Price below MA20 (short-term bearish)
- MA20 declining from peak
- Last 2 days high-volume decline
- Lost 10% from peak in 2 weeks
- But 60-day return still +55.75%
- Above MA50/MA200 (medium/long-term bullish)
- RSI 37 (oversold)
This is a HOLD with potential downgrade to SELL if breaks MA50 (206.93). For 1-4 weeks: HOLD seems appropriate, leaning defensive.
Let me structure the response in Chinese with:
- 数据纪律与边界 (Data discipline and boundaries)
- 趋势分析 (Trend analysis)
- 催化因素 (Catalysts)
- 风险 (Risks)
- 流动性/成交量背景 (Liquidity/volume context)
- 未来1-4周决策 (1-4 week decision)
- 风险控制 (Risk control)
- 最终决策 (Final decision)
I need to use markdown pipe tables per the guidelines. No horizontal rules (---). Use ## and ### headings.
Let me craft the response.
CRM 研究报告 2026-09-21(盘前版)
asOf: 2026-09-21T12:12:51.169Z(美东时间 9/21 盘前 08:12 ET)
MarketContext: mc_CRM_20260921121251_local_job_daily_20260921_CRM_kronos_premarket
最新价(盘前): 238.30 USD | 9/18 收盘: 237.92 USD | 9/18 日涨跌: -2.03%
盘前变动: +0.16%(基于 9/18 收盘)
数据纪律与边界
仅使用统一上下文 MarketContext 提供的真实行情数据,未调用 Yahoo / Brave / Jina 或任何外部网页搜索。
统一上下文未提供的证据(必须显式标注,不得外推):
| 类别 | 缺失证据 |
|---|---|
| 财报与盈利数据 | 无最新季报(Q1/Q2 2027 FY)EPS、营收、订阅收入、运营利润率、自由现金流、GAAP/Non-GAAP 利润率、cARR / RPO、指引、ROE |
| 公司公告与新闻 | 8/27 +22.6% 跳空暴涨具体原因(财报/指引/管理层动作/M&A/AI 公告)未在上下文中给出;8/26→9/18 期间管理层动作、回购、并购、产能调整披露均无 |
| 行业与同业 | Agentforce / Einstein GPT / Data Cloud / Slack AI 进展、Microsoft Copilot / Dynamics / ServiceNow / HubSpot 同业对比未提供 |
| 估值数据 | 远期 PE / EV/Sales / PS / DCF / 同业相对估值倍数未提供 |
| 内部人与机构 | Form 4、13F 持仓变动、暗池/大宗交易未提供 |
| 期权与衍生品 | IV / Put-Call / 未平仓量 / Skew 未提供 |
| 宏观与利率 | 利率路径、宏观事件、行业板块资金流向未提供 |
结论中所有"为什么暴涨 / 为什么下跌"的归因均不得编造,仅基于价格/成交量结构进行技术层面推断。
趋势分析
均线与趋势结构
| 维度 | 数值 | 价格 vs 均线 | 结构含义 |
|---|---|---|---|
| 当前价 | 238.30 | — | — |
| MA20 | 243.21 | 价 < MA20(-2.02%) | 短期跌破,短线偏弱 |
| MA50 | 206.93 | 价 > MA50(+15.18%) | 中期仍在多头区域 |
| MA200 | 201.57 | 价 > MA200(+18.23%) | 长期多头结构未破 |
| MA20 位置 | 在 MA50 之上 | 多头排列中短期未崩 | — |
| MA50 vs MA200 | 50 > 200(金叉残留) | 长期上升趋势仍存 | — |
趋势状态:多头趋势中的回调阶段。价格在 MA20 下方运行,但仍在 MA50 / MA200 之上。
- 若 238 一线失守 → 下看 50 日线 206.93(约 -13.2% 空间),再到 200 日线 201.57
- 若企稳反弹 → 上看 MA20 243.21 → 前高 264.43
周期收益与强度
| 周期 | 收益 | 解读 |
|---|---|---|
| 20 日 | +15.82% | 强势上涨后已开始回吐 |
| 60 日 | +55.75% | 大级别反弹 / 主升段 |
| 252 日 | -3.71% | 仍未扭转 1 年负收益 |
信号解读:60 日 +55.75% 属于典型主升浪幅度,配合 RSI=37.12(已从超买回落至接近超卖),说明上涨动能已被显著消化,但尚未进入极端超卖。
RSI14 = 37.12
| 区间 | RSI 阈值 | 当前状态 |
|---|---|---|
| 超买 | > 70 | — |
| 偏强 | 50–70 | — |
| 偏弱 | 30–50 | 当前位置 |
| 极弱 | < 30 | — |
RSI 37 接近 30 超卖阈值但未触及,存在两种可能:
- 健康回调:超买消化后再上行(更可能,若 MA50 不破)
- 趋势反转:跌破 MA50 后 RSI 进入 20–30 区间形成新一轮下行(次可能)
催化因素(仅基于价格/成交量结构推断,非归因)
⚠️ 统一上下文未提供 8/27 +22.6% 跳空暴涨的具体原因(财报/指引/AI 公告/M&A),下列为纯技术结构观察,不构成事件归因。
| 日期 | 现象 | 推断性质 |
|---|---|---|
| 8/26→8/27 | 价 205.62→252.05(+22.60%),量 14.89M→55.52M(×3.73 倍) | 典型重大事件跳空(财报 / 指引 / 战略级公告至少其一) |
| 8/27→9/03 | 252.05→264.43(+4.91%),量维持 16–34M | 主升浪延续,量价配合 |
| 9/03 | 创阶段高点 264.43,量 16.03M | 顶部量能未显著放大,初现分歧 |
| 9/04→9/18 | 264.43→237.92(-10.00%),区间 16 个交易日 | 高位回吐阶段 |
| 9/17 | 跌 -2.99%(250.54→242.85),量 16.61M | 单日大跌,量能放大 |
| 9/18 | 跌 -2.03%(242.85→237.92),量 21.95M | 连续放量下挫,分发信号增强 |
结构观察(非归因):8/27 跳空后 9/17、9/18 出现"放量阴跌"形态,9/18 成交 21.95M 为近 20 日均量(约 17.3M)的 1.27 倍,且为下跌日,提示主力可能在对敲或机构减持——但这是技术结构推断,不构成事实归因。
风险
| 风险类型 | 具体描述 | 量级 |
|---|---|---|
| 短期技术破位 | 9/18 收盘 237.92 已下穿 MA20(243.21),若 9/21 继续下行,MA20 将由支撑转压力 | 高 |
| 中期支撑测试 | 若跌破 9/17 低点 242.85 → 下看 MA50 206.93(潜在跌幅 -13.2%) | 高 |
| 长期趋势转弱 | MA50 206.93 再破,则下看 MA200 201.57;若 MA200 也破,60 日 +55.75% 涨幅可能完全回吐 | 中 |
| 跳空缺口回补 | 8/27 跳空缺口 205.62→252.05 区间下沿 205.62 若被回补,将改变"长期上升趋势"叙事 | 中 |
| 量价背离 | 9/17–9/18 连续放量下跌(16.6M、21.95M),且 RSI 仍在 37 未到极弱区,可能还有下行空间 | 高 |
| 事件风险 | 8/27 暴涨的具体催化剂若为一次性事件(财报一次性高增 / 一次性合约 / 一次性 M&A),后续财报可能无法延续,估值支撑减弱 | 中(无法验证) |
| 宏观与利率 | 统一上下文未提供,但大盘科技股估值与利率敏感度较高 | 不确定 |
流动性 / 成交量背景
| 指标 | 数值 | 评级 |
|---|---|---|
| 最近 20 日均量(估算) | ~17.3M 股 | — |
| 9/18 成交量 | 21.95M 股 | 高于均值 27% |
| 9/17 成交量 | 16.61M 股 | 接近均值 |
| 8/27 跳空日成交量 | 55.52M 股 | 极端放量,为均量 3.21 倍 |
| 流动性评级 | — | 优秀(高成交量、无流动性风险) |
成交量分布特征:
| 阶段 | 区间 | 量能特征 | 含义 |
|---|---|---|---|
| 突破期 | 8/26→9/03 | 15.9M–55.5M(暴涨日 55.5M) | 巨量突破 → 事件驱动 |
| 高位震荡 | 9/04→9/16 | 9.4M–17.5M,均量约 12M | 缩量盘整,无方向 |
| 分发期 | 9/17–9/18 | 16.6M、22.0M,连续放量下跌 | 典型派发形态(疑似) |
流动性结论:CRM 流动性极佳,盘前 / 盘中任何规模头寸都可快速进出。盘前报价 238.30 与 9/18 收盘 237.92 基本持平,无显著盘前方向性指引。
未来 1–4 周(2026-09-21 至 2026-10-16)路径推演
场景概率与路径(仅基于技术结构,非事件预测)
| 场景 | 触发条件 | 路径 | 价格区间 | 概率(主观) |
|---|---|---|---|---|
| A. 反弹续涨 | 9/21–9/25 企稳 238 上方,重新站上 MA20 243.21 | 反弹 → 突破 9/14 高点 259.43 → 测试前高 264.43 | 238–270 | 35% |
| B. 区间震荡 | 在 MA20 与近期低点 235 一线震荡 | 235–250 区间,无明确方向 | 235–250 | 30% |
| C. 破位下行 | 跌破 9/17 低点 242.85 继续放量下挫 | 测试 MA50 206.93 → 测试 MA200 201.57 | 200–240 | 30% |
| D. 极端破位 | 跌破 MA200 201.57 且 RSI 进入 25 以下 | 抹去 60 日全部涨幅 | 180–205 | 5% |
当前最可能路径(B 偏 C):盘前 +0.16% 几乎平开,未给出方向性指引。结合 9/17–9/18 连续放量下挫 + 价格跌破 MA20,技术面短期偏空;MA50/MA200 仍提供中期支撑,但若 9/22–9/25 任何一日继续放量破位,C 路径概率会上修。
风险控制
关键价格位(基于统一上下文真实数据计算)
| 位次 | 名称 | 价格 | 性质 |
|---|---|---|---|
| 上方阻力 R3 | 9/03 阶段高点 | 264.43 | 强阻力 |
| 上方阻力 R2 | 9/14 高点 | 259.43 | 短线阻力 |
| 上方阻力 R1 | MA20 | 243.21 | 短线生命线 |
| 当前价 | 盘前 | 238.30 | — |
| 下方支撑 S1 | 9/17 低点 | 242.85 | 关键 1 — 跌破则短线转弱 |
| 下方支撑 S2 | 8/26 收盘(缺口下沿) | 205.62 | 关键 2 — 缺口回补则中期结构破坏 |
| 下方支撑 S3 | MA50 | 206.93 | 中期均线 |
| 下方支撑 S4 | MA200 | 201.57 | 长期牛熊分界 |
操作规则(HOLD 情景下的风控)
| 规则 | 内容 |
|---|---|
| 多头止损 | 收盘价跌破 9/17 低点 242.85,则视为短线破位,降级为 SELL / DEFEND |
| 中线离场 | 收盘价跌破 206.93(MA50),则中期上升趋势破坏,全部清仓 |
| 牛熊分界 | 收盘价跌破 201.57(MA200),且连续两日不收回,长期趋势转空 |
| 加仓触发 | 收盘价重新站上 243.21(MA20)且放量 > 17M,可小幅加仓 |
| 止盈触发 | 反弹至 259–264 区间且 RSI > 65,分批止盈 |
| 仓位上限 | 在破位信号出现前,单一持仓上限不超过组合的 15%(流动性极佳,可适度集中) |
最终决策:HOLD(中性持有 / 等待方向)
决策矩阵
| 维度 | 评估 | 权重 |
|---|---|---|
| 长期趋势(MA200 上方) | 偏多 | + |
| 中期趋势(MA50 上方 +15%) | 偏多 | + |
| 短期趋势(MA20 下方 -2%) | 偏空 | - |
| RSI 37.12 | 偏弱但未极弱 | 中性 |
| 60 日 +55.75% 涨幅 | 已大幅兑现,可能进入调整 | - |
| 9/17–9/18 放量下挫 | 分发信号增强 | - |
| 流动性 | 极佳(执行无忧) | + |
| 事件催化剂 | 统一上下文未提供,无法评估财报/指引后续兑现度 | 不确定 |
| 盘前报价方向 | 几乎平开(+0.16%),无指引 | 中性 |
综合评分:多方 2 项,空方 3 项,中性 3 项,不确定 1 项 → 略偏中性偏空。
评级
| 项目 | 内容 |
|---|---|
| 最终评级(1–4 周) | HOLD(中性持有) |
| 倾向 | 略偏防御 |
| 目标区间 | 235–250(震荡),上沿 260 / 下沿 205 |
| 核心信号 | 9/21 收盘能否重新站上 MA20 243.21,且成交量不萎缩 |
| 降级触发 | 跌破 242.85 → SELL;跌破 206.93 → 紧急清仓 |
| 升级触发 | 站稳 243.21 + 放量 → 调升至弱 BUY |
三档应急预案
| 档位 | 触发条件 | 行动 |
|---|---|---|
| 🟢 偏多 | 9/21–9/25 收盘站上 243.21(MA20) | 维持 HOLD,可在 250–260 分批减仓兑现 |
| 🟡 中性(基准) | 维持在 235–243 区间 | HOLD 现状,不加仓 |
| 🔴 偏空 | 收盘跌破 242.85 | 降级为 SELL,减仓 1/2–2/3 |
| ⚫ 紧急 | 收盘跌破 206.93(MA50) | 全清仓,离场观望 |
风险声明
- 本报告仅基于统一上下文 MarketContext 提供的 20 日日线数据,不包含财报、新闻、估值数据。8/27 +22.6% 暴涨、9/17–9/18 放量下跌的根本原因在上下文中均未给出,所有事件性归因均不得外推。
- 当前评级 HOLD 是技术结构评级,不构成投资建议。若存在未在上下文中体现的财报风险、监管风险、宏观风险,结论可能失效。
- 任何跌破 242.85 的盘中/收盘信号应被视为短线破位,需立即启动风控;任何跌破 206.93 的信号应被视为中期趋势破坏,必须清仓。
- 流动性极佳,盘前报价 238.30 与 9/18 收盘 237.92 基本持平,无显著盘前方向,真正的方向选择需要等 9/21 盘中 K 线收出。
原始输出(保留 MarketContext 输入与计算)
MarketContext: mc_CRM_20260921121251_local_job_daily_20260921_CRM_kronos_premarket
asOf: 2026-09-21T12:12:51.169Z
最新价: 238.3, 日期: 2026-09-21, 日涨跌: 0.16%
MA20: 243.2110, MA50: 206.9272, MA200: 201.5669
20日收益: 15.82%, 60日收益: 55.75%, 252日收益: -3.71%, RSI14: 37.12
最近20根日线:
2026-08-21 close=209.1700 volume=9685400
2026-08-24 close=209.0600 volume=9580200
2026-08-25 close=205.6900 volume=10081800
2026-08-26 close=205.6200 volume=14888900
2026-08-27 close=252.0500 volume=55517500 ← +22.60%, 极端放量
2026-08-28 close=256.0000 volume=34362700
2026-08-31 close=257.5400 volume=22471500
2026-09-01 close=258.1100 volume=15897500
2026-09-02 close=256.9300 volume=14393700
2026-09-03 close=264.4300 volume=16028300 ← 阶段高点
2026-09-04 close=259.2300 volume=10490600
2026-09-08 close=249.1200 volume=17482700
2026-09-09 close=244.1600 volume=11853700
2026-09-10 close=243.0000 volume=10732600
2026-09-11 close=247.7200 volume=9738300
2026-09-14 close=259.4300 volume=12963700
2026-09-15 close=255.6500 volume=11502800
2026-09-16 close=250.5400 volume=9423800
2026-09-17 close=242.8500 volume=16611300 ← -3.08%, 放量
2026-08-18 close=237.9200 volume=21947900 ← -2.03%, 放量下挫
关键计算:
- 当前价 vs MA20: 238.30 / 243.21 - 1 = -2.02%
- 当前价 vs MA50: 238.30 / 206.93 - 1 = +15.18%
- 当前价 vs MA200: 238.30 / 201.57 - 1 = +18.23%
- 8/27 涨幅: 252.05/205.62 - 1 = +22.60%
- 8/27 量比: 55.52M / 14.89M = 3.73x
- 9/03→9/18 跌幅: 237.92/264.43 - 1 = -10.03%
- 9/18 量: 21.95M,约 20 日均量(~17.3M) 的 1.27x
- 缺口区间: 8/27 跳空 205.62→252.05,下沿 205.62
- RSI14 = 37.12(接近超卖但未到 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_CRM_20260921121251_local_job_daily_20260921_CRM_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。