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信号详情

G
高盛 GS
金融
历史报告
2026-09-21
当日综合评分
62
持有
5/5 个有效策略报告
买入 1持有 4卖出 0
AI 报告综合结论2026-09-21 · 5/5 份真实策略报告持有62%

GS处于中期下跌+MA200临界+深度超卖的三重状态,4份技术面报告一致HOLD,仅Kronos量化模型给出BUY,整体证据不支持明确单边押注。

综合五份报告:四份(ai_trader、daily_stock_analysis、dexter、vibe_trading)均给出HOLD,定性分析高度一致——空头排列完整(MA5/10/20/50/60全部位于现价954上方)、MACD负值、5日跌-8.47%、60日跌-12.53%、9/16-9/18三连放量下跌至942,呈现典型恐慌抛售+量能失控特征;同时RSI=28.09进入深度超卖且盘前反弹+1.31%,MA200=956.86成为最关键多空分水岭(现价已小幅跌破)。Vibe-trading设定的反弹/震荡/破位概率为35%/40%/25%,缺乏估值锚(PE/PB/一致预期未提供)和财报催化(Q3财报日期缺失),胜率赔率均不突出,故技术面共识为等待方向确认。Kronos量化模型预测20日+14.11%潜在涨幅至1074.94,置信度60%,作为独立的统计模式识别信号提供上行参照,但未融合当前超卖条件与基本面催化。综合证据权重:技术面共识(4份高质量分析)压倒单一定量信号;当前既无趋势反转确认(不构成BUY充分条件),也无主跌波确认(不构成SELL充分条件),证据真正中性偏观望,HOLD是高质量证据指向的最稳健决策。confidence 62而非更高,因Kronos模型显示相当上行潜力且超卖反弹概率不可忽视。
KronosBUY

Kronos量化模型预测20日交易日潜在涨幅14.11%,目标价1074.94。

DexterHOLD

中期上涨趋势中的深度回调,超卖与破位风险并存,建议持有观望。

AI-TraderHOLD

深度超卖但下跌趋势未改,建议持有观望等待方向确认。

daily_stock_analysisHOLD

均线空头排列下坚决不抄底,建议持有或观望等待趋势扭转。

Vibe-TradingHOLD

中期下跌+长期临界+深度超卖的三重状态,HOLD优于BUY/SELL。

当日各策略报告

2026-09-21
TradingAgents当日无有效报告
Kronos2026-09-21 12:31买入
核心结论

Kronos量化模型预测20日交易日潜在涨幅14.11%,目标价1074.94。

基于251根日线数据的纯量化特征抽取,预测未来20个交易日收盘价漂移+14.11%(目标1074.94,区间907-1092),模型置信度60%。该信号为纯统计推断,未结合当前超卖/趋势/基本面条件,但提供独立量化参照。
原始报告

Kronos Forecast Feature Report — GS

Generated at: 2026-09-21T12:31:53.450Z

Feature state

  • Decision label: BUY
  • Last close: 942.00
  • Forecast return: 14.11%
  • Forecast close: 1074.94
  • Forecast high: 1091.92
  • Forecast low: 906.97
  • Prediction window: 20 business days
  • Confidence: 60%

Summary

Kronos model inference projects 14.1% 20-business-day close drift from 251 real daily candles supplied by 统一行情上下文 mc_GS_20260921123152_local_job_daily_20260921_GS_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_GS_20260921123152_local_job_daily_20260921_GS_kronos_premarket
  • Kronos model inference: yes
  • Engine version: shiyu-coder/Kronos:NeoQuasar/Kronos-small

This is a quant feature extraction report, not investment advice.

Dexter2026-09-21 12:33持有
核心结论

中期上涨趋势中的深度回调,超卖与破位风险并存,建议持有观望。

RSI 28深度超卖+盘前+1.31%反弹,短线有修复需求;但所有中短期均线均位于现价之上,MACD负动能延续,量能放大1.49倍伴随价格下行,趋势结构仍偏空。距离922支撑仅3.5%,距MA200仅2.5美元,关键多空分水岭正在测试。作者建议等待价格重新站回MA20(约1013)之上以确认中期企稳,或RSI与MACD同步修复后再加仓,规避空头排列下重仓追跌,最终评级HOLD。
原始报告

Dexter Research Report — GS

Generated at: 2026-09-21T12:33:40.054Z

Decision

HOLD

高盛集团(GS)股票研究报告

最终评级:HOLD(持有)


业务背景

GS 为高盛集团(The Goldman Sachs Group, Inc.)在美股市场的交易代码,是一家全球领先的投资银行与金融服务机构,业务覆盖投资银行业务、机构客户服务、资产管理与财富管理等领域,是美国大型综合性银行代表之一。当前市场数据由 Yahoo Finance 在盘前时段提供。


市场证据

价格走势- 当前盘前报价:954.35 美元(前一日常规收盘 942 美元)

  • 单日变动:+1.31%(盘前反弹)
  • 近 5 日回报:-8.47%(明显回撤)
  • 近 20 日回报:-5.98%
  • 近 60 日回报:-12.53%(中期承压)
  • 近 252 日回报:+17.02%(年度级别仍为正收益,属上涨趋势中的回调阶段)

均线系统(空头排列)

均线数值与现价关系
MA5959.31现价下方
MA10994.94现价下方
MA201013.50现价下方
MA501036.41现价下方
MA601036.02现价下方
MA200956.86现价略下方

价格已跌破所有中短期均线,仅勉强守住 MA200,中期趋势结构明显走弱。

技术指标

  • RSI(14):28.09 — 深度超卖区间(低于 30)
  • MACD 柱状:-9.22 — 显著负值,动能偏空但存在反弹修复空间

关键价位

  • 20 日支撑:922 美元(距离约 +3.5%)
  • 20 日阻力:1063.52 美元(距离约 -10.3%)
  • 52 周高点:1153.99 美元(距离 -17.3%)
  • 52 周低点:740.01 美元

量能- 5 日均量:3,074,980

  • 20 日均量:2,067,250
  • 量比(5d/20d):1.49 — 近期成交量显著放大,确认卖压释放

风险

  1. 趋势破位风险:价格跌破 MA5/MA10/MA20/MA50/MA60,短期均线呈空头排列,若922 美元支撑失守,可能打开至 52 周低点区域的下行空间。
  2. 波动性偏高:20 日年化波动率 30.85%,处于较高水平,价格弹性放大。
  3. 回撤深度:近一年最大回撤达 -19.84%,股价距高点仍有 -17.3% 的修复空间,反映中期调整尚未结束。
  4. 量价配合偏空:5 日均量较 20 日均量放大 49%,放量下跌特征明显,资金流出压力未充分释放。
  5. MACD 负动能持续:MACD 柱状处于显著负值区,短期反弹可能仅是技术性修复,而非趋势反转。

综合判断

GS 当前处于中期上涨趋势中的深度回调阶段。RSI28 显示短期严重超卖,存在技术性反弹需求,盘前 +1.31% 的回升亦印证短线买盘介入。然而,所有中短期均线均位于现价之上,MACD 负动能延续,量能放大伴随价格下行,趋势结构仍偏空。距离下方支撑922 仅约 3.5%,若跌破将打开新一轮下行空间;而上方1063 阻力距现价 10.3%,修复路径漫长。

在趋势尚未确认反转、但短线超卖可能酝酿反弹的双向信号并存背景下,建议保持现有仓位观望,等待价格重新站回 MA20(约 1013)之上以确认中期企稳,或等待 RSI 与 MACD 同步修复后再行加仓。规避在均线空头排列下重仓追跌。

最终评级:HOLD(持有)

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.

AI-Trader2026-09-21 12:35持有
核心结论

深度超卖但下跌趋势未改,建议持有观望等待方向确认。

RSI(14)=28.09进入深度超卖区,盘前反弹+1.31%显示短期修复需求;但MA5/10/20/50/60全部位于现价954.35之上,呈现典型空头排列,MACD柱状图为-9.22负值,5日跌-8.47%、60日跌-12.53%,中期下跌动能未衰竭;现价距MA200(956.86)关键长期支撑仅2.5美元,距922支撑约3.5%,多空分水岭正在测试。作者明确指出激进买入易遭接刀,恐慌卖出易踏空反弹,故给予HOLD,置信度0.55。
原始报告

AI-Trader 官方策略报告 — GS

生成时间:2026-09-21T12:35:42.729Z

归一化结论

HOLD

官方策略原始输出

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    "content": "AI-Trader 官方市场分析信号:GS。\n\n官方信号:HOLD。\n\n最新价格:1087.27。\n\n高盛(GS)处于深度超卖但下跌趋势未改,触发观望信号。盘前小幅反弹1.31%至954.35美元,RSI(14)报28.09,处严重超卖区;但股价仍位于MA5/10/20/50/60下方,MACD柱状图为-9.22负值,5日累计跌幅达-8.47%,60日跌-12.53%,中期下行结构未变。当前价格正贴近MA200(约956.86美元)这一关键长期支撑,若失守则可能下探20日支撑922美元;守住则有望技术性修复。综合判断动能与超卖并存,趋势尚不明朗,建议持有观望,等待方向确认。",
    "conclusion": "HOLD: 高盛(GS)处于深度超卖但下跌趋势未改,触发观望信号。盘前小幅反弹1.31%至954.35美元,RSI(14)报28.09,处严重超卖区;但股价仍位于MA5/10/20/50/60下方,MACD柱状图为-9.22负值,5日累计跌幅达-8.47%,60日跌-12.53%,中期下行结构未变。当前价格正贴近MA200(约956.86美元)这一关键长期支撑,若失守则可能下探20日支撑922美元;守住则有望技术性修复。综合判断动能与超卖并存,趋势尚不明朗,建议持有观望,等待方向确认。",
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            "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.",
            "banner_image": "https://mdb.ad-hoc-news.de/bild/bild-2701192_1100_0.webp",
            "time_published": "2026-07-24T05:53:35Z",
            "overall_sentiment_score": 0.434896,
            "overall_sentiment_label": "Bullish",
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                "relevance_score": 1,
                "sentiment_score": 0.701208,
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              {
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                "relevance_score": 0.602567,
                "sentiment_score": 0.311982,
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              },
              {
                "ticker": "FDX",
                "relevance_score": 0.644329,
                "sentiment_score": 0.317875,
                "sentiment_label": "Somewhat-Bullish"
              }
            ],
            "topics": [
              {
                "topic": "earnings",
                "relevance_score": 0.901851
              },
              {
                "topic": "financial_markets",
                "relevance_score": 0.827755
              },
              {
                "topic": "economy_macro",
                "relevance_score": 0.739824
              },
              {
                "topic": "energy_transportation",
                "relevance_score": 0.91101
              },
              {
                "topic": "finance",
                "relevance_score": 0.637162
              }
            ]
          }
        ],
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          "activity_level": "elevated",
          "top_headline": "Chemours Company (0HWG) Q4 2023 Earnings Report - Results, Call & Slides",
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            "somewhat-bullish": 14,
            "bullish": 15,
            "somewhat-bearish": 4,
            "bearish": 1
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          "latest_item_time": "2026-07-24T06:10:49Z"
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  "agentAnalysis": {
    "source": "registered_ark_agent_with_ai4trade_context",
    "signal": "HOLD",
    "summary": "高盛(GS)处于深度超卖但下跌趋势未改,触发观望信号。盘前小幅反弹1.31%至954.35美元,RSI(14)报28.09,处严重超卖区;但股价仍位于MA5/10/20/50/60下方,MACD柱状图为-9.22负值,5日累计跌幅达-8.47%,60日跌-12.53%,中期下行结构未变。当前价格正贴近MA200(约956.86美元)这一关键长期支撑,若失守则可能下探20日支撑922美元;守住则有望技术性修复。综合判断动能与超卖并存,趋势尚不明朗,建议持有观望,等待方向确认。",
    "confidence": 0.55,
    "evidence": [
      "RSI(14)=28.09,处于深度超卖区间,技术反弹概率上升",
      "盘前报价954.35较前收942上涨1.31%,出现初步反弹迹象",
      "当前价距20日支撑922仅约3.5%,距52周低点740仍有29%缓冲空间",
      "MA200为956.86,与当前价仅差2.5美元,构成关键长期支撑参考",
      "5日量均307万股较20日均207万股放大1.49倍,显示恐慌抛售与换手活跃",
      "近5日跌幅-8.47%,近20日跌幅-5.98%,近60日跌幅-12.53%,中短期趋势仍偏空"
    ],
    "risks": [
      "MA5/10/20/50/60均位于现价上方,空头排列完整,反弹易遭抛压",
      "MACD柱状图为-9.22且为负值,动量仍偏空,反弹持续性存疑",
      "若MA200(约956.86)失守,可能加速下探20日支撑922美元",
      "当前价距52周高点1154仍有-17.3%回撤,最大回撤已达-19.84%,波动率年化30.85%偏高",
      "宏观信号分化(ai4trade显示macro_verdict为neutral),外部催化不确定",
      "盘前量能为0,报价为单一撮合点,存在流动性与开盘跳空风险"
    ],
    "officialConclusion": "对高盛(GS,2026-09-21)给出HOLD信号,置信度0.55。核心理由:(1)趋势层面,所有中短期均线(5/10/20/50/60日)均位于现价954.35之上,呈现典型空头排列;MACD柱状图-9.22持续为负,5日累计-8.47%、60日累计-12.53%,中期下跌动能尚未衰竭。(2)超卖层面,RSI(14)=28.09已进入深度超卖区,盘前反弹1.31%显示短期有技术性修复需求;量能5日均较20日均放大49%,抛售出现换手迹象。(3)关键位置层面,现价距20日支撑922美元仅3.5%,距MA200长期牛熊分界线956.86仅2.5美元,构成重要支撑带。综合判断:当前处于'下跌末段+趋势未反转'的过渡区,激进买入易遭接刀风险,恐慌卖出则可能在超卖反弹中踏空,故建议持有现有仓位观望,等待以下任一确认信号再行加仓或减仓:①日线有效站稳MA200并伴随成交量放大;②跌破MA200并下探至922附近出现明显企稳K线形态。操作上建议设置严格止损(如收盘跌破920美元),避免单边押注。",
    "model": "pool-auto",
    "rawText": "<think>Let me analyze this GS (Goldman Sachs) data carefully.\n\n**Current Price Data:**\n- Premarket quote: $954.35 (1.31% up from previous close)\n- Regular close: $942\n- Date: 2026-09-21\n\n**Technical Indicators:**\n- MA5: 959.31 (price below)\n- MA10: 994.94 (price below)\n- MA20: 1013.50 (price below)\n- MA50: 1036.41 (price below)\n- MA60: 1036.02 (price below)\n- MA200: 956.86 (price just below)\n\n**Returns:**\n- 1d: +1.31%\n- 5d: -8.47%\n- 20d: -5.98%\n- 60d: -12.53%\n- 252d: +17.02%\n\n**RSI(14): 28.09** - deeply oversold\n\n**MACD Histogram: -9.22** - bearish momentum\n\n**Support/Resistance:**\n- 20d Support: $922 (price is 3.5% above)\n- 20d Resistance: $1063.52 (price is 10.3% below)\n\n**52-week range:**\n- High: $1153.99 (price is 17.3% below)\n- Low: $740.01 (price is 29% above)\n\n**Volatility:**\n- 20d annualized: 30.85%\n- Max drawdown 1y: -19.84%\n\n**Volume:**\n- 5d avg: 3,074,980\n- 20d avg: 2,067,250\n- Ratio: 1.49x (volume increasing)\n\n**Candle Analysis:**\nLooking at recent candles, there's been significant decline:\n- Sep 14: $988.45\n- Sep 15: $976.67\n- Sep 16: $937.98 (big drop)\n- Sep 17: $951.47\n- Sep 18: $942\n\nThe price action shows strong selling pressure, but the RSI at 28 suggests oversold conditions. The premarket price of $954.35 shows a slight bounce attempt.\n\n**Key observations:**\n1. Stock is deeply oversold (RSI 28)\n2. Price has fallen significantly from 52w high (-17.3%)\n3. All major MAs except MA200 are above current price - bearish trend\n4. MACD histogram still negative - bearish momentum continues\n5. Volume is elevated (1.49x ratio)\n6. Premarket showing modest bounce (+1.31%)\n7. 5-day return is -8.47% - significant recent decline\n8. Distance from 20d support is only 3.5% - support nearby\n\n**Signal Analysis:**\n\nPros for BUY/oversold bounce:\n- RSI at 28 is deeply oversold\n- Premarket showing +1.31% bounce\n- Near 20d support ($922, 3.5% below)\n- High volume suggests capitulation may be ending\n\nCons/risks:\n- All MAs (5/10/20/50/60) above price - downtrend intact\n- MACD still negative\n- 5-day return -8.47% - sharp decline, could continue\n- 60-day return -12.53% - sustained weakness\n- Distance from 52w high is -17.3%\n- Max drawdown 1y already at -19.8%\n- MA200 at $956.86 is just above current price\n\nThe stock is in a clear downtrend but showing oversold conditions. The premarket bounce could be a short-term oversold bounce. However, the trend is still bearish.\n\nFor a trading signal, I'd lean towards HOLD with slight bearish bias, or potentially a HOLD given mixed signals. The oversold conditions suggest waiting for clearer reversal signals rather than catching a falling knife.\n\nGiven:\n- Oversold RSI but in downtrend\n- Price near MA200 support (just below)\n- Premarket modest bounce\n- Elevated volume\n\nI'd give a HOLD signal. The downtrend is intact but oversold conditions make selling risky without confirmation of further downside.\n\nActually, let me reconsider. The price has fallen sharply (-8.47% in 5 days), is deeply oversold (RSI 28), and is bouncing 1.31% in premarket. But the broader trend is bearish with all major MAs above price.\n\nFor tactical trading, HOLD is appropriate - not enough evidence of reversal to BUY, but oversold enough to avoid aggressive SELL. Confidence should be moderate.\n\nLet me set confidence at around 0.55 for HOLD.\n\nActually, looking more carefully:\n- The stock is at a critical juncture near MA200 ($956.86) which is just $2.51 above current price\n- If MA200 holds as support, this could be a bounce point\n- If MA200 breaks, further downside to 20d support at $922\n\nThis is a high-risk situation. HOLD with neutral-to-cautious stance seems right.\n\nFinal decision: HOLD, confidence 0.55</think>\n\n```json\n{\n  \"signal\": \"HOLD\",\n  \"summary\": \"高盛(GS)处于深度超卖但下跌趋势未改,触发观望信号。盘前小幅反弹1.31%至954.35美元,RSI(14)报28.09,处严重超卖区;但股价仍位于MA5/10/20/50/60下方,MACD柱状图为-9.22负值,5日累计跌幅达-8.47%,60日跌-12.53%,中期下行结构未变。当前价格正贴近MA200(约956.86美元)这一关键长期支撑,若失守则可能下探20日支撑922美元;守住则有望技术性修复。综合判断动能与超卖并存,趋势尚不明朗,建议持有观望,等待方向确认。\",\n  \"confidence\": 0.55,\n  \"evidence\": [\n    \"RSI(14)=28.09,处于深度超卖区间,技术反弹概率上升\",\n    \"盘前报价954.35较前收942上涨1.31%,出现初步反弹迹象\",\n    \"当前价距20日支撑922仅约3.5%,距52周低点740仍有29%缓冲空间\",\n    \"MA200为956.86,与当前价仅差2.5美元,构成关键长期支撑参考\",\n    \"5日量均307万股较20日均207万股放大1.49倍,显示恐慌抛售与换手活跃\",\n    \"近5日跌幅-8.47%,近20日跌幅-5.98%,近60日跌幅-12.53%,中短期趋势仍偏空\"\n  ],\n  \"risks\": [\n    \"MA5/10/20/50/60均位于现价上方,空头排列完整,反弹易遭抛压\",\n    \"MACD柱状图为-9.22且为负值,动量仍偏空,反弹持续性存疑\",\n    \"若MA200(约956.86)失守,可能加速下探20日支撑922美元\",\n    \"当前价距52周高点1154仍有-17.3%回撤,最大回撤已达-19.84%,波动率年化30.85%偏高\",\n    \"宏观信号分化(ai4trade显示macro_verdict为neutral),外部催化不确定\",\n    \"盘前量能为0,报价为单一撮合点,存在流动性与开盘跳空风险\"\n  ],\n  \"officialConclusion\": \"对高盛(GS,2026-09-21)给出HOLD信号,置信度0.55。核心理由:(1)趋势层面,所有中短期均线(5/10/20/50/60日)均位于现价954.35之上,呈现典型空头排列;MACD柱状图-9.22持续为负,5日累计-8.47%、60日累计-12.53%,中期下跌动能尚未衰竭。(2)超卖层面,RSI(14)=28.09已进入深度超卖区,盘前反弹1.31%显示短期有技术性修复需求;量能5日均较20日均放大49%,抛售出现换手迹象。(3)关键位置层面,现价距20日支撑922美元仅3.5%,距MA200长期牛熊分界线956.86仅2.5美元,构成重要支撑带。综合判断:当前处于'下跌末段+趋势未反转'的过渡区,激进买入易遭接刀风险,恐慌卖出则可能在超卖反弹中踏空,故建议持有现有仓位观望,等待以下任一确认信号再行加仓或减仓:①日线有效站稳MA200并伴随成交量放大;②跌破MA200并下探至922附近出现明显企稳K线形态。操作上建议设置严格止损(如收盘跌破920美元),避免单边押注。\"\n}\n```",
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            "content": "<think>Let me analyze this GS (Goldman Sachs) data carefully.\n\n**Current Price Data:**\n- Premarket quote: $954.35 (1.31% up from previous close)\n- Regular close: $942\n- Date: 2026-09-21\n\n**Technical Indicators:**\n- MA5: 959.31 (price below)\n- MA10: 994.94 (price below)\n- MA20: 1013.50 (price below)\n- MA50: 1036.41 (price below)\n- MA60: 1036.02 (price below)\n- MA200: 956.86 (price just below)\n\n**Returns:**\n- 1d: +1.31%\n- 5d: -8.47%\n- 20d: -5.98%\n- 60d: -12.53%\n- 252d: +17.02%\n\n**RSI(14): 28.09** - deeply oversold\n\n**MACD Histogram: -9.22** - bearish momentum\n\n**Support/Resistance:**\n- 20d Support: $922 (price is 3.5% above)\n- 20d Resistance: $1063.52 (price is 10.3% below)\n\n**52-week range:**\n- High: $1153.99 (price is 17.3% below)\n- Low: $740.01 (price is 29% above)\n\n**Volatility:**\n- 20d annualized: 30.85%\n- Max drawdown 1y: -19.84%\n\n**Volume:**\n- 5d avg: 3,074,980\n- 20d avg: 2,067,250\n- Ratio: 1.49x (volume increasing)\n\n**Candle Analysis:**\nLooking at recent candles, there's been significant decline:\n- Sep 14: $988.45\n- Sep 15: $976.67\n- Sep 16: $937.98 (big drop)\n- Sep 17: $951.47\n- Sep 18: $942\n\nThe price action shows strong selling pressure, but the RSI at 28 suggests oversold conditions. The premarket price of $954.35 shows a slight bounce attempt.\n\n**Key observations:**\n1. Stock is deeply oversold (RSI 28)\n2. Price has fallen significantly from 52w high (-17.3%)\n3. All major MAs except MA200 are above current price - bearish trend\n4. MACD histogram still negative - bearish momentum continues\n5. Volume is elevated (1.49x ratio)\n6. Premarket showing modest bounce (+1.31%)\n7. 5-day return is -8.47% - significant recent decline\n8. Distance from 20d support is only 3.5% - support nearby\n\n**Signal Analysis:**\n\nPros for BUY/oversold bounce:\n- RSI at 28 is deeply oversold\n- Premarket showing +1.31% bounce\n- Near 20d support ($922, 3.5% below)\n- High volume suggests capitulation may be ending\n\nCons/risks:\n- All MAs (5/10/20/50/60) above price - downtrend intact\n- MACD still negative\n- 5-day return -8.47% - sharp decline, could continue\n- 60-day return -12.53% - sustained weakness\n- Distance from 52w high is -17.3%\n- Max drawdown 1y already at -19.8%\n- MA200 at $956.86 is just above current price\n\nThe stock is in a clear downtrend but showing oversold conditions. The premarket bounce could be a short-term oversold bounce. However, the trend is still bearish.\n\nFor a trading signal, I'd lean towards HOLD with slight bearish bias, or potentially a HOLD given mixed signals. The oversold conditions suggest waiting for clearer reversal signals rather than catching a falling knife.\n\nGiven:\n- Oversold RSI but in downtrend\n- Price near MA200 support (just below)\n- Premarket modest bounce\n- Elevated volume\n\nI'd give a HOLD signal. The downtrend is intact but oversold conditions make selling risky without confirmation of further downside.\n\nActually, let me reconsider. The price has fallen sharply (-8.47% in 5 days), is deeply oversold (RSI 28), and is bouncing 1.31% in premarket. But the broader trend is bearish with all major MAs above price.\n\nFor tactical trading, HOLD is appropriate - not enough evidence of reversal to BUY, but oversold enough to avoid aggressive SELL. Confidence should be moderate.\n\nLet me set confidence at around 0.55 for HOLD.\n\nActually, looking more carefully:\n- The stock is at a critical juncture near MA200 ($956.86) which is just $2.51 above current price\n- If MA200 holds as support, this could be a bounce point\n- If MA200 breaks, further downside to 20d support at $922\n\nThis is a high-risk situation. HOLD with neutral-to-cautious stance seems right.\n\nFinal decision: HOLD, confidence 0.55</think>\n\n```json\n{\n  \"signal\": \"HOLD\",\n  \"summary\": \"高盛(GS)处于深度超卖但下跌趋势未改,触发观望信号。盘前小幅反弹1.31%至954.35美元,RSI(14)报28.09,处严重超卖区;但股价仍位于MA5/10/20/50/60下方,MACD柱状图为-9.22负值,5日累计跌幅达-8.47%,60日跌-12.53%,中期下行结构未变。当前价格正贴近MA200(约956.86美元)这一关键长期支撑,若失守则可能下探20日支撑922美元;守住则有望技术性修复。综合判断动能与超卖并存,趋势尚不明朗,建议持有观望,等待方向确认。\",\n  \"confidence\": 0.55,\n  \"evidence\": [\n    \"RSI(14)=28.09,处于深度超卖区间,技术反弹概率上升\",\n    \"盘前报价954.35较前收942上涨1.31%,出现初步反弹迹象\",\n    \"当前价距20日支撑922仅约3.5%,距52周低点740仍有29%缓冲空间\",\n    \"MA200为956.86,与当前价仅差2.5美元,构成关键长期支撑参考\",\n    \"5日量均307万股较20日均207万股放大1.49倍,显示恐慌抛售与换手活跃\",\n    \"近5日跌幅-8.47%,近20日跌幅-5.98%,近60日跌幅-12.53%,中短期趋势仍偏空\"\n  ],\n  \"risks\": [\n    \"MA5/10/20/50/60均位于现价上方,空头排列完整,反弹易遭抛压\",\n    \"MACD柱状图为-9.22且为负值,动量仍偏空,反弹持续性存疑\",\n    \"若MA200(约956.86)失守,可能加速下探20日支撑922美元\",\n    \"当前价距52周高点1154仍有-17.3%回撤,最大回撤已达-19.84%,波动率年化30.85%偏高\",\n    \"宏观信号分化(ai4trade显示macro_verdict为neutral),外部催化不确定\",\n    \"盘前量能为0,报价为单一撮合点,存在流动性与开盘跳空风险\"\n  ],\n  \"officialConclusion\": \"对高盛(GS,2026-09-21)给出HOLD信号,置信度0.55。核心理由:(1)趋势层面,所有中短期均线(5/10/20/50/60日)均位于现价954.35之上,呈现典型空头排列;MACD柱状图-9.22持续为负,5日累计-8.47%、60日累计-12.53%,中期下跌动能尚未衰竭。(2)超卖层面,RSI(14)=28.09已进入深度超卖区,盘前反弹1.31%显示短期有技术性修复需求;量能5日均较20日均放大49%,抛售出现换手迹象。(3)关键位置层面,现价距20日支撑922美元仅3.5%,距MA200长期牛熊分界线956.86仅2.5美元,构成重要支撑带。综合判断:当前处于'下跌末段+趋势未反转'的过渡区,激进买入易遭接刀风险,恐慌卖出则可能在超卖反弹中踏空,故建议持有现有仓位观望,等待以下任一确认信号再行加仓或减仓:①日线有效站稳MA200并伴随成交量放大;②跌破MA200并下探至922附近出现明显企稳K线形态。操作上建议设置严格止损(如收盘跌破920美元),避免单边押注。\"\n}\n```",
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  },
  "marketContext": {
    "id": "mc_GS_20260921123152_local_job_daily_20260921_GS_kronos_premarket",
    "asOf": "2026-09-21T12:31:52.522Z",
    "quote": {
      "timestamp": 1789993639,
      "date": "2026-09-21",
      "open": 954.35,
      "high": 954.35,
      "low": 954.35,
      "close": 954.35,
      "volume": 0,
      "changePct": 1.3110403397027626,
      "regularClose": 942,
      "session": "premarket",
      "provider": "Yahoo Finance",
      "source": "Yahoo Finance 5-minute extended-hours chart API",
      "staleSeconds": 273,
      "isStale": false
    },
    "dataSources": [
      {
        "type": "market_data",
        "provider": "Yahoo Finance",
        "providerKey": "yahoo",
        "source": "Yahoo Finance chart API",
        "providerOrder": [
          "yahoo",
          "nasdaq",
          "stooq"
        ],
        "failedProviders": [],
        "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": "2026-09-21T12:27:19.000Z",
        "session": "premarket",
        "premarketUnavailable": false
      }
    ]
  }
}

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。

daily_stock_analysis2026-09-21 12:32持有
核心结论

均线空头排列下坚决不抄底,建议持有或观望等待趋势扭转。

评分30(看空)。均线呈空头排列且发散下行,股价同时跌破MA5/MA10/MA20三大均线;放量下跌(量增1.21倍、价跌1%),卖盘力量较强,技术面全面走弱。仅乖离率-0.84%相对温和,存在超跌反弹可能但未确认。作者明确建议空仓者坚决不抄底(等MA5上穿MA10再考虑),持仓者反弹至MA5(950)/MA10(985)减仓,跌破930止损,整体维持HOLD立场。
原始报告

daily_stock_analysis Report — GS

Generated at: 2026-09-21T12:32:35.511Z

Decision

HOLD

⚪ Goldman Sachs Group, Inc. (The) (GS)

2026-09-21 20:35 | 评分: 30 | 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
942.00951.47948.96952.99939.55-0.21%-9.471.41%398.02 万股37.49 亿元
当前价量比换手率行情来源
942.00N/AN/A降级兜底

📌 核心结论

观望: 均线空头排列,远离所有均线,观望为主不可抄底

📰 重要信息速览

📊 业绩预期: 数据缺失,无法判断。近期无最新业绩公告信息。 💭 舆情情绪: 技术面空头格局明确,量价配合不利,未见基本面催化,技术待确认

🚨 风险警报:

  • 风险点1:均线呈空头排列且发散下行,中期趋势已转弱
  • 风险点2:股价同时跌破MA5/MA10/MA20三大均线,技术面全面走弱
  • 风险点3:放量下跌(量增1.21倍,价跌1%),卖盘力量较强

利好催化:

  • 利好1:乖离率-0.84%相对温和,短期存在超跌反弹可能

🎯 操作点位

理想买入点止损位目标位
理想买入点:暂无。空头排列下不设买入点,需等待MA5上穿MA10形成多头结构持仓者止损位:跌破930元(近期低点)必须止损减仓目标位:反弹至MA5(950)或MA10(985)附近分批减仓

💼 持仓建议

  • 🆕 空仓者: 空仓者建议:坚决不抄底!空头排列下任何买入都是接飞刀,等待均线拐头、MA5上穿MA10后再考虑
  • 💼 持仓者: 持仓者建议:反弹至MA5(950)或MA10(985)附近分批减仓,若跌破近期低点930需止损

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_GS_20260921123152_local_job_daily_20260921_GS_kronos_premarket
  • Data sources: mc_GS_20260921123152_local_job_daily_20260921_GS_kronos_premarket, Configured LLM provider

This is automated stock research, not investment advice.

AI-Berkshire当日无有效报告
Vibe-Trading2026-09-21 12:34持有
核心结论

中期下跌+长期临界+深度超卖的三重状态,HOLD优于BUY/SELL。

中期趋势明确下跌(20日-5.98%、60日-12.53%、MA50/MA20空头排列);长期趋势临界(MA200=956.86,现价954.35小幅跌破)。RSI 28深度超卖但未现底背离。情景概率:反弹35%/区间40%/破位25%,胜率赔率均不突出。作者明确指出缺乏估值锚+趋势未反转+财报前不确定性,BUY胜率不够;超卖+接近MA200支撑使SELL亦不合适,故HOLD最优,并设置价格>1000/收MA20加仓,价格<937.98/900止损清仓等明确触发器。
原始报告

Vibe-Trading 中文策略报告 — GS

生成时间:2026-09-21T12:34:22.772Z

最终结论

HOLD

中文摘要

The user wants me to research GS (Goldman Sachs) using the provided MarketContext data. Let me analyze the data carefully and produce a research report in Chinese covering:

  • Trend
  • Catalysts
  • Risks
  • Liquidity/Volume background
  • Future 1-4 weeks BUY/HOLD/SELL conclusion
  • Evidence
  • Risk control
  • Final decision

Key data points from MarketContext:

  • asOf: 2026-09-21T12:31:52.522Z (美东时间 9/21 盘前 08:31 ET)
  • 最新价(盘前): 954.35 USD
  • 9/18 收盘: 942.00 USD
  • vs 9/18 收盘: +1.31%
  • MA20: 1013.5005
  • MA50: 1036.4064
  • MA200: 956.8552
  • 20日收益: -5.98%
  • 60日收益: -12.53%
  • 252日收益: 17.02%
  • RSI14: 28.09

技术面分析:

  • 价格 954.35 < MA20 (1013.50) < MA50 (1036.41),跌破短中期均线
  • MA200 = 956.86,价格 954.35 略低于 MA200,处于关键长期均线支撑附近
  • RSI14 = 28.09,深度超卖区域(<30 为超卖)
  • 20日收益 -5.98%,60日收益 -12.53%,中期趋势明显走弱
  • 252日收益 +17.02%,长期仍为正
  • 日内成交量近期放大(9/16: 3.55M, 9/17: 3.29M, 9/18: 3.98M vs 8月底 ~1-2.5M),卖压释放伴随放量

催化因素 / 风险:

  • 9/16 - 9/18 三个交易日累计跌幅明显(1037.93 → 942.00,约 -9.2%)
  • 这与大盘回调相关(需要参考大盘背景,但未提供)
  • 9/19 - 9/21 周一是 Columbus Day 美股休市,所以 9/21 是周五后的第一个交易日
  • 9/18 周五是四巫日(Quad Witching),这解释了 9/18 成交量放大到 3.98M

让我准备一份完整的研究报告。

数据纪律:

  • 仅使用 MarketContext 数据
  • 标注缺失证据
  • 不用任何外部搜索

让我开始撰写报告。

GS(Goldman Sachs)研究报告 2026-09-21(盘前版)

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(Q2/Q3 2026)EPS、营收、营业利润、FICC/Equities/IB/IM 分部收入、指引、ROE、拨备
公司公告与新闻无近期管理层动作、回购、并购、监管处罚、投行项目进展披露
估值与一致预期无 PE / PB / EV / 卖方目标价 / 一致 EPS 预期
行业与宏观无 VIX、利率曲线、信贷利差、北向/南向资金、大盘(SPX/SPY)同步行情、行业板块表现
持仓与筹码无 13F、机构持仓变动、做空利息(short interest)、期权 IV/skew

1. 行情快照(来自 MarketContext)

项目数值
asOf(UTC)2026-09-21T12:31:52.522Z
盘前时间(美东)2026-09-21 约 08:31 ET
最新价(盘前)954.35 USD
9/18(上周五)收盘942.00 USD
vs 9/18 收盘+1.31%
MA201,013.50
MA501,036.41
MA200956.86
20 日收益-5.98%
60 日收益-12.53%
252 日收益+17.02%
RSI1428.09

2. 趋势(Trend)

2.1 均线结构

维度状态解读
价格 vs MA20(1,013.50)跌破 -5.83%短趋势走坏
价格 vs MA50(1,036.41)跌破 -7.92%中趋势走坏
价格 vs MA200(956.86)接近(-0.26%)长期牛熊分界线正在测试
MA20 vs MA50 vs MA200空头排列(MA20 < MA50,且价格 < MA20)中短期均线已确认下行
60 日收益 -12.53%中期资金离场明显

2.2 RSI14 = 28.09

阈值含义
RSI < 30传统超卖区
28.09深度超卖

关键观察:RSI 仅 28.09,但价格并未立即反弹。这是 "超卖可以更超卖" 的典型状态——技术指标先行,但价格继续探底直到买盘枯竭或事件触发反转。结合 9/16–9/18 三日大跌,尚未出现 RSI 底背离信号(无价格序列验证反弹)。

2.3 关键支撑 / 压力

位置价格含义
MA200 / 年线956.86当前最关键的多空分水岭,价格 954.35 已小幅跌破
9/16 低点937.98短期支撑测试点,9/18 收 942.00,已逼近
8 月震荡下沿1,000–1,025已跌破,反转为压力
MA501,036.41中期反弹第一阻力
MA201,013.50短期反弹阻力
8/21 高点1,039.28当前 vs 此位 -8.18%

2.4 趋势总结

  • 中期趋势:明确下跌(20 日 -5.98%、60 日 -12.53%、MA50/MA20 空头排列)。
  • 长期趋势:临界——价格位于 MA200(956.86)下方 2.51 USD,跌破意味着 252 日 +17.02% 的趋势性涨幅被破坏。
  • 超卖状态:已形成,但未见反转 K 线或成交企稳。

3. 流动性 / 成交量背景

3.1 日成交量序列

日期收盘成交量量能特征
2026-08-211,039.282,744,000中性
2026-08-241,036.281,987,500偏低
2026-08-251,058.882,497,300放量上行(未延续)
2026-08-261,040.461,487,900缩量
2026-08-271,040.871,712,500缩量
2026-08-281,033.991,053,100极度缩量
2026-09-011,002.561,845,600放量阴跌
2026-09-021,004.422,193,300放量
2026-09-031,037.931,675,400缩量反弹
2026-09-041,038.611,429,000缩量
2026-09-081,036.531,263,200缩量
2026-09-091,028.781,661,600缩量
2026-09-101,019.771,896,900温和放量
2026-09-111,029.181,163,000缩量
2026-09-14988.452,206,600放量破位(跌破 1,000)
2026-09-15976.672,355,200继续放量下跌
2026-09-16937.983,546,200巨量恐慌抛售(+51% 量)
2026-09-17951.473,286,700高量反弹(+1.44%)
2026-09-18942.003,980,200全期最高量能,再创新低

3.2 量价解读

维度观察
8 月底日均量~1.5–2.5M
9/14 起日均量~3.0–4.0M(放大约 2–2.5 倍
9/18 量能3.98M(近 20 日最大值
量价关系放量下跌 + 巨量新低 = 典型恐慌/强制抛售特征
9/17 反弹高量收阳但仅 1.44%,买盘力度有限

9/16–9/18 三日累计跌幅 -4.65%,成交量合计 1,081 万股——这是 8 月份整月成交的量级被压缩在三天内释放。考虑到 9/18 是四巫日(Quad Witching / quarterly options expiration),部分增量来自期权对冲而非纯主动抛售,但仍提示机构在重新平衡仓位。

3.3 流动性评估

项目判断
日均成交量健康(百万级大盘股)
价差 / 冲击成本数据未提供,盘前 954.35 vs 9/18 收盘 942.00 价差合理
大单成交9/16–9/18 高量含大单可能,但需 Level-2 数据确认(未提供)

4. 催化因素(Catalysts)

数据纪律:以下为基于技术走势推断的潜在催化框架,不引用任何外部未提供的新闻或公告

潜在催化状态影响方向
MA200 失守 / 守住当前 954.35 已小幅跌破 956.861–4 周最重要的方向触发点
Q3 2026 财报披露统一上下文未提供日期通常 10 月中旬披露,是关键变量
回购窗口统一上下文未提供财报静默期通常限制回购
FICC / 利率交易收入统一上下文未提供利率波动期利好
IB 投行项目回暖统一上下文未提供需观察
大盘系统性风险9/16–9/18 GS 与大市同步下跌概率高(未确认若大市企稳,GS 跟随反弹概率大

4.1 反向催化(短期反弹触发器)

  1. MA200 收回:价格若 1–4 周内回到 956.86 上方并站稳,宣告年线保卫成功。
  2. RSI 底背离:价格新低但 RSI 不再新低(待观察 9/21 后走势)。
  3. 量能萎缩企稳:日量回到 2M 以下,抛压释放完毕。
  4. 大盘 beta 反弹:未确认,需对照 SPX/SPY 数据。

5. 风险(Risks)

5.1 量化风险

风险度量含义
MA200 跌破已发生(-0.26%)趋势性破位
RSI 深度超卖28.09卖压未完全释放
60 日回撤-12.53%中期趋势恶化
量能失控9/18 = 20 日最高量强制抛售/对冲未结束

5.2 情景路径(1–4 周)

情景概率(主观)触发条件路径
A. 反弹修复35%守住 MA200(956.86),量能回缩至 2M 以下,RSI 底背离1,000 → MA20(1,013) → MA50(1,036)
B. 区间震荡40%MA200 上下 5% 波动,950–1,000等待 Q3 财报与大盘方向
C. 趋势破位25%9/18 巨量确认主跌波,跌破 937.98(9/16 低)测试 900 → 850 整数关

5.3 核心风险

  1. MA200 失守:一旦周线收于 956.86 下方,趋势性止损触发,技术派资金集中离场
  2. 大盘系统性风险传导:GS 与 SPX 高 beta(历史相关性强,统一上下文未提供相关系数确认),若大市继续下行,GS 难独善其身。
  3. 财报前不确定性:Q3 财报季临近,机构降低敞口,导致流动性下降与波动放大。
  4. 金融监管统一上下文未提供任何监管事件,但金融板块历来对监管动作敏感。

6. 结论与决策

6.1 综合判断

维度状态
短期(1–4 周)技术面偏空 + 深度超卖——存在反弹需求但方向不明
中期(1–3 月)取决于 MA200 是否失守与 Q3 财报
长期(12 月+)252 日仍 +17.02%,长期结构未破坏,但需警惕

6.2 评级:HOLD(1–4 周)

决策要素评估
趋势中期下跌、长期临界
估值统一上下文未提供 PE/PB/一致预期,无法做估值锚定
催化财报与大市方向尚未明朗
风险/收益反弹空间 vs MA20(~+6.2%)vs 下跌空间(-6% 至 -10%)
RSI 状态28.09 超卖但未现底背离

当前不是 BUY 的最佳时点:缺乏估值锚 + 趋势未确认反转 + 财报前不确定性 = 胜率与赔率均不突出当前不是 SELL 的最佳时点:超卖严重 + 接近关键支撑(MA200)+ 已有 -12% 以上回撤,技术性反弹概率不可忽视。 HOLD 优于 BUY/SELL——等待方向确认。

6.3 风险控制与触发器

触发事件操作备注
价格 > 970 且日量 > 2.5M观察反弹持续性,暂不加仓突破 9/18 收盘 +3%
价格 > 1,000考虑分批建仓(BEGIN BUY)收回 MA200 之外的整数关
价格 > 1,013(MA20)加仓至中性仓位中期止跌确认
价格 < 937.98止损 / 清仓9/16 低点失守,进入 C 情景
价格 < 900清仓离场主跌波确认
MA200 周线收于 956.86 上方持仓信心增强长期趋势未破坏
MA200 周线收于下方减仓 50%趋势性破位
Q3 财报披露关键决策点统一上下文未提供日期

6.4 仓位建议(针对已有持仓)

持仓结构建议
已有仓位HOLD,不主动加仓,不主动清仓
空仓观望(WAIT),等待 MA200 收回或 900 附近支撑验证
短线交易不适合当前环境(波动大、方向不明)

7. 未来 1–4 周观察清单

#观察项阈值 / 触发
1价格 vs MA200(956.86)守住 / 失守 / 收回
2价格 vs 9/16 低(937.98)不破 / 跌破
3RSI1428 → 30 反弹 / 续创低
4日均成交量萎缩至 2M = 抛压释放 / 持续 >3M = 趋势恶化
5大盘(SPX/SPY)统一上下文未提供,需外部确认
6Q3 财报日期统一上下文未提供
7MA20(1,013.50)收回 = 趋势转暖

8. 一句话总结

GS 处于"中期下跌 + 长期临界 + 深度超卖"的三重状态:1–4 周内 HOLD 优于 BUY/SELL;MA200(956.86)是多空分水岭,有效跌破则触发止损/清仓有效收回则启动分批建仓;财报与大市方向是核心外部变量(统一上下文未提供,需后续验证)。


附录:原始 MarketContext 输出(保留)

MarketContext: mc_GS_20260921123152_local_job_daily_20260921_GS_kronos_premarket
asOf: 2026-09-21T12:31:52.522Z
最新价: 954.35, 日期: 2026-09-21, 日涨跌: 1.31%
MA20: 1013.5005, MA50: 1036.4064, MA200: 956.8552
20日收益: -5.98%, 60日收益: -12.53%, 252日收益: 17.02%, RSI14: 28.09
最近20根日线:
2026-08-21 close=1039.2800 volume=2744000
2026-08-24 close=1036.2800 volume=1987500
2026-08-25 close=1058.8800 volume=2497300
2026-08-26 close=1040.4600 volume=1487900
2026-08-27 close=1040.8700 volume=1712500
2026-08-28 close=1033.9900 volume=1053100
2026-08-31 close=1025.9000 volume=1359800
2026-09-01 close=1002.5600 volume=1845600
2026-09-02 close=1004.4200 volume=2193300
2026-09-03 close=1037.9301 volume=1675400
2026-09-04 close=1038.6100 volume=1429000
2026-09-08 close=1036.5300 volume=1263200
2026-09-09 close=1028.7800 volume=1661600
2026-09-10 close=1019.7700 volume=1896900
2026-09-11 close=1029.1801 volume=1163000
2026-09-14 close=988.4500 volume=2206600
2026-09-15 close=976.6700 volume=2355200
2026-09-16 close=937.9800 volume=3546200
2026-09-17 close=951.4700 volume=3286700
2026-09-18 close=942.0000 volume=3980200

最终决策:HOLD(1–4 周)|风险评级:高|核心触发器:MA200 956.86

免责声明:本报告基于统一上下文 MarketContext 数据生成,不构成投资建议。所有财报/新闻/估值证据均明确标注"统一上下文未提供"。关键外部变量(大盘、财报日期、估值锚定)缺失,请结合后续补全数据再行决策。

原始输入与模型输出

Prompt

请用中文研究 GS: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_GS_20260921123152_local_job_daily_20260921_GS_kronos_premarket
  • asOf: 2026-09-21T12:31:52.522Z
  • 最新价: 954.35, 日期: 2026-09-21, 日涨跌: 1.31%
  • MA20: 1013.5005, MA50: 1036.4064, MA200: 956.8552
  • 20日收益: -5.98%, 60日收益: -12.53%, 252日收益: 17.02%, RSI14: 28.09
  • 最近20根日线: 2026-08-21 close=1039.2800 volume=2744000 2026-08-24 close=1036.2800 volume=1987500 2026-08-25 close=1058.8800 volume=2497300 2026-08-26 close=1040.4600 volume=1487900 2026-08-27 close=1040.8700 volume=1712500 2026-08-28 close=1033.9900 volume=1053100 2026-08-31 close=1025.9000 volume=1359800 2026-09-01 close=1002.5600 volume=1845600 2026-09-02 close=1004.4200 volume=2193300 2026-09-03 close=1037.9301 volume=1675400 2026-09-04 close=1038.6100 volume=1429000 2026-09-08 close=1036.5300 volume=1263200 2026-09-09 close=1028.7800 volume=1661600 2026-09-10 close=1019.7700 volume=1896900 2026-09-11 close=1029.1801 volume=1163000 2026-09-14 close=988.4500 volume=2206600 2026-09-15 close=976.6700 volume=2355200 2026-09-16 close=937.9800 volume=3546200 2026-09-17 close=951.4700 volume=3286700 2026-09-18 close=942.0000 volume=3980200

Vibe-Trading 原始输出

The user wants me to research GS (Goldman Sachs) using the provided MarketContext data. Let me analyze the data carefully and produce a research report in Chinese covering:

  • Trend
  • Catalysts
  • Risks
  • Liquidity/Volume background
  • Future 1-4 weeks BUY/HOLD/SELL conclusion
  • Evidence
  • Risk control
  • Final decision

Key data points from MarketContext:

  • asOf: 2026-09-21T12:31:52.522Z (美东时间 9/21 盘前 08:31 ET)
  • 最新价(盘前): 954.35 USD
  • 9/18 收盘: 942.00 USD
  • vs 9/18 收盘: +1.31%
  • MA20: 1013.5005
  • MA50: 1036.4064
  • MA200: 956.8552
  • 20日收益: -5.98%
  • 60日收益: -12.53%
  • 252日收益: 17.02%
  • RSI14: 28.09

技术面分析:

  • 价格 954.35 < MA20 (1013.50) < MA50 (1036.41),跌破短中期均线
  • MA200 = 956.86,价格 954.35 略低于 MA200,处于关键长期均线支撑附近
  • RSI14 = 28.09,深度超卖区域(<30 为超卖)
  • 20日收益 -5.98%,60日收益 -12.53%,中期趋势明显走弱
  • 252日收益 +17.02%,长期仍为正
  • 日内成交量近期放大(9/16: 3.55M, 9/17: 3.29M, 9/18: 3.98M vs 8月底 ~1-2.5M),卖压释放伴随放量

催化因素 / 风险:

  • 9/16 - 9/18 三个交易日累计跌幅明显(1037.93 → 942.00,约 -9.2%)
  • 这与大盘回调相关(需要参考大盘背景,但未提供)
  • 9/19 - 9/21 周一是 Columbus Day 美股休市,所以 9/21 是周五后的第一个交易日
  • 9/18 周五是四巫日(Quad Witching),这解释了 9/18 成交量放大到 3.98M

让我准备一份完整的研究报告。

数据纪律:

  • 仅使用 MarketContext 数据
  • 标注缺失证据
  • 不用任何外部搜索

让我开始撰写报告。

GS(Goldman Sachs)研究报告 2026-09-21(盘前版)

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(Q2/Q3 2026)EPS、营收、营业利润、FICC/Equities/IB/IM 分部收入、指引、ROE、拨备
公司公告与新闻无近期管理层动作、回购、并购、监管处罚、投行项目进展披露
估值与一致预期无 PE / PB / EV / 卖方目标价 / 一致 EPS 预期
行业与宏观无 VIX、利率曲线、信贷利差、北向/南向资金、大盘(SPX/SPY)同步行情、行业板块表现
持仓与筹码无 13F、机构持仓变动、做空利息(short interest)、期权 IV/skew

1. 行情快照(来自 MarketContext)

项目数值
asOf(UTC)2026-09-21T12:31:52.522Z
盘前时间(美东)2026-09-21 约 08:31 ET
最新价(盘前)954.35 USD
9/18(上周五)收盘942.00 USD
vs 9/18 收盘+1.31%
MA201,013.50
MA501,036.41
MA200956.86
20 日收益-5.98%
60 日收益-12.53%
252 日收益+17.02%
RSI1428.09

2. 趋势(Trend)

2.1 均线结构

维度状态解读
价格 vs MA20(1,013.50)跌破 -5.83%短趋势走坏
价格 vs MA50(1,036.41)跌破 -7.92%中趋势走坏
价格 vs MA200(956.86)接近(-0.26%)长期牛熊分界线正在测试
MA20 vs MA50 vs MA200空头排列(MA20 < MA50,且价格 < MA20)中短期均线已确认下行
60 日收益 -12.53%中期资金离场明显

2.2 RSI14 = 28.09

阈值含义
RSI < 30传统超卖区
28.09深度超卖

关键观察:RSI 仅 28.09,但价格并未立即反弹。这是 "超卖可以更超卖" 的典型状态——技术指标先行,但价格继续探底直到买盘枯竭或事件触发反转。结合 9/16–9/18 三日大跌,尚未出现 RSI 底背离信号(无价格序列验证反弹)。

2.3 关键支撑 / 压力

位置价格含义
MA200 / 年线956.86当前最关键的多空分水岭,价格 954.35 已小幅跌破
9/16 低点937.98短期支撑测试点,9/18 收 942.00,已逼近
8 月震荡下沿1,000–1,025已跌破,反转为压力
MA501,036.41中期反弹第一阻力
MA201,013.50短期反弹阻力
8/21 高点1,039.28当前 vs 此位 -8.18%

2.4 趋势总结

  • 中期趋势:明确下跌(20 日 -5.98%、60 日 -12.53%、MA50/MA20 空头排列)。
  • 长期趋势:临界——价格位于 MA200(956.86)下方 2.51 USD,跌破意味着 252 日 +17.02% 的趋势性涨幅被破坏。
  • 超卖状态:已形成,但未见反转 K 线或成交企稳。

3. 流动性 / 成交量背景

3.1 日成交量序列

日期收盘成交量量能特征
2026-08-211,039.282,744,000中性
2026-08-241,036.281,987,500偏低
2026-08-251,058.882,497,300放量上行(未延续)
2026-08-261,040.461,487,900缩量
2026-08-271,040.871,712,500缩量
2026-08-281,033.991,053,100极度缩量
2026-09-011,002.561,845,600放量阴跌
2026-09-021,004.422,193,300放量
2026-09-031,037.931,675,400缩量反弹
2026-09-041,038.611,429,000缩量
2026-09-081,036.531,263,200缩量
2026-09-091,028.781,661,600缩量
2026-09-101,019.771,896,900温和放量
2026-09-111,029.181,163,000缩量
2026-09-14988.452,206,600放量破位(跌破 1,000)
2026-09-15976.672,355,200继续放量下跌
2026-09-16937.983,546,200巨量恐慌抛售(+51% 量)
2026-09-17951.473,286,700高量反弹(+1.44%)
2026-09-18942.003,980,200全期最高量能,再创新低

3.2 量价解读

维度观察
8 月底日均量~1.5–2.5M
9/14 起日均量~3.0–4.0M(放大约 2–2.5 倍
9/18 量能3.98M(近 20 日最大值
量价关系放量下跌 + 巨量新低 = 典型恐慌/强制抛售特征
9/17 反弹高量收阳但仅 1.44%,买盘力度有限

9/16–9/18 三日累计跌幅 -4.65%,成交量合计 1,081 万股——这是 8 月份整月成交的量级被压缩在三天内释放。考虑到 9/18 是四巫日(Quad Witching / quarterly options expiration),部分增量来自期权对冲而非纯主动抛售,但仍提示机构在重新平衡仓位。

3.3 流动性评估

项目判断
日均成交量健康(百万级大盘股)
价差 / 冲击成本数据未提供,盘前 954.35 vs 9/18 收盘 942.00 价差合理
大单成交9/16–9/18 高量含大单可能,但需 Level-2 数据确认(未提供)

4. 催化因素(Catalysts)

数据纪律:以下为基于技术走势推断的潜在催化框架,不引用任何外部未提供的新闻或公告

潜在催化状态影响方向
MA200 失守 / 守住当前 954.35 已小幅跌破 956.861–4 周最重要的方向触发点
Q3 2026 财报披露统一上下文未提供日期通常 10 月中旬披露,是关键变量
回购窗口统一上下文未提供财报静默期通常限制回购
FICC / 利率交易收入统一上下文未提供利率波动期利好
IB 投行项目回暖统一上下文未提供需观察
大盘系统性风险9/16–9/18 GS 与大市同步下跌概率高(未确认若大市企稳,GS 跟随反弹概率大

4.1 反向催化(短期反弹触发器)

  1. MA200 收回:价格若 1–4 周内回到 956.86 上方并站稳,宣告年线保卫成功。
  2. RSI 底背离:价格新低但 RSI 不再新低(待观察 9/21 后走势)。
  3. 量能萎缩企稳:日量回到 2M 以下,抛压释放完毕。
  4. 大盘 beta 反弹:未确认,需对照 SPX/SPY 数据。

5. 风险(Risks)

5.1 量化风险

风险度量含义
MA200 跌破已发生(-0.26%)趋势性破位
RSI 深度超卖28.09卖压未完全释放
60 日回撤-12.53%中期趋势恶化
量能失控9/18 = 20 日最高量强制抛售/对冲未结束

5.2 情景路径(1–4 周)

情景概率(主观)触发条件路径
A. 反弹修复35%守住 MA200(956.86),量能回缩至 2M 以下,RSI 底背离1,000 → MA20(1,013) → MA50(1,036)
B. 区间震荡40%MA200 上下 5% 波动,950–1,000等待 Q3 财报与大盘方向
C. 趋势破位25%9/18 巨量确认主跌波,跌破 937.98(9/16 低)测试 900 → 850 整数关

5.3 核心风险

  1. MA200 失守:一旦周线收于 956.86 下方,趋势性止损触发,技术派资金集中离场
  2. 大盘系统性风险传导:GS 与 SPX 高 beta(历史相关性强,统一上下文未提供相关系数确认),若大市继续下行,GS 难独善其身。
  3. 财报前不确定性:Q3 财报季临近,机构降低敞口,导致流动性下降与波动放大。
  4. 金融监管统一上下文未提供任何监管事件,但金融板块历来对监管动作敏感。

6. 结论与决策

6.1 综合判断

维度状态
短期(1–4 周)技术面偏空 + 深度超卖——存在反弹需求但方向不明
中期(1–3 月)取决于 MA200 是否失守与 Q3 财报
长期(12 月+)252 日仍 +17.02%,长期结构未破坏,但需警惕

6.2 评级:HOLD(1–4 周)

决策要素评估
趋势中期下跌、长期临界
估值统一上下文未提供 PE/PB/一致预期,无法做估值锚定
催化财报与大市方向尚未明朗
风险/收益反弹空间 vs MA20(~+6.2%)vs 下跌空间(-6% 至 -10%)
RSI 状态28.09 超卖但未现底背离

当前不是 BUY 的最佳时点:缺乏估值锚 + 趋势未确认反转 + 财报前不确定性 = 胜率与赔率均不突出当前不是 SELL 的最佳时点:超卖严重 + 接近关键支撑(MA200)+ 已有 -12% 以上回撤,技术性反弹概率不可忽视。 HOLD 优于 BUY/SELL——等待方向确认。

6.3 风险控制与触发器

触发事件操作备注
价格 > 970 且日量 > 2.5M观察反弹持续性,暂不加仓突破 9/18 收盘 +3%
价格 > 1,000考虑分批建仓(BEGIN BUY)收回 MA200 之外的整数关
价格 > 1,013(MA20)加仓至中性仓位中期止跌确认
价格 < 937.98止损 / 清仓9/16 低点失守,进入 C 情景
价格 < 900清仓离场主跌波确认
MA200 周线收于 956.86 上方持仓信心增强长期趋势未破坏
MA200 周线收于下方减仓 50%趋势性破位
Q3 财报披露关键决策点统一上下文未提供日期

6.4 仓位建议(针对已有持仓)

持仓结构建议
已有仓位HOLD,不主动加仓,不主动清仓
空仓观望(WAIT),等待 MA200 收回或 900 附近支撑验证
短线交易不适合当前环境(波动大、方向不明)

7. 未来 1–4 周观察清单

#观察项阈值 / 触发
1价格 vs MA200(956.86)守住 / 失守 / 收回
2价格 vs 9/16 低(937.98)不破 / 跌破
3RSI1428 → 30 反弹 / 续创低
4日均成交量萎缩至 2M = 抛压释放 / 持续 >3M = 趋势恶化
5大盘(SPX/SPY)统一上下文未提供,需外部确认
6Q3 财报日期统一上下文未提供
7MA20(1,013.50)收回 = 趋势转暖

8. 一句话总结

GS 处于"中期下跌 + 长期临界 + 深度超卖"的三重状态:1–4 周内 HOLD 优于 BUY/SELL;MA200(956.86)是多空分水岭,有效跌破则触发止损/清仓有效收回则启动分批建仓;财报与大市方向是核心外部变量(统一上下文未提供,需后续验证)。


附录:原始 MarketContext 输出(保留)

MarketContext: mc_GS_20260921123152_local_job_daily_20260921_GS_kronos_premarket
asOf: 2026-09-21T12:31:52.522Z
最新价: 954.35, 日期: 2026-09-21, 日涨跌: 1.31%
MA20: 1013.5005, MA50: 1036.4064, MA200: 956.8552
20日收益: -5.98%, 60日收益: -12.53%, 252日收益: 17.02%, RSI14: 28.09
最近20根日线:
2026-08-21 close=1039.2800 volume=2744000
2026-08-24 close=1036.2800 volume=1987500
2026-08-25 close=1058.8800 volume=2497300
2026-08-26 close=1040.4600 volume=1487900
2026-08-27 close=1040.8700 volume=1712500
2026-08-28 close=1033.9900 volume=1053100
2026-08-31 close=1025.9000 volume=1359800
2026-09-01 close=1002.5600 volume=1845600
2026-09-02 close=1004.4200 volume=2193300
2026-09-03 close=1037.9301 volume=1675400
2026-09-04 close=1038.6100 volume=1429000
2026-09-08 close=1036.5300 volume=1263200
2026-09-09 close=1028.7800 volume=1661600
2026-09-10 close=1019.7700 volume=1896900
2026-09-11 close=1029.1801 volume=1163000
2026-09-14 close=988.4500 volume=2206600
2026-09-15 close=976.6700 volume=2355200
2026-09-16 close=937.9800 volume=3546200
2026-09-17 close=951.4700 volume=3286700
2026-09-18 close=942.0000 volume=3980200

最终决策:HOLD(1–4 周)|风险评级:高|核心触发器:MA200 956.86

免责声明:本报告基于统一上下文 MarketContext 数据生成,不构成投资建议。所有财报/新闻/估值证据均明确标注"统一上下文未提供"。关键外部变量(大盘、财报日期、估值锚定)缺失,请结合后续补全数据再行决策。

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_GS_20260921123152_local_job_daily_20260921_GS_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。