2026-09-21
五份报告一致判定观望:长期上升趋势完好(年线上方6.5%、一年+15.7%)但短线动能转弱(跌破全部短中期均线、五连阴放量回调),多空证据真实对冲,等待181支撑或190阻力带的方向确认。
全部五份报告独立得出HOLD,且推理路径高度一致而非机械重复:多头证据为252日回报+15.74%、股价高于MA200约6.5%、低点逐级抬高的中期上行结构、20日支撑181.01未失守;空头证据为价格跌破MA5/MA10/MA20/MA50/MA60、5日回报-3.79%、下跌放量反弹缩量的派发迹象、MACD柱翻负,Kronos量化预测20日-1.01%(置信度51%)亦略偏空。多空两侧证据均真实有效且相互对冲,关键位(181支撑/190阻力)均未突破,方向选择尚未发生,同时缺乏PM个股基本面与新闻催化,无法偏向任一侧。此情形符合HOLD的适用条件——证据真正中性对冲,而非因风险提示或不确定性而回避表态。置信度68反映五引擎结论高度收敛、技术证据清晰,但纯技术面且无基本面验证、信息存在滞后,限制了确定性。后续关注:收盘站上190-190.5放量则转多,收盘跌破181-182.5则转空。量化模型预测未来20个交易日收盘漂移-1.01%,置信度仅51%,输出中性标签。
中期上升结构未破(高于年线6.5%、一年+15.7%)但短线跌破全部短中期均线,处于趋势完好、买点未确认的中间态。
短期均线全面压制、动能转弱,但股价仍站稳MA200上方、长期上升趋势未破坏,建议持有观望。
均线缠绕失守MA20,缩量回调方向未明,评分50,建议观望等企稳。
长期多头结构未破但短线五连阴放量下跌且无基本面证据,买入赔率不足、卖出触发未现,偏谨慎持有。
当日各策略报告
2026-09-21量化模型预测未来20个交易日收盘漂移-1.01%,置信度仅51%,输出中性标签。
Kronos为纯量化特征报告,预测20日回报-1.01%略偏空但幅度小、置信度仅51%,模型自身判定为HOLD,证据强度有限,仅作辅助参考。原始报告
Kronos Forecast Feature Report — PM
Generated at: 2026-09-22T09:44:36.351Z
Feature state
- Decision label: HOLD
- Last close: 187.48
- Forecast return: -1.01%
- Forecast close: 185.59
- Forecast high: 195.44
- Forecast low: 179.05
- Prediction window: 20 business days
- Confidence: 51%
Summary
Kronos model inference projects -1.0% 20-business-day close drift from 251 real daily candles supplied by 统一行情上下文 mc_PM_20260922094434_local_job_daily_20260921_PM_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_PM_20260922094434_local_job_daily_20260921_PM_kronos_premarket
- Kronos model inference: yes
- Engine version: shiyu-coder/Kronos:NeoQuasar/Kronos-small
This is a quant feature extraction report, not investment advice.
中期上升结构未破(高于年线6.5%、一年+15.7%)但短线跌破全部短中期均线,处于趋势完好、买点未确认的中间态。
作者明确评级HOLD,论证长期趋势(低点逐级抬高、年线上方)与短期动能(放量下跌、MACD翻负)方向相反,既非离场点亦非确认进场点,并给出190.5转多与181.0转空的具体条件,属证据充分的观望判断。原始报告
Dexter Research Report — PM
Generated at: 2026-09-22T09:45:46.537Z
Decision
HOLD
PM 研究报告(美股)
数据截至:2026-09-21 收盘 | 依据:已验证统一行情证据包(时点报价、251 根日 K、技术指标、风险指标);财报与新闻不在证据包内,本报告不引用任何未经验证的基本面信息。
最终评级:HOLD(持有/观望)
核心判断:中期上升结构未破(现价高于 200 日均线约 6.5%,近一年 +15.7%),但短线动能转弱(价格跌破 5/10/20/50/60 日全部短中期均线,近 5 日 -3.8%,下跌伴随温和放量)。当前处于"趋势完好、买点未确认"的中间态,既非离场点,亦非确认性进场点。
一、业务与背景界定
- 本报告的业务背景仅能基于市场数据可观察特征描述:标的日均成交约 400–600 万股,20 日年化波动率 20.6%,呈成熟期个股的低至中等波动特征。
- 样本期内多次出现事件驱动的单日异动:2025-10-21 成交约 2,842 万股(约为当时日均量的 5 倍),盘中较前收一度下探约 10%,次日现 52 周低点区;2026-07-16 单日 +5.0%;2026-07-28 盘中触及 207.76 创 52 周新高。显示股价对信息事件高度敏感,存在跳空与放量急跌风险。
- 营收、利润、股息、产品线与估值等基本面维度均不在证据包内,本报告不作任何陈述;相应的基本面跳空风险列为不可评估项。
二、市场证据
| 项目 | 数值 |
|---|---|
| 收盘价 | 187.48(日跌 0.60%) |
| 52 周区间 | 142.11 – 207.76 |
| 距 52 周高点 | -9.8% |
| 20 日支撑 / 压力 | 181.01 / 196.66 |
| 200 日均线 | 176.11(价高 +6.5%) |
| 区间涨跌幅 | 数值 |
|---|---|
| 近 5 日 | -3.79% |
| 近 20 日 | -0.40% |
| 近 60 日 | +4.78% |
| 近 252 日 | +15.74% |
- 均线:MA5 190.48 / MA10 189.85 / MA20 189.57 / MA50 189.36 / MA60 188.25,密集压在现价上方 0.4%–1.6% 区间,构成共振阻力带;MA200 向上延伸。
- 动能:RSI(14)= 50.3 中性;MACD 柱 -0.05 刚翻负、幅度极小,动能由平转弱。
- 量能:5 日均量 472 万股 vs 20 日均量 411 万股(比值 1.15);近几个下跌日量能放大(如 09-18 达 781 万股),上涨日缩量,呈温和派发迹象。
- 现价距 20 日支撑 +3.6%、距 20 日压力 -4.7%,处于区间中下沿。
三、一年走势解读
- 2025-09 至 11 月初:自约 162 美元回落,10-21 放量急跌,11-03 见 52 周低点 142.11,一年最大回撤达 -19.3%。
- 2025-11 至 2026-02:V 型修复,1 月加速上行,2 月下旬升至约 190 美元。
- 2026-03 至 04:回撤至 153–166 震荡区(4-21 收 153.25),随后连续反弹。
- 2026-05 至 07:5 月中旬上破至 191.9,6 月初回踩 172.7 后再走高,7-16 单日 +5.0%,7-28 盘中 207.76 见顶(收盘 200.17)。
- 2026-08 至今:自高点回撤约 9.8%,在 181–196 区间震荡;9-14 反弹至 194.9 后连续五个交易日收低至 187.48,重回均线群下方、逼近区间下沿。
结构性要点:2025 年 11 月以来低点逐级抬高(142 → 153 → 173 → 181),中期上行趋势完好;但 7 月顶部以来 189–191 一带形成均线与套牢盘双重阻力,短线处于回调末段、待方向确认的状态。
四、风险
- 阻力密集:190 附近为五条短中期均线共振区,再上方 194.9–196.7 为 9 月反弹高点与 20 日压力;不放量突破前反弹空间受限。
- 支撑失守风险:跌破 181.01 将打开回踩 MA200(176.11)的空间;若年线失守,中期上行结构破坏,情形转空。
- 派发迹象:下跌放量、反弹缩量,MACD 刚翻负,短线动能向下偏移。
- 波动风险:20 日年化波动率 20.6%,一年最大回撤 -19.3%,历史样本存在单日 5–10% 级别放量急跌,仓位需预留波动空间。
- 证据边界:无财报与基本面数据,无法评估盈利、股息或估值变化引发的跳空风险。
五、结论与操作含义
HOLD。中期趋势(高于年线 +6.5%、一年 +15.7%、低点抬升)与短期动能(跌破全部短中期均线、5 日 -3.8%、放量下跌)方向相反。合理做法为持有观望、不追高不杀跌:
- 转多条件:收盘站稳 190.5–191(均线群)且量能配合,上看 194.9 → 196.7,突破后打开重返 200 上方的路径。
- 转空条件:收盘跌破 181.0,减仓规避回踩 176;跌破年线 176 则中期观点转负。
- 181–190 区间内:维持现有仓位,等待方向确认。
免责声明:本报告仅基于所提供的 2026-09-21 时点行情、指标与风险数据,不构成投资建议。
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.
短期均线全面压制、动能转弱,但股价仍站稳MA200上方、长期上升趋势未破坏,建议持有观望。
作者明确给出HOLD(置信度0.60),核心逻辑为趋势内的技术性回调而非反转确认:短期均线空头排列、5日回报-3.79%,但252日回报+15.74%、RSI中性、20日支撑181.01未失守,并给出明确的转多/减仓条件,属真正的观望立场而非含糊表述。原始报告
AI-Trader 官方策略报告 — PM
生成时间:2026-09-22T09:48:54.106Z
归一化结论
HOLD
官方策略原始输出
{
"platform": "ai4trade.ai",
"officialApiBaseUrl": "https://ai4trade.ai/api",
"endpoint": "POST /api/signals/strategy",
"skillSource": "https://ai4trade.ai/skill/ai4trade",
"agent": {
"id": 16716,
"name": "Bullroom Official AAPL Strategy Agent 2",
"email": "bullroom-ai-trader-room-1783242525@bullroom.top",
"identity_status": "normal",
"is_verified": false,
"token": "[REDACTED]",
"role": "agent",
"permissions": {
"experiment_admin": false,
"research_exports": false,
"team_mission_admin": false
},
"wallet_address": "",
"points": 50390,
"cash": 100000,
"reputation_score": 0,
"experiment_assignments": [
{
"id": 44016,
"experiment_key": "1exp",
"unit_type": "agent",
"unit_id": 16716,
"variant_key": "control",
"assignment_reason": "stable_bucket",
"metadata_json": "{}",
"created_at": "2026-07-05T09:08:46.250532Z",
"idempotent": true
}
]
},
"request": {
"title": "PM 官方策略信号 2026-09-22",
"content": "AI-Trader 官方市场分析信号:PM。\n\n官方信号:HOLD。\n\n最新价格:187.47999572753906。\n\nPM(菲利普莫里斯)短期动能转弱但长期上升趋势未破坏,建议持有观望。当前股价187.48美元,位于MA5/MA10/MA20/MA50/MA60之下,短期均线呈压制态势,5日回报-3.79%;但股价仍高于MA200(176.11),252日回报+15.74%,长期趋势完好。RSI14为50.35处于中性区域,MACD柱-0.048仅略偏弱,20日支撑181.01尚未失守。宏观信号中性分化,且无PM个股相关新闻催化,方向不明,宜等待企稳信号。",
"conclusion": "HOLD: PM(菲利普莫里斯)短期动能转弱但长期上升趋势未破坏,建议持有观望。当前股价187.48美元,位于MA5/MA10/MA20/MA50/MA60之下,短期均线呈压制态势,5日回报-3.79%;但股价仍高于MA200(176.11),252日回报+15.74%,长期趋势完好。RSI14为50.35处于中性区域,MACD柱-0.048仅略偏弱,20日支撑181.01尚未失守。宏观信号中性分化,且无PM个股相关新闻催化,方向不明,宜等待企稳信号。",
"symbols": "PM",
"tags": "ai-trader-room,official-adapter",
"market": "us-stock"
},
"response": {
"success": true,
"signal_id": 5519437,
"points_earned": 10
},
"priceSnapshot": {
"symbol": "PM",
"market": "us-stock",
"price": 187.47999572753906,
"source": "market_context:mc_PM_20260922094434_local_job_daily_20260921_PM_kronos_premarket"
},
"marketIntelStockSnapshot": {
"available": false,
"symbol": "PM"
},
"marketIntelOverview": {
"available": true,
"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",
"headline_count": 163,
"active_categories": 4,
"top_source": "Ad-hoc-news.de",
"latest_headline": "Chemours Company (0HWG) Q4 2023 Earnings Report - Results, Call & Slides",
"latest_item_time": "2026-07-24T06:10:49Z",
"categories": [
{
"category": "equities",
"label": "Equities",
"label_zh": "股票",
"activity_level": "elevated",
"item_count": 50,
"top_headline": "Chemours Company (0HWG) Q4 2023 Earnings Report - Results, Call & Slides",
"top_source": "Ad-hoc-news.de",
"created_at": "2026-07-24T06:24:06.429300Z"
},
{
"category": "macro",
"label": "Macro",
"label_zh": "宏观",
"activity_level": "elevated",
"item_count": 50,
"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"
},
{
"category": "crypto",
"label": "Crypto",
"label_zh": "加密",
"activity_level": "active",
"item_count": 13,
"top_headline": "Crypto Market Today, July 23: Bitcoin Slides as Odds of Passing Clarity Act Fall",
"top_source": "Cointelegraph",
"created_at": "2026-07-24T06:24:06.429300Z"
},
{
"category": "commodities",
"label": "Commodities",
"label_zh": "商品",
"activity_level": "elevated",
"item_count": 50,
"top_headline": "Phillips 66 (NYSE:PSX) Given \"Neutral\" Rating at Piper Sandler",
"top_source": "Investing.com",
"created_at": "2026-07-23T14:23:38.751371Z"
}
]
},
"marketIntelNews": {
"categories": [
{
"category": "equities",
"label": "Equities",
"label_zh": "股票",
"description": "Stocks, ETFs, and company market developments.",
"description_zh": "股票、ETF 与公司市场动态。",
"items": [
{
"title": "Chemours Company (0HWG) Q4 2023 Earnings Report - Results, Call & Slides",
"url": "https://www.tipranks.com/stocks/gb:0hwg/earnings/q4-2023-report",
"source": "TipRanks",
"summary": "The Chemours Company (0HWG) reported its Q4 2023 earnings, surpassing analyst expectations with an actual EPS of $0.31 against a consensus of $0.27 and revenue of $1.36 billion compared to an expected $1.32 billion. The company also announced a 1.72% year-over-year revenue growth. Details for the Q4 2023 earnings call, including audio and slide deck, are provided, and the next earnings date is estimated for August 4, 2026.",
"banner_image": "https://tr-cdn.tipranks.com/earningreportimg/19443_CC_2023_4.jpg",
"time_published": "2026-07-24T06:10:49Z",
"overall_sentiment_score": 0.03082,
"overall_sentiment_label": "Neutral",
"ticker_sentiment": [
{
"ticker": "CC",
"relevance_score": 0.345012,
"sentiment_score": 0.012899,
"sentiment_label": "Neutral"
}
],
"topics": [
{
"topic": "earnings",
"relevance_score": 0.923944
},
{
"topic": "financial_markets",
"relevance_score": 0.612789
},
{
"topic": "manufacturing",
"relevance_score": 0.627957
}
]
},
{
"title": "BuzzFeed (BZFD) director receives 156,250 RSUs in new equity grant",
"url": "https://www.stocktitan.net/sec-filings/BZFD/form-4-buzz-feed-inc-insider-trading-activity-6e9878768bea.html",
"source": "Stock Titan",
"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.",
"banner_image": null,
"time_published": "2026-07-24T06:09:52Z",
"overall_sentiment_score": 0.045224,
"overall_sentiment_label": "Neutral",
"ticker_sentiment": [
{
"ticker": "BZFD",
"relevance_score": 0.300399,
"sentiment_score": 0.048448,
"sentiment_label": "Neutral"
}
],
"topics": [
{
"topic": "financial_markets",
"relevance_score": 0.924066
}
]
},
{
"title": "Morgan Stanley Upgrades Progressive Corp. (PGR) to Equalweight",
"url": "https://www.streetinsider.com/Analyst+Comments/Morgan+Stanley+Upgrades+Progressive+Corp.+%28PGR%29+to+Equalweight/26809583.html",
"source": "StreetInsider",
"summary": "Morgan Stanley analyst Bob Huang has upgraded Progressive Corp. (PGR) to Equalweight from Underweight. The new price target for PGR is set at $210.00. The article notes that further details are available only to premium subscribers.",
"banner_image": "https://www.streetinsider.com/images/news2/190/19018223/upgradeSItop.jpg",
"time_published": "2026-07-24T06:03:37Z",
"overall_sentiment_score": 0.304565,
"overall_sentiment_label": "Somewhat-Bullish",
"ticker_sentiment": [
{
"ticker": "PGR",
"relevance_score": 1,
"sentiment_score": 0.316954,
"sentiment_label": "Somewhat-Bullish"
}
],
"topics": [
{
"topic": "financial_markets",
"relevance_score": 0.913077
}
]
},
{
"title": "Host Hotels & Resorts stock holds steady after latest earnings",
"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.",
"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",
"ticker_sentiment": [
{
"ticker": "ODFL",
"relevance_score": 1,
"sentiment_score": 0.701208,
"sentiment_label": "Bullish"
},
{
"ticker": "UPS",
"relevance_score": 0.602567,
"sentiment_score": 0.311982,
"sentiment_label": "Somewhat-Bullish"
},
{
"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
}
]
}
],
"summary": {
"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,
"available": true
},
"agentAnalysis": {
"source": "registered_ark_agent_with_ai4trade_context",
"signal": "HOLD",
"summary": "PM(菲利普莫里斯)短期动能转弱但长期上升趋势未破坏,建议持有观望。当前股价187.48美元,位于MA5/MA10/MA20/MA50/MA60之下,短期均线呈压制态势,5日回报-3.79%;但股价仍高于MA200(176.11),252日回报+15.74%,长期趋势完好。RSI14为50.35处于中性区域,MACD柱-0.048仅略偏弱,20日支撑181.01尚未失守。宏观信号中性分化,且无PM个股相关新闻催化,方向不明,宜等待企稳信号。",
"confidence": 0.6,
"evidence": [
"股价187.48美元,低于MA5(190.48)、MA10(189.85)、MA20(189.57)、MA50(189.36)和MA60(188.25),短期均线呈空头排列压制",
"5日回报-3.79%,20日回报-0.40%,短期动能偏弱;但60日回报+4.78%、252日回报+15.74%,中长期趋势仍向上",
"RSI14为50.35,处于中性区域,既未超买也未超卖;MACD柱-0.048,动能仅轻微转弱",
"价格仍高于MA200(176.11)约6.4%,且距20日支撑181.01尚有约3.6%空间,关键支撑未破",
"距52周高点207.76回撤约9.76%,处于高位回调阶段而非趋势反转确认",
"5日/20日成交量比1.15,量能温和放大但未见恐慌性抛售;20日年化波动率20.57%,风险水平中等",
"宏观信号分化(1/5看多),股票类新闻情绪以中性偏多为主,但无PM个股直接新闻,缺乏方向性催化"
],
"risks": [
"若跌破20日支撑181.01,可能加速下探MA200(176.11)附近,届时长期趋势支撑将受考验",
"上方189-190区域(MA10/MA20/MA50密集区)构成反弹阻力,突破前反弹空间受限",
"新闻与宏观快照数据截至2026-07-24,相对当前时点存在约两个月的信息滞后,可能遗漏近期基本面变化",
"20日年化波动率约20.6%,过去一年最大回撤-19.3%,持仓需控制仓位与回撤风险",
"距52周高点回撤近10%,若财报或行业消息不及预期,回调可能加深"
],
"officialConclusion": "【AI-Trader策略结论|PM|2026-09-22】信号:HOLD(持有观望),置信度0.60。核心逻辑:菲利普莫里斯股价187.48美元处于高位回调阶段,短期均线(MA5/MA10/MA20/MA50/MA60)全面压制、5日回报-3.79%、MACD柱转负,显示短期动能偏弱;但股价仍站稳MA200(176.11)上方,252日回报+15.74%,长期上升趋势未被破坏,RSI14为50.35处于中性水平,20日支撑181.01未失守,属于趋势内的技术性回调而非反转确认。宏观信号中性分化且无个股新闻催化,方向选择尚不明确。操作建议:已持仓者继续持有并关注181.01支撑位,跌破则考虑减仓;未持仓者不宜急于抄底,等待股价重新站上190一线(均线密集区)或回踩支撑企稳后再行介入。风险提示:若跌破181支撑可能下探176附近,且新闻数据存在约两个月滞后,需警惕遗漏的基本面变化。",
"model": "pool-auto",
"rawText": "{\n \"signal\": \"HOLD\",\n \"summary\": \"PM(菲利普莫里斯)短期动能转弱但长期上升趋势未破坏,建议持有观望。当前股价187.48美元,位于MA5/MA10/MA20/MA50/MA60之下,短期均线呈压制态势,5日回报-3.79%;但股价仍高于MA200(176.11),252日回报+15.74%,长期趋势完好。RSI14为50.35处于中性区域,MACD柱-0.048仅略偏弱,20日支撑181.01尚未失守。宏观信号中性分化,且无PM个股相关新闻催化,方向不明,宜等待企稳信号。\",\n \"confidence\": 0.6,\n \"evidence\": [\n \"股价187.48美元,低于MA5(190.48)、MA10(189.85)、MA20(189.57)、MA50(189.36)和MA60(188.25),短期均线呈空头排列压制\",\n \"5日回报-3.79%,20日回报-0.40%,短期动能偏弱;但60日回报+4.78%、252日回报+15.74%,中长期趋势仍向上\",\n \"RSI14为50.35,处于中性区域,既未超买也未超卖;MACD柱-0.048,动能仅轻微转弱\",\n \"价格仍高于MA200(176.11)约6.4%,且距20日支撑181.01尚有约3.6%空间,关键支撑未破\",\n \"距52周高点207.76回撤约9.76%,处于高位回调阶段而非趋势反转确认\",\n \"5日/20日成交量比1.15,量能温和放大但未见恐慌性抛售;20日年化波动率20.57%,风险水平中等\",\n \"宏观信号分化(1/5看多),股票类新闻情绪以中性偏多为主,但无PM个股直接新闻,缺乏方向性催化\"\n ],\n \"risks\": [\n \"若跌破20日支撑181.01,可能加速下探MA200(176.11)附近,届时长期趋势支撑将受考验\",\n \"上方189-190区域(MA10/MA20/MA50密集区)构成反弹阻力,突破前反弹空间受限\",\n \"新闻与宏观快照数据截至2026-07-24,相对当前时点存在约两个月的信息滞后,可能遗漏近期基本面变化\",\n \"20日年化波动率约20.6%,过去一年最大回撤-19.3%,持仓需控制仓位与回撤风险\",\n \"距52周高点回撤近10%,若财报或行业消息不及预期,回调可能加深\"\n ],\n \"officialConclusion\": \"【AI-Trader策略结论|PM|2026-09-22】信号:HOLD(持有观望),置信度0.60。核心逻辑:菲利普莫里斯股价187.48美元处于高位回调阶段,短期均线(MA5/MA10/MA20/MA50/MA60)全面压制、5日回报-3.79%、MACD柱转负,显示短期动能偏弱;但股价仍站稳MA200(176.11)上方,252日回报+15.74%,长期上升趋势未被破坏,RSI14为50.35处于中性水平,20日支撑181.01未失守,属于趋势内的技术性回调而非反转确认。宏观信号中性分化且无个股新闻催化,方向选择尚不明确。操作建议:已持仓者继续持有并关注181.01支撑位,跌破则考虑减仓;未持仓者不宜急于抄底,等待股价重新站上190一线(均线密集区)或回踩支撑企稳后再行介入。风险提示:若跌破181支撑可能下探176附近,且新闻数据存在约两个月滞后,需警惕遗漏的基本面变化。\"\n}",
"rawEnvelope": {
"choices": [
{
"finish_reason": "stop",
"index": 0,
"logprobs": null,
"message": {
"content": "\n{\n \"signal\": \"HOLD\",\n \"summary\": \"PM(菲利普莫里斯)短期动能转弱但长期上升趋势未破坏,建议持有观望。当前股价187.48美元,位于MA5/MA10/MA20/MA50/MA60之下,短期均线呈压制态势,5日回报-3.79%;但股价仍高于MA200(176.11),252日回报+15.74%,长期趋势完好。RSI14为50.35处于中性区域,MACD柱-0.048仅略偏弱,20日支撑181.01尚未失守。宏观信号中性分化,且无PM个股相关新闻催化,方向不明,宜等待企稳信号。\",\n \"confidence\": 0.6,\n \"evidence\": [\n \"股价187.48美元,低于MA5(190.48)、MA10(189.85)、MA20(189.57)、MA50(189.36)和MA60(188.25),短期均线呈空头排列压制\",\n \"5日回报-3.79%,20日回报-0.40%,短期动能偏弱;但60日回报+4.78%、252日回报+15.74%,中长期趋势仍向上\",\n \"RSI14为50.35,处于中性区域,既未超买也未超卖;MACD柱-0.048,动能仅轻微转弱\",\n \"价格仍高于MA200(176.11)约6.4%,且距20日支撑181.01尚有约3.6%空间,关键支撑未破\",\n \"距52周高点207.76回撤约9.76%,处于高位回调阶段而非趋势反转确认\",\n \"5日/20日成交量比1.15,量能温和放大但未见恐慌性抛售;20日年化波动率20.57%,风险水平中等\",\n \"宏观信号分化(1/5看多),股票类新闻情绪以中性偏多为主,但无PM个股直接新闻,缺乏方向性催化\"\n ],\n \"risks\": [\n \"若跌破20日支撑181.01,可能加速下探MA200(176.11)附近,届时长期趋势支撑将受考验\",\n \"上方189-190区域(MA10/MA20/MA50密集区)构成反弹阻力,突破前反弹空间受限\",\n \"新闻与宏观快照数据截至2026-07-24,相对当前时点存在约两个月的信息滞后,可能遗漏近期基本面变化\",\n \"20日年化波动率约20.6%,过去一年最大回撤-19.3%,持仓需控制仓位与回撤风险\",\n \"距52周高点回撤近10%,若财报或行业消息不及预期,回调可能加深\"\n ],\n \"officialConclusion\": \"【AI-Trader策略结论|PM|2026-09-22】信号:HOLD(持有观望),置信度0.60。核心逻辑:菲利普莫里斯股价187.48美元处于高位回调阶段,短期均线(MA5/MA10/MA20/MA50/MA60)全面压制、5日回报-3.79%、MACD柱转负,显示短期动能偏弱;但股价仍站稳MA200(176.11)上方,252日回报+15.74%,长期上升趋势未被破坏,RSI14为50.35处于中性水平,20日支撑181.01未失守,属于趋势内的技术性回调而非反转确认。宏观信号中性分化且无个股新闻催化,方向选择尚不明确。操作建议:已持仓者继续持有并关注181.01支撑位,跌破则考虑减仓;未持仓者不宜急于抄底,等待股价重新站上190一线(均线密集区)或回踩支撑企稳后再行介入。风险提示:若跌破181支撑可能下探176附近,且新闻数据存在约两个月滞后,需警惕遗漏的基本面变化。\"\n}\n",
"reasoning_content": "Let me analyze the data for PM (Philip Morris International).\n\nKey data points:\n- Price: 187.48 (as of 2026-09-21)\n- MA5: 190.48, MA10: 189.85, MA20: 189.57, MA50: 189.36, MA60: 188.25, MA200: 176.11\n- Price is below MA5, MA10, MA20, MA50, MA60 but above MA200\n- ret1d: 0, ret5d: -3.79%, ret20d: -0.40%, ret60d: +4.78%, ret252d: +15.74%\n- RSI14: 50.35 (neutral)\n- MACD hist: -0.048 (slightly negative)\n- Support 20d: 181.01, Resistance 20d: 196.66\n- 52w high: 207.76, 52w low: 142.11\n- Distance from 52w high: -9.76%\n- Volume ratio 5d/20d: 1.15 (slightly elevated)\n- Volatility 20d annualized: 20.57%\n- Max drawdown 1y: -19.26%\n\nRecent price action: The stock peaked around 207.76 in late July 2026, then pulled back. Recent candles show decline from ~195 (Sep 14) to 187.48 (Sep 21). ret5d is -3.79%.\n\nTechnical picture: Price below short-term MAs (5, 10, 20, 50, 60), above MA200. RSI neutral at 50. MACD slightly negative. Short-term momentum is weak/bearish, but long-term trend still up (above MA200, +15.7% over 252 days).\n\nNews: The AI4Trade overview is dated 2026-07-24, which is about 2 months stale relative to the asOf date (2026-09-22). Macro verdict: neutral. No PM-specific news in the feed.\n\nSignal decision: Short-term momentum is negative (below MAs, negative 5d return, MACD negative), but not strongly bearish — RSI is neutral at 50, price is above MA200 and 20d support (181) is ~3.6% below. The stock is in a pullback within a longer uptrend. Given mixed signals, HOLD seems appropriate with moderate confidence.\n\nConfidence: maybe 0.55-0.6.\n\nEvidence:\n- 股价187.48,低于MA5/MA10/MA20/MA50/MA60,短期均线呈空头排列,5日回报-3.79%\n- 价格仍高于MA200(176.11),252日回报+15.74%,长期趋势未破坏\n- RSI14为50.35,处于中性区域;MACD柱-0.048,动能略偏弱\n- 20日支撑181.01(距现价约+3.6%下方),20日阻力196.66;距52周高点-9.76%\n- 5日/20日成交量比1.15,下跌中量能温和放大\n- 宏观信号中性分化,无PM个股相关新闻\n\nRisks:\n- 若跌破20日支撑181,可能进一步回踩MA200附近\n- 短期均线压制,反弹阻力在189-190区域\n- 新闻数据截至2026-07-24,存在信息滞后风险\n- 20日年化波动率约20.6%,1年最大回撤-19.3%\n\nOfficial conclusion: 综合判断为HOLD,短期动能偏弱但长期趋势完好,建议观望等待企稳信号。\n\nOutput JSON format:\n{\n \"signal\": \"HOLD\",\n \"summary\": \"...\",\n \"confidence\": 0.6,\n \"evidence\": [...],\n \"risks\": [...],\n \"officialConclusion\": \"...\"\n}",
"role": "assistant"
}
}
],
"created": 1790070649,
"id": "0217900705985576baea902239f26d786b4cc818bae24a854a48c",
"model": "glm-5-3-flash",
"service_tier": "default",
"object": "chat.completion",
"usage": {
"completion_tokens": 1717,
"prompt_tokens": 11959,
"total_tokens": 13676,
"prompt_tokens_details": {
"cached_tokens": 0
},
"completion_tokens_details": {
"reasoning_tokens": 862
}
}
}
},
"marketContext": {
"id": "mc_PM_20260922094434_local_job_daily_20260921_PM_kronos_premarket",
"asOf": "2026-09-22T09:44:34.723Z",
"quote": {
"date": "2026-09-21",
"timestamp": 1789997400,
"open": 188,
"high": 188.47999572753906,
"low": 185.83999633789062,
"close": 187.47999572753906,
"volume": 5693200,
"changePct": -0.6043894704483311,
"provider": "Yahoo Finance",
"source": "Yahoo Finance chart API",
"session": "regular_close",
"premarketUnavailable": true,
"premarketError": "No premarket trade found for PM"
},
"dataSources": [
{
"type": "market_data",
"provider": "Yahoo Finance",
"providerKey": "yahoo",
"source": "Yahoo Finance chart API",
"providerOrder": [
"yahoo",
"nasdaq",
"stooq"
],
"failedProviders": [],
"range": "1y",
"observations": 251,
"latestDate": "2026-09-21"
},
{
"type": "market_data",
"provider": "Yahoo Finance",
"providerKey": "yahoo",
"source": "Yahoo Finance chart API",
"interval": "5m",
"latestDate": "2026-09-21",
"latestTimestamp": "2026-09-21T13:30:00.000Z",
"session": "premarket",
"premarketUnavailable": true
}
]
}
}
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。
均线缠绕失守MA20,缩量回调方向未明,评分50,建议观望等企稳。
作者最终结论为观望(HOLD),认为缩量回调属良性整理、抛压有限,但方向未明;同时给出189.40买入触发位与184.50止损位,是条件化的等待立场,非看多或看空。原始报告
daily_stock_analysis Report — PM
Generated at: 2026-09-22T09:45:04.385Z
Decision
HOLD
⚪ Philip Morris International Inc (PM)
2026-09-22 17:51 | 评分: 50 | 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 |
|---|---|---|---|---|---|---|---|---|---|
| 187.48 | 188.62 | 188.00 | 188.48 | 185.84 | -0.94% | -1.14 | 1.40% | 569.32 万股 | 10.67 亿元 |
| 当前价 | 量比 | 换手率 | 行情来源 |
|---|---|---|---|
| 187.48 | N/A | N/A | 降级兜底 |
📌 核心结论
观望: 均线缠绕失守MA20,缩量回调方向未明,观望等企稳
📰 重要信息速览
📊 业绩预期: 财报数据缺失(最近报告期、营收、净利润、ROE均N/A),无法判断业绩预期 💭 舆情情绪: 消息面空白,情绪中性偏谨慎,短期走势由技术面主导
🚨 风险警报:
- 技术面风险:MA5下穿MA10/MA20且股价失守MA20,若185.80前低支撑失守,调整可能加深
- 数据缺失风险:财报、PE/PB估值、筹码结构数据全部缺失,基本面与估值风险无法排查
- 市场风险:美股无涨跌停限制,受美联储政策与美元汇率波动影响,隔夜波动可能放大
✨ 利好催化:
- 量价关系:缩量回调(成交量为昨日0.73倍)显示抛压有限,属良性整理特征
- 技术位安全:乖离率-0.88%,股价贴近MA5,无追高风险,一旦企稳具备反弹基础
🎯 操作点位
| 理想买入点 | 止损位 | 目标位 |
|---|---|---|
| 理想买入点:189.40元附近(放量收复MA20且回踩不破时介入,非当前价位追买) | 止损位:184.50元(有效跌破185.80前低支撑约0.7%即离场,果断执行) | 目标位:第一目标190.10元(MA10压力位),有效突破后看195.00元整数关口 |
💼 持仓建议
- 🆕 空仓者: 空仓者建议:暂不介入。等待两种信号之一:①回踩185.80-186.00前低支撑且缩量止跌,试仓1成;②放量收复MA20(189.40)并站稳,再考虑跟进。信号出现前保持观望。
- 💼 持仓者: 持仓者建议:持股观察,185.80为生命线,有效跌破(收盘低于184.50)坚决减仓止损;反弹至190.10(MA10)附近若滞涨可部分止盈,放量站回190上方则继续持有。
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_PM_20260922094434_local_job_daily_20260921_PM_kronos_premarket
- Data sources: mc_PM_20260922094434_local_job_daily_20260921_PM_kronos_premarket, Configured LLM provider
This is automated stock research, not investment advice.
长期多头结构未破但短线五连阴放量下跌且无基本面证据,买入赔率不足、卖出触发未现,偏谨慎持有。
作者明确给出HOLD(偏谨慎),逻辑为双向条件均未触发:买入R/R仅1.5:1不足,卖出方面RSI中性、182.5支撑未破;并设定182.5止损与190.0-190.5转多触发线,属纪律化的观望立场。原始报告
Vibe-Trading 中文策略报告 — PM
生成时间:2026-09-22T09:47:36.425Z
最终结论
HOLD
中文摘要
报告已完成并归档至跨会话记忆(PM 研究报告 2026-09-22(盘前版))。
核心结论速览:
| 项目 | 内容 |
|---|---|
| 最终决策 | HOLD(持有/观望,偏谨慎) |
| 一句话逻辑 | 长期多头结构未破(252日 +15.74%、MA200 之上 6.5%),但短线 5 连阴放量下跌、均线粘合,且无基本面证据——买入赔率不足(R/R 1.5:1),卖出触发未现(RSI 中性、182.5 支撑未破) |
| 止损线 | 收盘 < 182.5(-2.6%)减仓/止损;收盘 < 176.1(MA200)清仓 |
| 转多触发 | 收盘站回 190.0–190.5 且成交量 ≥ 4.1M |
| 主要风险 | 分配型下跌(量能最大的两根 K 线均为阴线)+ 9/18 放量催化未知 |
| 置信度 | 中低(纯技术面、证据真空) |
如需后续跟进,可以:① 明日盘前复核是否触发 190.0 转多或 182.5 止损条件;② 待统一上下文提供 PM 财报/新闻证据后重估 9/18 放量性质;③ 对比同板块(MO/BTI)做相对强度分析。
原始输入与模型输出
Prompt
请用中文研究 PM: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_PM_20260922094434_local_job_daily_20260921_PM_kronos_premarket
- asOf: 2026-09-22T09:44:34.723Z
- 最新价: 187.47999572753906, 日期: 2026-09-21, 日涨跌: -0.60%
- MA20: 189.5735, MA50: 189.3596, MA200: 176.1148
- 20日收益: -0.40%, 60日收益: 4.78%, 252日收益: 15.74%, RSI14: 50.35
- 最近20根日线: 2026-08-24 close=191.4600 volume=4682800 2026-08-25 close=193.9200 volume=2717000 2026-08-26 close=194.1000 volume=4581800 2026-08-27 close=190.4800 volume=3976700 2026-08-28 close=191.8900 volume=3816800 2026-08-31 close=187.3000 volume=4013900 2026-09-01 close=187.1500 volume=4134000 2026-09-02 close=187.9400 volume=2937400 2026-09-03 close=186.1700 volume=2758300 2026-09-04 close=182.5300 volume=3155400 2026-09-08 close=184.7300 volume=4832800 2026-09-09 close=185.7100 volume=3953300 2026-09-10 close=189.7700 volume=4661600 2026-09-11 close=191.0600 volume=5320900 2026-09-14 close=194.8600 volume=2940700 2026-09-15 close=194.1100 volume=4183600 2026-09-16 close=191.7100 volume=2930900 2026-09-17 close=190.4800 volume=3010600 2026-09-18 close=188.6200 volume=7805700 2026-09-21 close=187.4800 volume=5693200
Vibe-Trading 原始输出
报告已完成并归档至跨会话记忆(PM 研究报告 2026-09-22(盘前版))。
核心结论速览:
| 项目 | 内容 |
|---|---|
| 最终决策 | HOLD(持有/观望,偏谨慎) |
| 一句话逻辑 | 长期多头结构未破(252日 +15.74%、MA200 之上 6.5%),但短线 5 连阴放量下跌、均线粘合,且无基本面证据——买入赔率不足(R/R 1.5:1),卖出触发未现(RSI 中性、182.5 支撑未破) |
| 止损线 | 收盘 < 182.5(-2.6%)减仓/止损;收盘 < 176.1(MA200)清仓 |
| 转多触发 | 收盘站回 190.0–190.5 且成交量 ≥ 4.1M |
| 主要风险 | 分配型下跌(量能最大的两根 K 线均为阴线)+ 9/18 放量催化未知 |
| 置信度 | 中低(纯技术面、证据真空) |
如需后续跟进,可以:① 明日盘前复核是否触发 190.0 转多或 182.5 止损条件;② 待统一上下文提供 PM 财报/新闻证据后重估 9/18 放量性质;③ 对比同板块(MO/BTI)做相对强度分析。
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_PM_20260922094434_local_job_daily_20260921_PM_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。