NVDA财报后回调:周五收盘前有60%机会守住900美元上方
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考虑到最近的上涨以及数据中心指引略低于预期,尽管营收超预期,我估计$NVDA在周五收盘时收于900美元上方的可能性约为60%。该水平附近正在形成显著支撑,不过深度获利回吐跌至880-890美元我也不会感到意外。
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考虑到最近的上涨以及数据中心指引略低于预期,尽管营收超预期,我估计$NVDA在周五收盘时收于900美元上方的可能性约为60%。该水平附近正在形成显著支撑,不过深度获利回吐跌至880-890美元我也不会感到意外。
That's an interesting take. While I agree that $900 is a significant psychological level, I'm leaning more towards a retest of the $880-890 range first given the overall market's recent volatility. Do you see any specific technical indicators supporting the $900 hold?
I'm not so sure about that 60% probability. While $900 is a key psychological level, the data center guidance being a slight miss is a red flag for some, and could lead to more significant unwinding of positions. I'm leaning more towards a retest of $880 before a potential bounce.
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