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Health is a trend reference from public data only. It says nothing about the account's standing on X; X's own status is authoritative.
| Metric | Today | Yesterday | 7 days | 14 days | 30 days |
|---|---|---|---|---|---|
| Tweet views | ≥ 3,878 | ≥ 268 | ≥ 4,146 | ≥ 4,146 | ≥ 4,146 |
| Posts | 18 | ≥ 1 | ≥ 19 | ≥ 19 | ≥ 19 |
| Replies sent | 39 | ≥ 0 | ≥ 39 | ≥ 39 | ≥ 39 |
| Growth | 0 | — | — | — | — |
| Avg views / post | — | — | — | — | — |
| Top post | ≥ 145 | ≥ 268 | ≥ 268 | ≥ 268 | ≥ 268 |
This page counts only the account's own tweets; retweets are excluded. Avg views / post uses tweets past 24h only. "≥" means the window still holds tweets gathering views / replies, or only part of it was updated (earliest update: 10-05 05:33), so the real value is at least this; "—" means data is incomplete, not zero.
X doesn't publish creator payouts. Paid cycles only show collected figures: "Verified" = checked and entered by us, "Tweet" = the amount the account posted itself (verified), "Reported" = a reviewed user report; nothing collected means "—". "This cycle so far" is an estimate: accounts with a known payout are prorated by day from their latest one (÷ 14 days × days elapsed); others start from their average daily tweet views over the last 14 days (replies included, retweets not), turn that into a full cycle as $16.7 × (views per day)^0.28, and prorate by days elapsed. Fitted on 73 reviewed reports. A ballpark only. Know the real figure? Use "Report revenue" above.
【一图看懂】纳斯达克100指数基金对比图。 如果目的是长期10~20年定投纳指100,不要简单选择最近一年涨幅第一。指数基金真正应该观察的是: 长期跟踪差异 > 跟踪误差 > 综合费率 > 申购额度/便利性 > 单年涨幅。
我在国内有过2笔失败的投资, 第一笔是30万的斐讯路由器(联璧金融)投资,从普惠金融的政策到万众创新,那时候理财收益率大约6-9%,还不如现在的纳指100指数。从2018年暴雷当天早晨提现到现在2026年10月5日,仍然还在提现中。自那时起,我对国内的政策一直持怀疑态度。好事儿轮不到咱普通百姓。 第二笔投资是房产投资,广州房产和深圳房产,深圳还好,广州房产亏损严重。如今出租,短期也不打算卖了。 所以,越努力越幸运,在疫情后,并不准。 …
23只QDII与纳斯达克100相关性对比:谁更偏AI硬件,谁更像美股大科技?③ 广发纳斯达克100与纳指100的近1个月相关性为0.997,与费半为0.773。 景顺长城纳斯达克分别为0.984和0.757。 嘉实美国成长分别为0.932和0.849。 华宝海外科技分别为0.889和0.626。 其中,华宝海外科技的差异尤其明显。 它与纳斯达克100的近1个月相关性达到0.889,而与费城半导体只有0.626。 这意味着近期华宝海外科…
今天的盘面其实非常有意思: 纳指100涨0.56%,而半导体指数反而下跌,光通信又是大面积调整。 这说明今天并不是AI科技股全面上涨,而是资金更加集中在英伟达、微软、Meta这些大市值核心资产,以及西部数据、希捷这种超跌修复方向。 我觉得目前的市场情绪可以概括成一句话: 指数依然很强,资金也敢继续追历史高位,但内部已经明显分化。 如果指数创新高的同时,市场宽度能够重新改善,那会比较健康;如果继续只是少数大科技拉着指数创新高,而半导体、…
23只QDII与纳斯达克100相关性对比:谁更偏AI硬件,谁更像美股大科技?② 华夏移动互联与费半的近1个月相关性为0.972,与纳指100只有0.731。 国富全球科技互联分别为0.972和0.785。 创金合信全球芯片分别为0.947和0.724。 长城全球新能源车分别为0.956和0.706。 浦银安盛分别为0.940和0.746。 这组差异比较明显。 说明上述基金近期净值波动与费城半导体指数的同步程度明显更高,阶段风格更接近半…
By UTC day: the growth title goes to #1 on that day's board, the posts / replies sent / views titles to #1 among the tweets collected that day. Today's entries can still change.