Verified Investing 对 $MU 的判断变化

频道资料 →本频道有 2 位标注的说话人:Nancy Pelosi、Wells Fargo共 3 条
2026-09-21
《Markets Poised For Epic Breakout, Oil Falls, Yields Drop, Bitcoin Surges》
MU 预计将上涨至 1150(斐波那契/缺口阻力位),在该水平可能形成做空机会。

我看好 Micron 向上走一波。它今天已经在跳空走高。我关注的是向上走到 1150 这个位置。这也恰好是——也是为什么我喜欢把这个位置当作阻力。如果我们用斐波那契工具,把它往下拉,斐波那契 786 与那个缺口回补几乎完全一致。

所以那将是我对这波上涨的目标位。如果它到了那里,到那时我会考虑做空 Micron。

I like this for a move up on Micron. It's already gapping higher today. I'm looking at a move up here to this 1150 level. This also happens to be and why I like this level as resistance.

If we use our Fibonacci tool and we drag it down, the Fibonacci 786 is almost identical with that gap fill. So that'll be my target level for the move up. And if it gets there, I would consider a short on Micron at that point.

2026-09-20看跌
《A Day Trade, Swing Trade, and Long-Term Hold (SanDisk, Micron, Nike)》
Micron 适合进行波段卖出交易,目标为下跌 11% 至近期缺口回补位,并在 1042 附近的次级阻力位追加资金。

接下来是“Micron”股票。“Micron”,嗯,那是你通过研究识别出的一支箭,对吧?换句话说,这里存在一个潜在不错的波段交易机会。那么,波段交易和日内交易有什么区别?好,我在寻找稍高一点的百分比。

我相信这次下跌不一定只是 1%、2% 或 3%。我在寻找朝着我预期方向的 10% 到 15% 或 20% 的波动。对吧?价格不一定非得直接向下,但它会是一个不错的阻力位。嗯,Micron 给了我们两个很好的例子。

首先,在 1027 处,顶部有一个显著的缺口被回补。这会是日内交易的理想水平。但是,对于长期交易,我喜欢这里大约 1042 处的高枢轴点。还有这里大约 1115 处的这个缺口。

你可以看到它们之间的距离是 11%。那么,我为什么这么做?嗯,首先,我必须解释为什么我喜欢这个卖出中心。Micron 已经反弹,向这个水平移动,这暗示着一次下跌,但如果你在图表上往回滚动,在这次大幅上涨之前,Micron 在几个月内猛烈加速了 300%,对吧?

就几个月。所以,这将是我关于“Micron”的计划。我会从这里开始建立一个潜在的波段卖出头寸,而这将是我的加仓水平,也就是次级阻力位。因为当我们做波段交易时,我不只是在寻找一次快速的下跌。

如果股票走势与我的预期相反,那没关系。我有计划,我发现次级阻力位,大约相差 10%,是我喜欢分配额外资本的地方,大约相差 10%。这是 11% 到 10.5% 的差距。所以,这就是我喜欢用于潜在波段交易的设置,不是吗?

在这种情况下,我认为下跌只会到,你知道,这个在周三、两天前、你知道,三或四天前,也就是两个交易日前被回补的缺口。我认为这非常可能,而且非常容易,你知道,也非常合乎逻辑,大约是从那个水平下跌 11%。

所以,让我们最后看看 Micron 能否实现这一点。

Next is the " Micron" stock. "Micron," well, that's an arrow you identified through research , right? In other words, there is a potentially good opportunity for swing trading here.

Now, what is the difference between swing trading and day trading? Okay, I'm looking for a slightly higher percentage. I believe this decline is not necessarily just one, two, or three percent.

I am looking for a 10 to 15 or 20% move in my likely direction. correct? The price doesn't necessarily have to drop directly down, but it will be a good level of resistance. Well, Micron gives us two good examples of that.

First, at 1027, there is a remarkable gap being filled at the top. This would be an ideal level for day trading . But, for long-term trading, I like the high pivot point here around 1042.

And this gap here around 1115. You can see that the distance between them is 11 %. Now, why am I doing that? Well, first of all , I must explain why I like this sales center. Micron has bounced back with a move towards this level, which suggests a downward move, but if you scroll back on the chart before this big upward move, Micron had accelerated violently by 300 % in what, a few months?

correct? Just a few months . So, this will be my plan regarding "Micron". I will start with a potential swing sell position here, and this will be my add-on level, which is the secondary resistance level.

Because when we trade swings, I'm not just looking for a quick downward move. If the stock moves against my expectations, that's okay. I have a plan and I find that the secondary resistance level, with a difference of approximately 10%, is where I like to distribute my additional capital, with a difference of approximately 10%.

This is a difference of 11% to 10.5%. So, this is the setup I like for potential swing trading, isn't it? In this case, I think the downward move is only to, you know, this gap that was filled on Wednesday, two days ago , you know, three or four days ago, i.e., two trading days ago .

I think this is very likely, and very easy, you know, and very logical, about an 11% drop from that level . So, let's see in the end if Micron can achieve that.

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2026-09-08看涨
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