CF 技术面偏多,但在约 140 处面临阻力;若突破该位置,可能触发进一步上行。
逐段跳播
这里说的是 CF Industries,一家化肥生产公司,它当然会受到中东局势的影响。那么,你是怎么看待 CF Industries 的?
You've got CF Industries here, a fertilizer uh producer company, which of course is affected by what's happening in the Middle East. So, how are you looking at CF Industries?
是的。所以,我认为这是一只值得关注的股票。他们是全球最大的氮肥产品生产商。当我深入研究这些数字时,我发现 CF Industries 有意思的地方在这里。他们第二季度的销售额是 22 亿美元,而去年同期是 18.9 亿美元。
所以同比增长了 17%。但有意思的是,他们的销量下降了约 15%。这说明,尽管他们卖出的化肥更少、产品更少,收入却仍然上升,因为成本能够上涨,原因是霍尔木兹海峡造成的供应中断。
所以人们仍然需要化肥。农民仍然需要种庄稼,但 CF 能够把价格收得高一点。因此他们能够弥补,不只是弥补,我是说他们的收入从 19 亿美元一路提升到 22 亿美元,这非常可观。这是一大笔钱。
Yeah. So, I think this is an interesting stock to pay attention to. They're the world world's largest producer of nitrogen fertilizer products. When I was digging into the numbers, this is what I found interesting about CF Industries. So their Q2 sales were 2.2 billion versus 1.89 billion. So they were up 17% uh from last year. But what's interesting is their sales volume fell about 15%. So what that tells you is even though they sold less fertilizer or less product revenue was still up because the cost was able to go up because of the disruption due to the straight of her. So people still need fertilizer. Farmers still need to grow their crops but CF was able to charge a little bit more. Uh, so they were able to make up, not just make up, but I mean they that the revenue just kind of boosted up from 1.9 billion to 2.2 billion, which is huge. That's a lot of money.
但有意思的地方在这里。你会想,好吧,如果霍尔木兹海峡开放,油价回落,化肥不再受到干扰,那从技术上讲这对公司是不是坏消息?我不这么认为。我认为,如果他们不得不降价,或者他们维持价格不变——这似乎是疫情之后这里的趋势——那么销量会重新回升,要么抵消他们可能不得不降价的影响,要么如果他们能维持价格不变而销量回升,因为人们消费更多、农民需要更多化肥,我认为这意味着这家公司在收入层面和销量层面都有更多上行空间。
But here's the thing that's interesting about it. You think, okay, if the straight of Hermos opens up, oil goes back down, and fertilizer isn't disrupted, would that technically be bad news for the company? And I don't think so. I think if they have to lower prices or if they keep prices the same, which seems to be the trend here after CO, I think that the volume would pick back up and either offset the fact that they might have to lower prices or if they can keep prices the same and volume picks back up because people are consuming more and farmers need more fertilizer, I think that means more upside from a revenue standpoint and from a sales volume standpoint from this company potentially.
然后从技术上讲,我在这只股票上看到一个反向头肩形态。还有一点杯柄形态。所以我得到了两个潜在的看涨信号。唯一的问题是,这只股票有点被困在 140 附近的历史高点。我知道 Rick 会看一下图表。
所以我想看看这只股票能否突破 140 这个阻力位。如果能突破,我们可能还能看到这只股票再走出一波上涨行情。
And then technically speaking, I'm looking at an inverse head and shoulders on this stock. A little bit of a cup and handle. So I got two potentially bullish signals. The only problem is the stock is kind of trapped at his all-time high around 140. I know Rick's going to take a look at the chart. So I want to see if the stock can break above the 140 resistance level. If it can, we possibly can get another leg and a run higher on this stock.
是的。这里的图表非常有意思。在伊朗战争冲突初期,我们看到了更多的波动,但自仲夏以来,我们在这里看到了一些相当强劲的上行动能,但正如 Jason 所强调的,我们距离那些历史高点不到 4 美元。
那么,Rick,你在这里的技术形态上看到了什么?
Yeah. And a very uh interesting chart here. We saw a lot more volatility near the beginning of the conflict with the war in Iran, but since midsummer, we've seen some pretty strong momentum to the upside here, but as Jason highlighted, we are less than $4 off of those all-time highs. So, Rick, what are you seeing in the technical setup here?
是的,石油产品也是化肥制造的重要投入,不仅如此,它还是一个重要的运输区域,比如他们使用实际的实物天然气和其他产品。总之,14196 是我们在这里看到的最高点日期。这大约就是我们最近见顶的位置,今天这一交易时段也是如此。
我们可以看到,从那些高点出发,我们还有一条向下倾斜的轨迹,连接到这里,而这条线已经被突破了。现在在这个案例中,财报发布后不久,我们在这里大约 110 附近触底。从那里开始,我们形成了这个通道形状,用我们的两条边界线向上倾斜。
底线沿着低点走,复制它,把它放到高点上方。在这个案例中,它匹配得相当不错。今天的蜡烛走势有点意思,因为今天正在形成一个看起来像看跌吞没的蜡烛。所以,我们有一根大阴线,完全吞没了昨天那根较小阳线的实体,也就是开盘和收盘之间的距离。
所以,如果明天我们确实看到进一步的下行跟进,那将确认我们的看跌吞没蜡烛,这可能导致跌破我们通道的下沿。我们还可以看到其他需要留意的水平位。这里、这里和这里的旧高点。那可能是一个接近 130 的支撑区域。
如果我们确实出现下跌,旧高点常常会变成支撑。122 是另一个相对低点。最后大约 110 是我们财报后的低点,我们在这里、也就是通道的起点建立的。接下来我们可以看到我们的移动平均线。
我们有深蓝色的 5 日 EMA,代表一周的指数移动平均线,大约在 136 附近。再往上,如果我们突破通道,我们可以看到我们的 21 日线大约在 130 左右。略低于那个水平。RSI 在 50 中线上方,低于 70 的超买阈值。
绿色趋势线仍然指向向上。所以多头会希望看到进一步收高,以及 RSI 创出与之匹配的新高收盘。那么在这个案例中的成交量分布,我们近期的大部分交易活动都集中在 120 到 128 左右。所以如果我们确实开始走低,那可能又是支撑区域。
Yes, and petroleum products are a major input in manufacturing of fertilizer as well, not just that it's an important uh uh trans transport area too, like they use the actual physical natural gas and other products. Anyway, 14196 was the high point date we saw here. That's about where we topped out uh just uh recently here today's session as well. We can see that we also had a downward sloping uh trajectory here off of those highs connecting here that has been broken. Now in this case shortly after earnings we bottomed out here near about 110. From there we form this channel type shape here uh trending upward with our two uh boundary lines here. the the bottom line going along the lows, duplicate it, put it across the highs. In this case, it matches up decently well. Today's candle activity is kind of interesting because we have what looks like a bearish engulfing candle shaping up today. So, we have a large red candle completely swallowing up the real body, the distance between the opening and the closing of yesterday's smaller green candle here. So if we do get further downside follow through tomorrow that would be confirmatory for our uh bearish engulfing candle that could lead to a breakout to the downside below our channel. So we can also see other horizontal levels to watch out for. Old highs here and here and here. Uh that could be then a supportive area near 130. Old highs can frequently become supportive uh if we do get a downturn. 122 another relative low. And finally around 110 our our post earnings low that we established here at the beginning of our channel. Next we can see our moving averages. We have our 5-day EMA in dark blue our exponential moving average representing one week near about 136. Beyond that if we were to break through our channel we can see our 21day is around 130 or so. A little bit below that level. RSI above the 50 midline below the overbought threshold of 70. Green trend line pointing upward still. So the bulls would want to see a further higher close as well as the RSI making a matching new uh high close. So volume profile in this case most of our recent trading activity comes in here 120 to 128 or so. So that could be the supportive area again if we do start to uh drift lower.
好的 Jason,我们来谈谈你如何交易这一只,作为示例。你在这里具体看的是什么?是的,趋势是你的朋友。股票正在走高。如果杯柄形态、如果反向头肩形态成立,这只股票可能会继续走高。
不过,如果我要在阻力位或潜在阻力位承担一笔交易或风险,我希望有人能和我一起承担一部分风险。所以,我看涨这只股票。我看的是 2027 年 1 月 15 日到期。我会做的是买入 130 行权价的看涨期权。
当时它的价格大约是 20 美元。然后我会卖出 150 行权价的看涨期权,当时它的价格大约是 11 美元。这样就把你的风险从 20 美元降下来。减少了 11。所以你只承担 9 美元的风险。
如果股票在 150 或以上,你基本上可以看到大约 50% 的投资回报。而且时间跨度是 127 天,这还不错。但我喜欢有这个缓冲。我喜欢有人和我一起做这笔交易。如果我必须等下去,那部分时间就转嫁给了他们。
然后显然,如果我们出现一点回调,我通过做这个价差把风险从 20 美元降到 9 美元。所以这就是我会怎么操作。我还会把止损位设在跌破 20 日移动平均线。现在,它一直在回调,并在中短期内从 20 日移动平均线反弹。
如果跌破那条线,我们可能就想赶紧了结这笔交易,承担一点小亏损。
All right Jason let's talk about how you trade this one for example purposes. What are you looking at specifically here? Yeah so you know the trend is your friend. stock is moving higher. If the cup and handle, if the inverse head and shoulders holds to be true, this stock could be going higher. However, it's a little bit, if I'm going to take a trade or a risk at resistance or potential resistance, I want somebody else to take on a little bit of that risk with me. So, I'm bullish the stock. I'm looking at the January 15, 2027 expiration. What I would do is I would buy the 130 strike price call. At the time, it was going for about $20. And then I would sell the 150 strike price call, which at the time was going for about $11. So that brings down your risk from $20. Uh it reduces by 11. So you're only risking $9. If the stock is at or above 150, you're pretty much looking at about a 50% return uh on on your investment here. And you're talking about 127 days in time frame, which is not bad. But I love having that buffer. I love having somebody else in the trade with me. If I have to wait it out, that time portion is passed off to them. And then obviously if we get a little bit of a pullback, I reduce my risk from $20 down to $9 by doing that spread. So that's how I would play this. I would also keep my wrong level for a break below the 20-day moving average. Right now, it's been pulling back and bouncing in the medium to short term off that 20-day moving average. If it breaks that, we might just want to cut this thing short and take a small loss.
他说在等什么
这个频道对 $CF 的历次判断
Schwab Network 在这只股票上只有这一条判断。