【英伟达即将发布业绩 VIX指数的冷静隐含着自满风险】随着英伟达业绩发布临近,VIX指数几乎未显露任何恐慌迹象,目前仅略高于今年低点。这种反差预示,随着今天晚些时候这一重大风险事件的展开,大盘容易受到潜在波动的影响。在过去四次季度财报发布后,该公司股价均下跌。6月和7月发生的两次VIX指数蹿升,恰与英伟达股价的下跌行情同时发生。这表明,如果英伟达晚些时候公布的业绩展望令人失望,市场可能会出现更剧烈的反应。投资者将关注该公司与其最大客户之间关系的指引,一些交易员认为这是风险来源之一。
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