MyData weekly reports are synced and combined with market data, flash intelligence, macro variables, community views, and RAG materials for daily and weekly macro trend coverage.
今日全球市场呈结构性分化:A股上证全指跌1.18%,中小盘跌幅更深,资金向硬科技(半导体、机器人)集中;NVIDIA逆势涨2.3%强化AI主线;Crypto全线回调(BTC-2.06%、ETH-3.45%);中东地缘风险升级(伊朗导弹)推升避险情绪;A/H股溢价格局正被硬科技龙头率先打破。最大不确定性来自中东冲突演变、美债收益率方向及美联储政策预期。
Read latest dailyThis week's A-share market showed significant structural divergence, with the Shanghai All Share Index declining 1.18% while the memory chip sector surged collectively. Global capital is reconstructing pricing logic for China's core assets, with hard-tech H-shares breaking the long-standing A/H premium paradigm. Escalating Middle East geopolitical conflict (Iran firing missiles at Israel) combined with expectations of a Fed rate hold elevated market risk aversion. The greatest uncertainty lies in how Middle East developments impact energy prices and potential marginal shifts in Fed policy stance.
Read latest weekly过去一周A股市场呈现结构性分化,上证全指收于3,979.7点下跌1.18%,中小盘跌幅更大(-1.39%),但运输板块逆势上涨0.61%。核心主线围绕三大变量:一是中东局势急剧升级——以军监测到伊朗导弹来袭,波斯湾航运受阻加剧,富查伊拉成为原油贸易关键枢纽,全球能源供应链面临重构;二是硬科技资产定价逻辑正在被全球资本重塑,澜起科技、宁德时代、兆易创新等H股对A股溢价频现,打破传统A/H溢价格局;三是存储芯片板块爆发,朗科科技20cm涨停,半导体封测板块活跃。宏观层面,市场预期美联储在当前地缘不确定性下按兵不动维持利率不变。
过去一周A股市场呈现风险偏好收缩与结构性分化并存的特征。上证全指周跌1.18%,权重抗跌而中小盘承压。三大主线并行:中东地缘冲突(以色列-伊朗导弹对峙、波斯湾航运受限)推升能源供应链风险溢价;硬科技定价逻辑重构(H股对A股溢价频现)标志跨境定价拐点;存储芯片、人形机器人、半导体封测板块活跃。美联储按兵不动预期下流动性短期无变。最大不确定性来自中东冲突走向及其对全球风险偏好的冲击。
Over the past week, A-share structural divergence intensified, with the Shanghai All-Share Index down 1.18% and small/mid caps declining more. Core themes focused on hard tech repricing (semiconductor packaging, robotics supply chain, panel cycle) and geopolitical premium (Middle East conflict boosting logistics supply chain). Global capital is restructuring China core asset pricing logic, with hard tech H-shares frequently trading at premiums to A-shares. The greatest uncertainty comes from Israel-Iran missile standoff escalation叠加 with the Fed's观望 period.
过去一周市场呈现明显的结构分化特征:上证全指向下调整约1.18%,中小盘跌幅更深至1.39%,但硬科技龙头率先打破A/H股传统溢价格局,澜起科技、宁德时代等H股对A股溢价频现。存储芯片板块整体走强,朗科科技20cm涨停带动产业链活跃。地缘层面,中东局势升级——以军监测到伊朗导弹来袭、菲律宾监测到海啸波,叠加全国29条河流超警洪水,避险与事件驱动逻辑并行。宏观上,外界普遍预期美联储维持利率不变以应对外部不确定性。资金流数据尚未充分展开,但人气热榜显示京东方A、绿的谐波、长电科技等半导体/面板/机器人方向持续获得关注。最大不确定性来自中东冲突外溢、美联储政策路径以及A股内部主线能否从硬科技向更广泛板块扩散。
机构:开源证券;行业:非白酒;评级:持有;发布日期:2026-05-24。
A-shares declined overall (SSE All-Share -1.18%), with storage chips as the sole strong theme. Geopolitical escalation drove energy supply chain restructuring expectations. Fed hold expectations reinforced, locking global liquidity. HK hard tech stocks broke the A/H premium paradigm, signaling a potential long-term shift in how global capital prices Chinese assets. Key uncertainties: Middle East trajectory and profit-taking pressure after storage chip surge.
The A-share market showed risk appetite contraction today with the Shanghai All-Share falling 1.18% to 3,979.7, but hard tech remained the standout theme—Lv's Harmonic hit 20% limit-up and the memory chip sector exploded. HK tech valuation repair is confirmed with rare H-share premiums over A-shares. Key uncertainties stem from Middle East geopolitics (Iranian missiles, Persian Gulf shipping disruption) and the Fed's expected rate hold.
今日市场处于地缘冲突升级与流动性紧缩预期的双重压力之下。中东局势显著恶化——以军监测到伊朗导弹来袭,波斯湾商船通行骤减,富查伊拉成为关键原油枢纽。美联储按兵不动预期强化,全球流动性收紧压力延续。A股方面,上证全指跌1.18%,但存储芯片板块逆势活跃,朗科科技20cm涨停,绿的谐波涨20%。更值得关注的是全球资本正在重构中国核心资产定价逻辑——硬科技龙头如澜起科技、宁德时代、兆易创新等H股对A股溢价频现,港股科技板块估值修复趋势明确。
Today A-shares weakened overall with SSE All Share down 1.18%, but the memory chip/semiconductor sector saw structural explosion with Longke Technology hitting 20% limit-up. Middle East geopolitical escalation (Iranian missiles, Persian Gulf shipping tensions) became the greatest uncertainty, with capital flowing into defensive sectors. The Fed's hold-rate expectation is clear and banking sector remains resilient. Hong Kong hard tech leaders show H-share premium inversions versus A-shares, as global capital re-prices Chinese core assets.
Today's A-share market shows significant structural divergence: semiconductor packaging and memory chip sectors lead strongly, with Huatian Technology hitting the daily limit at the top of the sentiment rankings, Green Harmonic surging 20%, and JCET, Longke Technology among many active stocks. However, large-cap blue chips remain weak overall, with the SSE All Share Index down 1.18% and SSE Small & Mid Cap down 1.39%, indicating capital concentration in tech sub-sectors. On the geopolitical front, US-Israel strikes on Iran continue to escalate, Strait of Hormuz shipping tensions elevate the strategic importance of Fujairah as an oil hub, and markets expect the Fed to hold rates steady. Meanwhile, global capital is restructuring pricing logic for Chinese core assets, with hard-tech H-shares showing premiums over A-shares for leaders like Montage Technology and CATL.
2026年6月23日,A股整体调整,上证全指跌1.18%,成交7,610亿。存储芯片、机器人等科技板块活跃(朗科科技20cm涨停、绿的谐波20cm涨停)。中东局势升级(以军监测伊朗导弹),避险情绪升温。硬科技H股对A股溢价重构成结构性主线。美联储预期维持利率不变。最大不确定性:中东冲突演变及能源供应链冲击。
趋势日报
今日A股大盘整体调整,上证全指跌1.18%报3979.7点,成交额7610亿,上证中小跌1.39%显示中小盘承压更重。中东局势急剧升级——以军监测到伊朗导弹来袭、波斯湾航运受阻、富查伊拉原油枢纽地位凸显,地缘风险溢价快速推升。资金面呈现结构性分化:半导体显示(京东方A涨4.55%)和机器人零部件(绿的谐波20cm涨停)逆势活跃,存储芯片板块(朗科科技20cm涨停)延续强势。全球资本正在重构中国核心资产定价逻辑,硬科技H股对A股溢价频现,澜起科技、宁德时代、兆易创新等龙头率先打破传统A/H溢价格局。美联储在当前地缘不确定性下预期按兵不动。最大不确定性在于中东冲突演进路径及对全球能源供应链的冲击程度。