Notes
亲爱的,新的一星期开始啦!你有什么新的规划吗?
自从 #Bitget 平台的股币交易功能越来越完善之后,月光最近确定了一件事
2026 年,美股会变成币圈人的主流交易资产之一
Bitget 的链上美股已经支持 200+ 美股资产,用起来是真的省事
而且,手续费低,操作又很顺
也不用海外开户、不用处理复杂的税务
现在已经有 100 万用户在上面交易美股了!
🔗还没有BG账号的宝子,赶紧点击注册:https://t.co/BSPjRBNtdY
同时,用 Bitget 直接就能买美股和 ETF,特别方便
🔗传送门:https://t.co/4oYy39B3R5
这次 @Bitget_zh @BitgetTC 又新上了 98 个资产,阵容很能打
美股主流包含
$TMUS $HD $SOFI $BAC $XOM
中概股则是有
$BILI $PDD $TCOM $NIO $LI $NTES
加上ETF
$TQQQ $SQQQ $USO
最近道琼和标普500 双双新高,从趋势可以看出来,AI + 芯片依然是主线:Google 、美光 、英特尔 继续强
军工、能源、太空也在轮动,例如 $ONDS ,最近直接 +20%
预测一下, 2026年,几个赛道还是很火热
尤其是AI、高端制造、能源转型、高股息 & 低估值的公司
无论你是不是已经在车上,美股这条线,2026 年真的不能缺席呀!




最近美股市场持续火热,道琼斯和标普500指数双双创下历史新高。📈
#Bitget 在这个风口下,通过与Ondo的深度合作,从去年年底上线美股交易后,最近又继续新增 98 个美股和 ETF,总数突破 200 个,而且已经有 100 万用户在平台交易股票了。 @Bitget_zh
以前要买美股,得开美股账户,填各种表格,还要考虑资金进出 、税务等问题,特别麻烦。
现在直接用 USDT 就能直接在Bitget购买代币化的股票,而且开户便利、无税务负担、操作丝滑。
本月还是「美股狂欢月」,股票代币交易限时0手续费。
🌟这次新增的资产覆盖面很广:
• 美国主流公司: $TMUS $HD $SOFI $BAC $XOM
• 中概股: $BILI $PDD $TCOM $NIO $LI $NTES
• ETF:$TQQQ $SQQQ $USO
• 黄金、原油、稀土等大宗商品ETF
对于我这种不想开通各种账户又想参与到多种资产配置的web3用户来说,实在太方便了 !
最近行情那么好,所以宝子们有什么不错的股票或者ETF推荐嘛?!🤔
参与路径我也附在下图了👇:🔗https://t.co/7yp5Q70UW7

#Bitget 美股版图进一步完善,目前支持的美股已超过200个。很显然,你来BG 交易美股的原因是👉开户便利、无税务负担、低费用、操作丝滑!
用户需要什么,Bitget 上什么。这次一口气上了98个新资产,包括中国股民关注度最高的几只中概股:拼多多、携程、蔚来。还有这几年的高成长性躺平之选TQQQ。
美股0手续费活动持续到本月16日,欢迎体验!
MARKET HIGHLIGHTS
TECH, MEDIA & TELECOM
🔸 Big Tech ( $AAPL, $AMZN, $META, $GOOGL, $MSFT, $NVDA): Lower as China imposes 34% tariffs on U.S. goods in response to U.S. tariffs.
🔸 China stocks ( $BABA, $BIDU, $PDD, $JD, $SINA, $NTES): Trading sharply lower.
🔸 EU vs. "X": Possible $1B fine for disinformation law violations.
🔸 Five9 ( $FIVN): Q1 EPS, revenue in line or better than guidance; 4% workforce reduction.
CONSUMER
🔸 Booking Holdings ( $BKNG): Upgraded to Buy (BTIG), target $5,500.
🔸 Guess ( $GES): Q4 adj. EPS $1.48 (est. $1.40), revenue $932.3M (+4.6% y/y, est. $912.3M). Gross margin 44.1% (vs. 45.4%). 2026 revenue forecast +3.9%-6.2%, EPS $1.32-$1.76 (est. $2.07). Alberto Toni named CFO. Plans to close unprofitable stores.
🔸 Kraft Heinz ( $KHC): Downgraded to Sell (Citigroup), target cut to $27 due to sales growth concerns.
ENERGY, INDUSTRIALS & MATERIALS
🔸 ExxonMobil ( $XOM): Q1 earnings impact: Energy products (-$0.3B to -$0.7B), upstream (liquids/gas: $0.0B to -$0.4B), chemicals (-$0.1B to $0.1B), specialty (-$0.3B to -$0.1B).
🔸 Matador Resources ( $MTDR): Selling Eagle Ford assets, board reviewing stock repurchase.
🔸 Shell ( $SHEL): Selling 16.125% Colonial Enterprises stake to Brookfield (BIP) for $1.45B.
FINANCIALS
🔸 Cboe ( $CBOE): Q1 options volume 1.1B contracts, March ADV 18.8M (record).
🔸 Franklin Resources (BEN): March AUM $1.53T (Feb: $1.57T), $4B net outflows.
🔸 Progressive ( $PGR): Downgraded to Neutral (Bank of America), target cut to $287 from $300.
HEALTHCARE
🔸 LifeCore ( $LFCR): Q3 EPS -$0.47 (est. -$0.15), revs $35.2M (est. $33.23M). FY guidance: revs $126.5M-$130M, adj. EBITDA $19M-$21M.
🔸 Simulations Plus ( $SLP): Q2 adj. EPS $0.31 (est. $0.12), revs $22.4M (est. $21.9M). FY guidance: revs $90M-$93M, adj. EPS $1.07-$1.20 (est. $0.47).
🚨 MORNING BID 🚨
🔸 Bumble ( $BMBL):
Q4 rev -4.4% YoY to $261.6M (est. $260.5M).
Q1 guide: $242M-$248M (below $256.9M est.), follows weak MTCH outlook.
🔸 Canadian Tire: Selling Helly Hansen to Kontoor Brands ( $KTB) for C$1.28B ($901.2M).
🔸 IFF ( $IFF):
Q4 adj. EPS $0.97 (est. $0.81), adj. EBITDA $471M (est. $458M) on $2.8B sales (est. $2.677B).
FY guide: sales $10.6B-$10.9B (est. $11.158B), adj. EBITDA $2.0B-$2.15B (est. $2.213B).
🔸 La-Z-Boy ( $LZB):
Q3 adj. EPS $0.68 (in-line), sales $522M (est. $516.54M).
Q4 guide: sales $545M-$565M (est. $565.47M), adj. op margin 8.5%-9.5%.
🔸 Toll Brothers ( $TOL):
Q1 EPS $1.75 (est. $2.04), revs $1.86B (est. $1.906B).
Q2 guide: deliveries 2,500-2,700 units, avg. price $940K-$960K. FY deliveries 11,200-11,600, avg. price $945K-$965K.
🔸 TrueCar ( $TRUE):
Q4 loss (-$0.07) vs. est. (-$0.02), revs $46.2M (est. $47.3M).
Expects Q1 rev growth in high single digits, Q1 adj. EBITDA loss ~$5M, but strong Q2-Q4 outlook w/ growing OEM incentives.
🔸 Wolverine ( $WWW):
Q4 adj. EPS $0.42 (in-line), revs $494.7M (est. $485.74M).
Gross margin up on lower costs, inventory down 35.6% YoY to $241M.
🔸 Devon Energy ( $DVN):
Q4 EPS $1.16 (est. $1.00), revs $4.4B (est. $4.25B). Q4 oil production 398K bpd.
FY25 capex $3.8B-$4.0B (50% to Delaware Basin). FY25 prod. 805K-825K boe/d, Q1 oil 380K-386K bpd.
🔸 EQT Corp. ( $EQT):
Q4 EPS $0.69 (est. $0.49), adj. EBITDA $1.41B (est. $1.2B), revs $1.62B (est. $1.77B).
FY25 FCF $2.6B-$3.3B, net debt ~$7B.
🔸 Magnolia Oil & Gas ( $MGY):
Q4 EPS $0.44 (est. $0.45), adj. EBITDA $235.8M (est. $230.1M), revs $326.6M (est. $325.2M).
FY25 capex $460M-$490M, production +5-7%.
🔸 Matador ( $MTDR):
Q4 EPS $1.83 (est. $1.75); raises div. 25% to $1.25 annually.
Record oil production 99.8K bpd (+32% YoY).
FY25 oil prod. 120K-124K boe/d, nat gas 492M-504M cf/d.
🔸 Occidental ( $OXY):
Q4 EPS $0.80 (est. $0.70), revs $6.76B (est. $7.14B).
Hikes div. 9% to $0.24/share. Q1 prod. 1.37M-1.41M boe/d, FY25 1.385M-1.445M boe/d. Focus on debt reduction.
🔸 Shift4 ( $FOUR):
Acquiring Global Blue (GB) for $7.50/share (15% premium, ~$2.5B EV).
Q4 EPS $1.35 (est. $1.14), revs $887M (est. $1.006B).
FY25 adj. EBITDA guide: $830M-$855M (est. $864.2M).
🔸 Compass ( $COMP):
Q4 loss (-$0.08) vs. est. (-$0.07), revs $1.38B (est. $1.32B).
Q1 revs $1.35B-$1.475B (est. $1.34B), Q1 adj. EBITDA $11M-$25M.
🔸 CoStar ( $CSGP):
Q4 EPS $0.15 (est. $0.23), revs $709M (est. $703M).
FY rev +11% YoY, Q4 net income +13%, EBITDA +43%.
Approved $500M stock buyback.
🔸 XP Inc. ( $XP):
Q4 EPS $2.23 (est. $2.20), revs $4.49B (est. $4.45B).
Adj. ROAE 23.4%, adj. ROTE 29.2%.
🔸 Halozyme ( $HALO):
Q4 EPS $1.06 (est. $1.16), revs $298M (est. $288.2M).
FY25 revs $1.15B-$1.225B (est. $1.188B), adj. EBITDA $755M-$805M (est. $772.4M), adj. EPS $4.95-$5.35 (est. $4.90).
🔸 Penumbra ( $PEN):
Q4 EPS $0.97 (est. $0.90), revs $315.5M (est. $311.5M).
FY25 revs $1.34B-$1.36B (est. $1.362B), gross margin +100bps, op margin 13%-14%.
🔸 Petco ( $WOOF):
Announced three new execs to drive operational improvements, naming Sabrina Simmons as CFO.
🔸 Supernus ( $SUPN):
Shares drop after SPN-820 Phase 2b trial for treatment-resistant depression failed to meet primary endpoint.
🔸 Celanese ( $CE):
Q4 EPS $1.45 (est. $1.20), revs $2.4B (est. $2.36B).
Q1 EPS guide $0.25-$0.50 (est. $1.65) due to non-recurring costs.
Sees continued demand/pricing weakness in key markets.
🔸 Element Solutions ( $ESI):
Q4 EPS $0.35 (in-line), revs $624.2M (est. $595.8M).
🔸 Flowserve ( $FLS):
Q4 EPS $0.70 (est. $0.77), revs $1.18B (est. $1.21B)
bookings $1.2B, adj. gross margin 32.8%. Guides FY sales +5-7% (est. +8.57%)
EPS $3.10-$3.30 (est. $3.25).
🔸 Sonoco ( $SON):
Q4 EPS $1.00 (est. $1.20), revs $1.36B (est. $1.67B).
FY25 EPS $6.00-$6.20 (est. $6.40), adj. EBITDA $1.3B-$1.4B.
🔸 Arista Networks ( $ANET):
Q4 adj. EPS $0.65 (est. $0.57), revs $1.93B (est. $1.904B)
adj. gross margin 64.2%. Guides Q1 revs $1.93B-$1.97B (est. $1.907B)
adj. gross margin ~63%, adj. op margin ~44%.
🔸 Cadence Design Systems ( $CDNS):
Q4 adj. EPS $1.88 (est. $1.82), revs $1.356B (est. $1.35B).
FY25 adj. EPS $6.65-$6.75 (below est. $6.82), revs $5.14B-$5.22B (est. $5.25B)
Q4 op margin 46.0% (vs. 42.9% YoY).
🔸 MicroStrategy ( $MSTR): Offering $2B in convertible bonds due 2030 for general purposes, including Bitcoin acquisition.
🔸 Unisys ( $UIS): Q4 EPS $0.33 (est. $0.30), revs $545.4M (est. $550.93M)
Sees 2025 rev growth 0.5%-2.5%, non-GAAP op margin 6.5%-8.5%.
🔸 NetEase ( $NTES): Fears of unloading all its overseas U.S. game holdings due to rising costs, coinciding with China’s retaliation to U.S. tariffs.
🔸 Waystar ( $WAY): Files to sell 18M shares of common stock.




