資產類別價格/收益聽日7 日下個月下年5 年10年MACD信號MA交叉200日MA趨勢波動率夏普比率股息收益率
S&P 500
SPX
指數
$7,432.97
$7,265.64
-2.25%
$7,179.07
-3.42%
$7,467.55
+0.47%
$7,578.29
+1.96%
$7,947.81
+6.93%
$35,387.91
+376.09%
看涨Golden Cross
Uptrend5.63% above
Moderate34.72%
1.671.89%
NASDAQ Composite
IXIC
指數
$26,270.36
$25,670.32
-2.28%
$24,849.68
-5.41%
$25,280.40
-3.77%
$24,615.94
-6.30%
$25,479.02
-3.01%
$123,154.61
+368.80%
看跌Death Cross
Downtrend3.03% below
Moderate35.05%
1.371.75%
Dow Jones
DJI
指數
$50,009.35
$50,406.42
+0.79%
$51,705.38
+3.39%
$53,756.49
+7.49%
$55,025.27
+10.03%
$58,174.95
+16.33%
$238,261.26
+376.43%
看涨Golden Cross
Uptrend10.70% above
High40.67%
1.782.37%
FTSE 100
FTSE
指數
$10,386.83
$10,553.79
+1.61%
$10,752.50
+3.52%
$11,066.47
+6.54%
$11,640.11
+12.07%
$12,496.76
+20.31%
$47,739.60
+359.62%
看涨Golden Cross
Uptrend14.85% above
Moderate37.28%
1.772.21%
DAX 40
DAX
指數
$24,653.34
$25,066.79
+1.68%
$25,637.59
+3.99%
$26,541.81
+7.66%
$27,182.11
+10.26%
$28,554.10
+15.82%
$113,648.19
+360.98%
看涨Golden Cross
Uptrend10.69% above
Moderate33.64%
1.681.81%
Nikkei 225
N225
指數
$61,684.14
$60,319.89
-2.21%
$61,085.23
-0.97%
$64,840.63
+5.12%
$67,214.29
+8.97%
$73,027.92
+18.39%
$296,021.38
+379.90%
看涨Golden Cross
Uptrend13.33% above
Moderate39.54%
2.292.21%
Hang Seng
HSI
指數
$25,363.46
$25,915.79
+2.18%
$26,214.77
+3.36%
$25,963.98
+2.37%
$26,295.87
+3.68%
$26,119.39
+2.98%
$113,196.21
+346.30%
看涨Golden Cross
Uptrend5.49% above
Moderate35.20%
1.042.16%
CBOE 波動性 Index
VIX
指數
$17.54
$17.94
+2.28%
$18.60
+6.04%
$19.50
+11.17%
$20.51
+16.93%
$22.19
+26.51%
$79.1449
+351.22%
看涨Golden Cross
Uptrend20.57% above
High42.77%
2.052.71%
EURO STOXX 50
SX5E
指數
$5,950.65
$6,046.25
+1.61%
$6,181.04
+3.87%
$6,396.30
+7.49%
$6,630.96
+11.43%
$7,031.63
+18.17%
$26,484.98
+345.08%
看涨Golden Cross
Uptrend15.40% above
Moderate37.16%
2.172.12%
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風險通知: 呢個預測只係提供資訊,唔係財務建議;準確度取決於波動性、流動性、宏觀事件同其他外部因素。

預測升幅最高 每年

1
RUT
Russell 2000
+14.94%
2
NDQ
NASDAQ
+14.43%
3
HSI
Hang Seng
+13.92%
4
S&P
S&P 500
+11.02%

Weakest 下星期 每週

1
RUT
Russell 2000
−1.35%
2
HSI
Hang Seng
−1.16%
3
CAC
CAC 40
−0.73%
4
ASX
ASX 200
−0.50%

熱門交易資產

US Indices
S&P
S&P 500
↑ +0.34%
NDQ
NASDAQ
↑ +0.51%
DJI
Dow Jones
↑ +0.22%
RUT
Russell 2000
↑ +0.18%
European Indices
DAX
DAX 40
↑ +0.42%
FTSE
FTSE 100
↑ +0.15%
CAC
CAC 40
↑ +0.18%
MIB
FTSE MIB
↑ +0.28%
Asia-Pacific Indices
N225
Nikkei 225
↑ +0.36%
HSI
Hang Seng
↓ −0.18%
ASX
ASX 200
↑ +0.19%
KOS
KOSPI
↓ −0.41%

邊個時間框架啱你?

表格每一欄都對應唔同交易風格。
明天
日內交易者
Index futures & options. Scalping ES, NQ, YM on intraday charts.
下星期
波段交易者
Ride earnings seasons, Fed meetings & macro data releases.
下個月
Tactical Allocators
Sector rotation, risk-on/off shifts & seasonal patterns.
下年
Long-Term 投資者
Strategic allocation, dollar-cost averaging & portfolio rebalancing.

運作方式

1

技术分析

200+ indicators, 15 timeframes, breadth data, advance/decline ratios.

2

Macro & Earnings Data

GDP, CPI, NFP, Fed funds rate, corporate earnings, revenue beats.

3

Sentiment & Flows

50K+ sources — fund flows, put/call ratios, VIX, AAII survey, COT data.

重要免责声明

All forecasts are for educational purposes only. Based on historical data with average 68–72% accuracy. Index markets can change at any time.

Not financial advice. Index trading involves substantial risk. Consult a licensed advisor before trading.

NYSE & NASDAQ
Euronext & LSE
50K+ News Sources
Earnings Calendars
央行數據
每小時更新

常见问题解答

How accurate are the index predictions?
68–72% on 24h forecasts, 61–65% weekly. Higher during trending bull/bear regimes, lower during macro shocks, black swans, and VIX spikes.
How often are index forecasts updated?
Every hour during market hours. Extra recalculations within 15 分鐘 after FOMC decisions, jobs reports, CPI releases, or major geopolitical events.
Why is NASDAQ growing faster than Dow Jones?
NASDAQ is tech-heavy (~50% tech/growth). Dow is price-weighted across 30 blue-chips. Different compositions = different growth profiles and risk profiles.
Do you cover stocks, forex and crypto too?
Yes — 150+ U.S. stocks, 50+ forex pairs, major cryptocurrencies, commodities, ETFs, and bonds with the same multi-layer AI model tuned per asset class.
我應該最信邊個時間框架?
Shorter = higher accuracy but smaller moves. Longer = bigger opportunity but more uncertainty. Combine timeframes and check the VIX for market risk context.
呢個係財務建議嗎?
No. Educational only. Index trading involves substantial risk of loss. Always do your own research and consult a licensed financial advisor.

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