| 忘了谁问我了, 关于tsla er 的信息, 仔细研究了一下, 下面是数据和结论。 
 price since last er, 9.5%
 comments: positive
 recovered from post er loss.
 
 short cover days 3 days: not many,this is not very good.
 comments: neutral
 
 eps:
 last eps: 0.12,有三个季度都是0.12,另外两个0.2,0.33
 comments: positive
 estimated eps,0.04,这是非常低的, 盈利以来,只有两次0.04 est。
 comments: positive
 
 eps beats:
 连续3个季度beat
 过去5个季度,一个持平,4个beat。
 平均beat:16.7%
 comments: positive
 
 revenue,连续7个季度增长。
 连续两个季度miss revenue
 comments: neutral
 
 quarter strength: average.
 comments: neutral.
 
 post er move:
 move second day after last er: -11.3%
 comments: negative, reason for that may be revenue miss.
 一年之内没有连续两个季度 move down。
 5个季度有两个down,三个up。上次是down。
 所以这次up 的机会大, 听起来too naive 是吧?其实上市公司都是要尽量避免连续bad move 的。
 
 trading:
 trading flat at 220 where options exert maximum pain,which is resistance as well as support.
 comments: positive.this is good as it is not priced too high to prevent a move after er.
 
 
 surprise 估计:
 中国销售惊人, 会增加总收入和eps。
 
 
 conclusions:
 projected move after er:>8%
 upside,expect least move >5% from 220. 240 may be reached or broken.
 
 很难说的一部分是tsla究竟花了多烧钱在研发和基础建设上,这个影响eps, 收入一定是增长的,不用担心。
 客观说, 赌大 可能性大于50% 一点,但不多。
 主观来讲我有tsla,所以虽然没有把握赌大, 也得赌。
 
 请大家畅所欲言。
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