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云清91
云清91
·
04-12
牛 大师的视觉
巴菲特出手,发行一笔900亿日元的日债,或用于增持日股
巴菲特出手4月11日,巴菲特旗下的伯克希尔·哈撒韦公司发行了一笔总额900亿日元债券。据悉,此次发行的债券分为六个部分,期限从3年到30年不等。伯克希尔此次债券发售受到市场的高度关注,因为伯克希尔筹集的资金可能被用于增持日本公司的股份。早在2020年,巴菲特在他90岁生日当天宣布,伯克希尔已经收购了日本五大商社每家超过5%的股份。
巴菲特出手,发行一笔900亿日元的日债,或用于增持日股
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云清91
云清91
·
04-04
$特斯拉(TSLA)$
估计未来又是多空双杀的行情
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云清91
云清91
·
04-04
$特斯拉(TSLA)$
还有谁敢抄?
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云清91
云清91
·
04-03
$比亚迪(002594)$
遣散费不给了吗
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云清91
云清91
·
04-03
特斯拉三年估值就值150-200。还需要每年完成20-30%的利润增长,其他都是浮云。
@云清91:
$特斯拉(TSLA)$ 明天会继续吗
$特斯拉(TSLA)$ 明天会继续吗
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云清91
云清91
·
04-03
$特斯拉(TSLA)$
明天会继续吗
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云清91
云清91
·
04-02
$捷普科技(JBL)$
遣散费?
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云清91
云清91
·
04-02
$捷普科技(JBL)$
这是1.5亿遣散费那个捷普吧。
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云清91
云清91
·
03-27
$诺和诺德(NVO)$
空头可以建仓吗
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云清91
云清91
·
03-22
$英伟达(NVDA)$
冲啊 兄弟们
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justify;\"><strong>在市场动荡的背景下,此次债券发售受到市场的高度关注,因为伯克希尔筹集的资金可能被用于增持日本公司的股份。有分析称,随着股价下挫,五大商社的估值都有所回落,伯克希尔未来或将继续增持五大商社股份。</strong></p><p style=\"text-align: justify;\">值得一提的是,在特朗普激进的关税政策搅乱华尔街之际,伯克希尔股价大幅跑赢标普500指数,截至周五收盘,伯克希尔A类股股价年内仍录得15.14%的涨幅,而标普500指数年内跌幅为8.81%。</p><p class=\"t-img-caption\"><img src=\"https://static.tigerbbs.com/383ec98c53219b2b50c56479884bf0c6\" tg-width=\"560\" tg-height=\"240\"/></p><h2 id=\"id_417762853\" style=\"text-align: justify;\">巴菲特出手</h2><p style=\"text-align: justify;\">4月11日,巴菲特旗下的伯克希尔·哈撒韦公司发行了一笔总额900亿日元(约合人民币46亿元)债券。</p><p style=\"text-align: justify;\"><strong>尽管市场大幅波动导致多家日本公司取消债券发售,伯克希尔仍完成了这笔日元交易。彭博汇编的数据显示,这是巴菲特的公司自2019年进入日本市场以来规模最小的日元交易。</strong></p><p style=\"text-align: justify;\">据悉,此次发行的债券分为六个部分,期限从3年到30年不等。</p><p style=\"text-align: justify;\">在伯克希尔发售日元债券之际,美国总统特朗普的关税政策令全球金融市场动荡不安,这导致融资成本全面上升,长期债券供应匮乏。</p><p style=\"text-align: justify;\">此次发行的所有债券收益率溢价均高于伯克希尔去年10月的发行水平,其中3年期债券占据最大份额,收益率溢价为70个基点,远高于此前的49个基点。</p><p style=\"text-align: justify;\">宏利投资管理日本公司信贷研究主管Shunsuke Oshida指出,“一般而言,即使发行人愿意给出市场允许的最高溢价,在当前市场环境下,投资者也未必会买账。他们虽然希望增加敞口,但更愿意等市场稳定后再出手。”</p><p style=\"text-align: justify;\">伯克希尔此次债券发售受到市场的高度关注,因为伯克希尔筹集的资金可能被用于增持日本公司的股份。</p><p style=\"text-align: justify;\">今年3月,伯克希尔增加了对日本五大商社(伊藤忠商事、丸红、三菱商事、三菱商事和住友商事的持股,持股比例均提高了1个百分点以上,持股比例在8.5%至9.8%之间。</p><p style=\"text-align: justify;\">早在2020年,巴菲特在他90岁生日当天宣布,伯克希尔已经收购了日本五大商社每家超过5%的股份。</p><p style=\"text-align: justify;\">截至去年底,伯克希尔对日本五大商社的总投资成本为138亿美元,市场价值达到235亿美元。需要说明的是,伯克希尔是通过发行日元债来购买日股,所以不受汇率浮动的影响。</p><p style=\"text-align: justify;\"><strong>对于在日本的投资,巴菲特表示很喜欢,他预期2025年从日本投资中获得的股息收入将达到约8.12亿美元,而日元债的利息成本约为1.35亿美元。</strong></p><h2 id=\"id_2267990920\" style=\"text-align: justify;\">什么信号?</h2><p style=\"text-align: justify;\">在全球金融市场动荡的背景下,投资者正密切关注巴菲特的融资与投资动向。</p><p style=\"text-align: justify;\">有日本分析人士指出,通过日元债融资实施“借日元买日股”的策略,被市场解读为巴菲特深度布局日本产业的标志性手法,日元债发行规模或将成为判断其加仓力度的风向标。</p><p style=\"text-align: justify;\"><strong>巴菲特今年2月在致股东年度信函中表示,“打算进一步增持日本股票——尤其是五大商社。这五家公司在运营方式上与伯克希尔非常相似,随着时间推移,我们对它们的敬意也不断加深。”</strong></p><p style=\"text-align: justify;\">这番表态不仅提振了市场信心,也吸引了大量海外资本流入日本股市,助推日经225指数和东证指数一度创下历史新高。但截至4月11日收盘,这两大基准指数在2025年均回调超过10%,原因是市场担忧贸易摩擦升级可能拖累全球经济增长。</p><p style=\"text-align: justify;\">日本五大商社的股价也都遭遇了不同程度的下跌,多只股票价格一度跌至去年8月份的低点。</p><p style=\"text-align: justify;\">有分析称,随着股价下挫,五大商社的估值都有所回落,按照巴菲特“别人恐惧我贪婪,别人贪婪我恐惧”的投资风格,此次发行日元债券可能是逆势抄底的信号,伯克希尔未来大概率将继续增持五大商社股份。</p><p style=\"text-align: justify;\">谈及日本五大商社,巴菲特曾表示,当时仅仅翻阅了五大商社的财务报表,便对其极低的股价感到震惊。但随着时间的推移,他发现这五家公司的运营模式与伯克希尔有很多相似的地方,它们在资本配置、管理层能力、对投资者的态度上都表现出色,例如,会在适当的时机增加股息、合理回购股票,且高管薪酬远不如美国同行激进。</p><p style=\"text-align: justify;\">部分寻求避险的投资者认为,伯克希尔吸引人之处在于其庞大的保险帝国具有防御性,加上其无与伦比的资产负债表——截至2024年底公司持有高达3340亿美元的现金储备,创历史新高。</p><p style=\"text-align: justify;\">Ritholtz财富管理公司首席执行官Josh Brown表示,伯克希尔是目前市场上为数不多的、业务不依赖于特朗普不可预测政策的公司之一。</p></body></html>","source":"cszg","collect":0,"html":"<!DOCTYPE html>\n<html>\n<head>\n<meta 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href=https://mp.weixin.qq.com/s/UrLvBLgUtaHycve4VoEs4Q><strong>券商中国</strong></a>\n\n\n</h4>\n\n</header>\n<article>\n<div>\n<p>“股神”巴菲特旗下的伯克希尔刚刚发行了一笔总额900亿日元(约合人民币46亿元)债券。彭博汇编的数据显示,这是巴菲特的公司自2019年进入日本市场以来规模最小的日元交易。在市场动荡的背景下,此次债券发售受到市场的高度关注,因为伯克希尔筹集的资金可能被用于增持日本公司的股份。有分析称,随着股价下挫,五大商社的估值都有所回落,伯克希尔未来或将继续增持五大商社股份。值得一提的是,在特朗普激进的关税政策...</p>\n\n<a href=\"https://mp.weixin.qq.com/s/UrLvBLgUtaHycve4VoEs4Q\">Web Link</a>\n\n</div>\n\n\n</article>\n</div>\n</body>\n</html>\n","type":0,"thumbnail":"https://static.tigerbbs.com/f3ecc14db02762fcb82cdbb76e654301","relate_stocks":{"BRK.A":"伯克希尔"},"source_url":"https://mp.weixin.qq.com/s/UrLvBLgUtaHycve4VoEs4Q","is_english":false,"share_image_url":"https://static.laohu8.com/e9f99090a1c2ed51c021029395664489","article_id":"1165662595","content_text":"“股神”巴菲特旗下的伯克希尔刚刚发行了一笔总额900亿日元(约合人民币46亿元)债券。彭博汇编的数据显示,这是巴菲特的公司自2019年进入日本市场以来规模最小的日元交易。在市场动荡的背景下,此次债券发售受到市场的高度关注,因为伯克希尔筹集的资金可能被用于增持日本公司的股份。有分析称,随着股价下挫,五大商社的估值都有所回落,伯克希尔未来或将继续增持五大商社股份。值得一提的是,在特朗普激进的关税政策搅乱华尔街之际,伯克希尔股价大幅跑赢标普500指数,截至周五收盘,伯克希尔A类股股价年内仍录得15.14%的涨幅,而标普500指数年内跌幅为8.81%。巴菲特出手4月11日,巴菲特旗下的伯克希尔·哈撒韦公司发行了一笔总额900亿日元(约合人民币46亿元)债券。尽管市场大幅波动导致多家日本公司取消债券发售,伯克希尔仍完成了这笔日元交易。彭博汇编的数据显示,这是巴菲特的公司自2019年进入日本市场以来规模最小的日元交易。据悉,此次发行的债券分为六个部分,期限从3年到30年不等。在伯克希尔发售日元债券之际,美国总统特朗普的关税政策令全球金融市场动荡不安,这导致融资成本全面上升,长期债券供应匮乏。此次发行的所有债券收益率溢价均高于伯克希尔去年10月的发行水平,其中3年期债券占据最大份额,收益率溢价为70个基点,远高于此前的49个基点。宏利投资管理日本公司信贷研究主管Shunsuke Oshida指出,“一般而言,即使发行人愿意给出市场允许的最高溢价,在当前市场环境下,投资者也未必会买账。他们虽然希望增加敞口,但更愿意等市场稳定后再出手。”伯克希尔此次债券发售受到市场的高度关注,因为伯克希尔筹集的资金可能被用于增持日本公司的股份。今年3月,伯克希尔增加了对日本五大商社(伊藤忠商事、丸红、三菱商事、三菱商事和住友商事的持股,持股比例均提高了1个百分点以上,持股比例在8.5%至9.8%之间。早在2020年,巴菲特在他90岁生日当天宣布,伯克希尔已经收购了日本五大商社每家超过5%的股份。截至去年底,伯克希尔对日本五大商社的总投资成本为138亿美元,市场价值达到235亿美元。需要说明的是,伯克希尔是通过发行日元债来购买日股,所以不受汇率浮动的影响。对于在日本的投资,巴菲特表示很喜欢,他预期2025年从日本投资中获得的股息收入将达到约8.12亿美元,而日元债的利息成本约为1.35亿美元。什么信号?在全球金融市场动荡的背景下,投资者正密切关注巴菲特的融资与投资动向。有日本分析人士指出,通过日元债融资实施“借日元买日股”的策略,被市场解读为巴菲特深度布局日本产业的标志性手法,日元债发行规模或将成为判断其加仓力度的风向标。巴菲特今年2月在致股东年度信函中表示,“打算进一步增持日本股票——尤其是五大商社。这五家公司在运营方式上与伯克希尔非常相似,随着时间推移,我们对它们的敬意也不断加深。”这番表态不仅提振了市场信心,也吸引了大量海外资本流入日本股市,助推日经225指数和东证指数一度创下历史新高。但截至4月11日收盘,这两大基准指数在2025年均回调超过10%,原因是市场担忧贸易摩擦升级可能拖累全球经济增长。日本五大商社的股价也都遭遇了不同程度的下跌,多只股票价格一度跌至去年8月份的低点。有分析称,随着股价下挫,五大商社的估值都有所回落,按照巴菲特“别人恐惧我贪婪,别人贪婪我恐惧”的投资风格,此次发行日元债券可能是逆势抄底的信号,伯克希尔未来大概率将继续增持五大商社股份。谈及日本五大商社,巴菲特曾表示,当时仅仅翻阅了五大商社的财务报表,便对其极低的股价感到震惊。但随着时间的推移,他发现这五家公司的运营模式与伯克希尔有很多相似的地方,它们在资本配置、管理层能力、对投资者的态度上都表现出色,例如,会在适当的时机增加股息、合理回购股票,且高管薪酬远不如美国同行激进。部分寻求避险的投资者认为,伯克希尔吸引人之处在于其庞大的保险帝国具有防御性,加上其无与伦比的资产负债表——截至2024年底公司持有高达3340亿美元的现金储备,创历史新高。Ritholtz财富管理公司首席执行官Josh 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