关于黄金、比特币与美股,未来两年的行情预测及技术分析

深潮Published on 2025-11-10Last updated on 2025-11-11

真正的大放水可能要到明年5月特朗普控制美联储之后,类似与20年3月。

作者:半木夏

前言

看过我23年微博中线策略分享的朋友应该记得我的行情预测框架是“周期+流动性(预期)+技术形态”,后来在技术分析这个层面增加了波浪理论之后,周期层面的问题就更加清晰了。经过一年多的磨合之后,现在把波浪理论结合到之前的分析框架所作的预测,在我自己交易日志的记录中,准确率可以超过60%,所以这次想把这里分析框架所形成的对未来两年的行情预测与大家分享。

​​​​1.周期

比特币结束了传统的4年周期,进入了熊市初期,最近很多老牌山寨的爆拉也印证了这一点,每轮比特币牛市结束的时候,老牌山寨都会有一波超级爆拉。但是这次的熊市周期很可能因为美股AI泡沫的到来而大大缩短。

黄金处在新旧货币体系转换的大周期里,在这个转换周期没有结束的时候,黄金会一直上涨,所以黄金这轮回调结束后,可以继续长线持有10年。

美股的周期基本就是美国的债务周期,综合多位经济领域人士的观点,美国的债务周期进入了后期,但还没有结束,因为过热的那几个观察指标还没有出现,同时已经有一些过热的迹象。

这次AI变革一定会产生泡沫吗?几乎是一定的,因为每次重大的技术变革,参与者们都怕错失机会,从而会导致过度的资本开支,甚至大举借债,开始讲故事。

以上构成了对未来两年非常看多的基础。

2.流动性(预期)

流动性方面只看美国的流动性状况。最近因为政府关门和持续的缩表,美国的流动性状况非常紧张,SOFR-RRP利差达到了新冠时期的水平,这可能也是近期美股和比特币下跌的部分原因。所以不看好近期的美股和比特币市场。

但是最近美国政府停摆即将结束,这将改善最近的流动性紧张状况,在这个预期下,市场进行了快速反弹。但这只是改善,构成不了继续牛市的条件。

12月开始美联储将会停止缩表,并很有可能重新开始扩表,这时候美股和比特币的流动性环境会继续改善很多。但这只是流动性回归正常,类似于19年的10月。真正的大放水可能要到明年5月特朗普控制美联储之后,类似与20年3月。

以上构成了近期看市场震荡,中期看市场小幅上行,远期看大涨的基础。

3.技术分析

比特币:

比特币如图处在一个很大级别的4浪调整中(主流看法这个1浪应该是从比特币出现的时候开始算,但是我这里把20年312那天的低点作为1浪起点,因为这不会对后面的分析产生影响,所以就没有更改。),一般4浪会是横向的调整,尤其在2浪是陡直的调整的情况下。这是比特币未来几个月看横向调整的原因,结合周期和流动性中的分析,也不支持比特币有很深的跌幅。

比特币这个熊市周期的低点和下个牛市周期高点的判断见11月3号的微博。

黄金:

如图,黄金处在一个针对10年牛市的回调之中,这种级别的回调很难在两三周之内完成。但同时因为黄金处在新旧货币体系转换的大周期里,有新兴国家央行的持续购买作为支撑,黄金这个回调周期的幅度也不会太大。

因此,回调的0.382位置在3100可以作为极端情况下的目标位。更大的可能性是在3350-3750之间找到回调的终点。如果怕错过黄金下一个10年的上涨,在3750以下就可以直接买入。

美股:

美股的回调不确定性最大,但是在上行周期远没有结束的情况下,逢回调就是买入的机会。

AI的泡沫一定会到来,那一定会破灭吗?这可能是每次技术变革开始阶段的宿命。因为怕错失机会而大举借债和高杠杆并购的企业,在技术变革初期因为市场还不够完善,资本回报可能很低,一旦表现出来,故事可能会开始出现裂痕。这个时候如果美联储再因为过度的流动性导致通胀升高而收紧货币政策的话,泡沫就会破灭。

有几个观察指标可以作为未来泡沫期逃顶的依据:1.天价并购出现。2.通胀抬升,美联储收紧货币政策的预期变得很大。3.只要AI相关的股票就爆涨,估值极度夸张。

当然,并不是出现这些事件的时候就立即卖出,而是要开始警惕,一边享受泡沫的同时一边做好止盈计划。

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