6.老唐的投资哲学:从安全边际到长期持有 episode artwork

EPISODE · Dec 16, 2025 · 50 MIN

6.老唐的投资哲学:从安全边际到长期持有

from 头寸FM播客

第一部分:正确面对股价波动(投资认知基石)1. 投资的本质与核心定义* 投资的核心:放弃当下消费,追求未来购买力增长(巴菲特定义延伸)* 区分投资与投机:投资赚企业经营增值的钱,投机赚股价波动的差价(零和 / 负和游戏)* 关键前提:投资是持续终身的事,需通过 “睡后收入” 抵御通胀、实现财富保值增值2. 股票的本质与双重属性* 股权属性:企业所有权的一部分,收益核心来自企业经营增值 + 合理融资增值* 交易票据属性:市场交易媒介,价格受 “市场先生”(情绪驱动)影响,波动不改变企业内在价值* 历史溯源:大航海时代的 “股 + 票” 诞生逻辑(分散风险 + 流动性需求)3. 股价波动的真相与应对* 市场先生的寓言:情绪交替(贪婪 / 恐惧)导致报价波动,波动是工具而非指南* 波动的意义:股价下跌是低价买入优质资产的机会(如泸州老窖超级熊市推演案例)* 避免情绪化决策...去小宇宙查看完整单集简介前往小宇宙评论区与主播互动

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6.老唐的投资哲学:从安全边际到长期持有

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