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If you do a good job in the middle line, there must be a way to operate in the middle line.
Regardless of the method of technical analysis, starting with a daily bottom, this is a daily level position, until the formation of a daily level top exit, this is a daily level position cycle. This completes a mid-line operating cycle.
If, after **, an upward trend is formed, it is only necessary to reduce the period and operate t+0 in the same way. As long as the daily uptrend does not change, theoretically all adjustments in the minute period are opportunities to sell high and buy low. However, do not operate if the period is too small, and do not operate if the rising speed is very fast, because both points may cause a short after throwing.
Generally, there is a certain rule in the middle of the adjustment, for example, the first deep adjustment is a 15-minute top divergence, and the next 15-minute top divergence is likely to be a deep adjustment, so it has operational value.
T+0 is very difficult, involving various factors such as the allocation and use of funds, trend level, adjustment level, target position determination, strength, and general trend of the same period.
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If you do the middle line, you can do the middle line.
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Pyramid addition and subtraction, long and short locking, and cross-position splitting are all T+0 techniques, and there are no too dogmatic books, all of which are empirical. The watchtower owner is flexible.
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The funds are divided into ten. Take advantage of 15 minutes ** overbought and oversold to do t+0.
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It's to throw high and suck low, into a check, when it grows to a certain point, there will be a certain signal on the front, this signal depends on you to find it, first out of a part, and then wait until the end of the ** and then add it in, this is it, there is another one that was done on the same day, you entered yesterday, today find a high point out, and then find a low point in,
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When you do T, you throw high and suck low, and you earn a total of yuan * 50 = 125 yuan, which means that you only earn a total of 125 yuan, and then look at the previous 1000 yuan, 750 yuan when you ship, lose 250 yuan, and then subtract the 125 yuan you earned, isn't it just 125 yuan less! If you don't do this t, you'll lose $250. So, it's right to do t!
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Clearly wrong. First of all, what is T+O, your way is not called T+O, you can only say high throw and low suck. You're not doing it the right way.
Both ** and ** are probabilistic. We're going to do a ** management. For example, if we buy ** for 1000 yuan, we set a *** For example, if he falls by 9 yuan, I will sell.
Prove me in the wrong direction. This is my remaining $900, and then we find that $5 it can't go down, and I set a 10% stop loss at $900**. In this way, the rising dollar is sold.
In this way, our money is more than 1,000 yuan. We're profitable.
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**Buy and sell at least 100 shares, i.e. 1 lot.
The idea is right, do a few more high and low buys, and the cost can continue to fall below the market price to make a profit!
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It is to sell high and buy back at a low price, mainly referring to the short-term analysis chart indicators. The main rising wave is mainly manifested in active trading, the trading volume and turnover rate are at a high level, the stock price is constantly hitting new highs, and the ** is a big yang, and the graph shows a 45-degree or higher angle of pull-up.
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Serve the principle of "sell low and sell high, sell high and buy low".
For example, in the monkey market, **a**:
When you open high or rush high in the morning, you sell a part (don't sell all, leave at least 1 lot), and when it comes down, you buy back the amount you sold, that is, you have completed a T+0 operation.
When you open low in the morning or quickly fall back and probe, you ** part (** set by yourself), and when you rush high, you sell your ** amount of the day, that is, you have completed a T+0 operation.
In fact, the essence is to "sell low and sell high, sell high and buy low" to make the difference.
2.After making a complete T+0, make sure that the number of ** remains the same as before, that is, the number of ** cannot be increased or decreased in the end. 3.
Generally, when doing T+0, review the historical trend, whether the intraday time-sharing fluctuation range is violent (2%-8% range), if it is a loom ** stock (the intraday rise and fall range is maintained), then forget it, it is not much time-consuming and trouble-consuming.
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There must be a position, the position is best not to lose, the position level is larger than the t+0 level, assuming the daily line**you judge about 5-20 days**or**, the first time you return to the 5-day line is about 5 minutes to buy the amount of 200 shares **away from the 5-day line to sell.
The first time I returned to the 10-day line, it was about the 30-minute level, the buy point, the 30-minute level, the amount of 400 shares**, breaking through the 5-day line, staying away from the 5-day line and the 10-day line, and the position that sold the daily line can be judged according to the daily level, or it can be sold according to the 30-minute judgment!
The approximate logical relationship is like this, the specific operation depends on the trend, and there are more influencing factors!
I recommend this book to you: "Zen Teaches You **108 Lessons".
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In the past 9 years, I have gradually realized that I can't do the difficult work of chasing hot spots, so I have mainly tracked the coal sector since last year, and I used to think more about doing band (t+n). Recently, after changing the brokerage with a fee of 10,000 8, I studied T+0. I think staring at a ticket operation is more suitable for most ** than chasing hot spots, because most ** have low levels and less time.
There are several ways to do it around a **: 1. Do the middle line. 2. Make bands back and forth around a ticket.
3. The middle line is full, and T+0 is done every day. A few of my friends chose the idea of doing T every day in the middle line. If you have time to keep an eye on the market, you will do T+0, and when you don't have time, you will hold a full position.
The short method T+0 is to sell ** first, and buy it back on the same day. The round-trip handling fee is 16 thousand, plus the stamp duty of 10,000, the round-trip cost of T+0 is, **intraday**wave and **wave amplitude exceed is often seen, the difference between T a day, it is not difficult to achieve a few successful T times a week. I posted some T+0 trading records I made in this post, hoping that I can hold on for a longer time.
Let's briefly talk about several commonly used T+0 modes: 1. Affected by the external disk or ** good high opening, the high opening will generally have a retracement of yesterday's ** price before 10 o'clock. In particular, most of the higher openings in weak markets will fall back waves.
This is a short T+0 opportunity. 2. Significantly lower opening. Many times due to the influence of the external disk** sharply lower opening, generally after a low opening for a few minutes, there will be 2 waves of upward reverse pumping, which is a long T+0 opportunity.
And the next day after ****, there is a downward confirmation wave after opening low and going down, and after the upward reversal. In this way, if the wave of the big black candle in the morning of the next day is immeasurable, it is a short T+0 opportunity, and it is generally necessary to return to the morning low at noon or afternoon. 3. Pay attention to the measurement head and bottom on the time-sharing.
You have noticed that you have not often seen time-sharing short-term highs in the ** trend, which often corresponds to the volume head. In the ** trend, the time-sharing short-term bottom often corresponds to the volume head.
Briefly talking about my experience, of course, we mainly study the short method T+0.
1. T+0 should not pursue a price difference of more than 1%, the more greedy you are, the easier it is to lose votes.
2. T+0 should generally be recovered within 10 minutes, and it is best to recover it in a time-sharing wave.
3. ** city, weak and easy to do t+0
4. There is a high probability that 3 waves will start to adjust the wave.
5. The core of T+0 is the average price line, the stock price is short when it is far away from the average price line above the average price line, and the stock price is long when it is far away from the average price line below the average price line.
6. The best handling fee for T+0 is less than 10,000 8.
7. T+0 is better than simple holding in the middle line.
8. If you don't want to cut meat, you should often do T+0 to spread the low cost.
9. If you want to do a good job of t+0 multi-study time-sharing charts, look at hundreds of time-sharing charts every day, and study more of the habits of your own votes and the rhythm of relative ** and plates. Look at more than 10,000 pictures, and place an order like a god.
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Let me tell you.
For example, if you buy 2,000 shares when you are 20 yuan, the cost is 20 yuan (not counting the handling fee).
Now the ** suppose is 18 yuan, then you can ** 2000 shares on this day, and when he rises to 19 yuan that day (assum) you sell these 2000 shares.
It stands to reason that you can't sell it on the same day, right, but you have a bottom of 2,000 shares before, so you can sell less than or equal to 2,000 shares. So when you sold 2,000 shares of today's ** when you were 19, did you earn 1 yuan per share, which means that you recovered the cost of 1 yuan on the same day, and you still have 2,000 shares in your hand on this ** ticket, but the cost has been reduced to 19 yuan. This is called T+0, and the band operation reduces costs.
Remember, the share of the day to throw just ** must not exceed the amount you had before, you can throw 1000 at a time, buy 1000 again, and throw again, the amount of each time is not limited. But the total cannot exceed the portion you bought before.
Do you understand?
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Hello, in your case, it is a contrarian operation, trading on the left side, although you earn a little difference, the actual loss has increased. Try to follow the trend and don't buy more and more, even if you make a short difference in **, then the account is still expanding your losses. This mode of operation is generally used by the banker, the more it falls, the more it buys, although the loss expands, but it can get chips at a lower price.
It is difficult to make money when the dealer suppresses and opens a position, otherwise the dealer will not easily get the chips.
If you are operating with the trend, when you are in an uptrend, you sell at a high level, and then make up your position at a low level, keeping the total amount the same as before the last sale, your cost is reduced, so that the operation of the trend will be better. Profits are expanding.
**It is not possible to operate on T+0, you can buy it with funds on the same day, but you can't sell it. It doesn't matter if you buy and then sell the same amount of funds with the remaining funds** or you sell first and then buy, these are all T+1 operations. The former is because there are remaining funds, and the latter is because the ** sold on the same day can be bought again after being converted into money on the account.
Following the trend is the first step, and being able to sell high and buy low in the rising is a step further.
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The significance of T+0 is that there are two fund management strategies here, one is to go out and enter the whole position, such as the cost of 10 yuan 1000 shares, yuan out, and the capital is 10300 (excluding handling fees) to fall back to the yuan, you can buy 1100 shares
The other is to do this with half of the 500 shares, and the other 500 shares as the middle line, the method is the same, but this one is more stable.
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Then it depends on your approach.