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Not yet, this is the way**, there is still a period of time.
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There are many factors that determine ****, and we should analyze it from multiple angles to see if the bull market is coming.
In **, we are accustomed to the situation of **persistence** called a bull market, and the persistence** is called a bear market.
A bull market, also known as a bullish market, refers to a market that is generally bullish and lasts for a long time.
The bear market is characterized by being generally bearish and falling endlessly, which is also known as a bearish market.
After introducing the concept of a bull and bear market, many people may be thinking, is it a bear market or a bull market now?
1. How can you identify a bear market or a bull market?
To determine whether we are in a bear or bull market, we can look at these two aspects, which are fundamental and technical.
First of all, we can understand the market according to the fundamentals, the fundamentals show the operation of the macroeconomy and the operation of listed companies, read the industry research report to know a rough: [**barometer] financial market first-hand information broadcast.
Secondly, starting from the technical side, the relationship between volume and price, the volume ratio and the commission ratio and other indicators, the first combination, etc., can give us a good reference value and make a rough judgment on the market.
For example, if the current bull market is currently a bull market, there are far more people in **** than people in selling, then the amplitude of most of the ** charts is getting bigger and bigger. On the contrary, if the current bear market is a bear market, and there are far more people selling ** than ****, then the trend of most ** charts will be very obvious.
2. How to judge the turning point of the bull and bear market?
If you enter the market at the end of the bull market, it is very likely that you will buy at the high point of the bull market, and then it will be strong, and when the bear market is about to end, it is the best time to enter the market with much easier earnings.
Therefore, as long as we can grasp the turning point of the bear bull, we can buy at a low level and sell at a high level, and the resulting price difference will form our income! There are various ways to judge the turning point of bulls and bears, and it is recommended to use the following inflection point capture artifact to obtain buying and selling opportunities with one click: [AI-assisted decision-making] buying and selling timing capture artifact.
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Looking at the current amount of money, this is true, but it may also be a precursor to a collapse, because the real economy is not ideal.
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Our Guotai Junan's point of view is this, next year's ** will see 3200 points.
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Thirdly, you need to run a simulation before you do the real thing, so that your losses can be minimized.
Fourth, it is necessary to have the basic knowledge of three aspects, and then continuously improve these knowledge in the process of speculation: one is the basic analysis method, the second is the technical analysis method, and the third is the risk analysis method.
Fifth, you should understand that there are still many irregularities in China's current market, so you should also have some technology for China's market, such as the problem and performance of making a bank, and the role and significance of stock evaluation.
Sixth, you should pay attention to both long-term and short-term analysis and investment training, and you can't learn all the financial knowledge just by doing it short.
Finally, you must know that there are some financial knowledge that cannot be learned through China's ** market, so you should step up your efforts to learn other financial knowledge in addition to **, which seems to be of little use to the current **, but it may be an important part of your future livelihood at home and abroad, and achieve huge benefits.
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1. Don't be in a hurry to buy **, don't just want to buy the lowest price, this is unrealistic. The real Larsen lead disturbance**You are the high price** is also good, so buy** rather miss, not to be at fault, not to buy and sell blindly**, it is best to buy the **familiar with the disk**.
2. If you are not familiar with it, you can simulate trading first, be familiar with the nature of stocks, it is best to follow for a day or two, familiar with the operation methods, and you can master the best points.
3. Pay attention to the necessary technical analysis, pay attention to the changes in trading volume and the language of the disk (the situation of the disk buy and sell orders).
4. Try to choose hot spots and appropriate points, so that the stock price can be out of the cost area after the same day. However, from the wishes of the participants, it is desirable to have as little as possible, and it is better to reach the limit, which is one trading day, and if T+0 trading is allowed, the goal is not to have overnight chips on that day. When it is exciting, it is quite difficult to really do a good job, and it requires investors to pay unimaginable energy.
All the gains and profits are all due to their own luck. In general, look at ability, look at eyesight, look at luck.
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Fourth, the general trend: if the day of the sharp fall, the break is even worse, there is a limit do not chase in general, **broken ** on the main force and the psychological impact of the chase plate is also huge, the main force to pull up the determination to weaken accordingly, follow the trend disk also stop chasing up, the main force in the case of no pick-up, often appear the next day helpless immediately ship the phenomenon, so in the ** break the sharp fall when it is best not to chase the limit.
When **in the band**, there are more opportunities for the daily limit, and there are more opportunities overall, so you can be bold in chasing the daily limit; When the ** band is weak, we should be especially careful and try to focus on ST shares, because ST shares and ** may go in reverse, and the other 5% increase will not cause too much selling pressure. If the trend is unclear during the consolidation, it is mainly based on the ** pattern, the morning and evening limit time, and the time-sharing chart performance.
Fifth, the first limit is better, and the reason for the second limit in a row is that the short-term profit plate is too large, and selling pressure may occur. Of course, this is not a certainty, and the leading stocks in the bull market or the stocks with great good news can be exceptional.
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Sharing of opinions and personal opinions.
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Recently, the Shanghai Stock Exchange has not risen a little weirdly, there is no whole plate at the bottom, but it has come out of the feeling of a bull market, and there is not even a decent adjustment in the middle, which directly liberates the upper hedged disk. It's not like my big A style. The technologists were slapped in the face, don't blame them, in fact, this kind of pull up is not in line with the normal ****, so that there is no time to absorb chips at the bottom, and the dealer can't make any money.
Because there are other goals behind this.
Don't listen to the blind analysis of other stock commentators, let's talk about the real reason.
This time it is the national team in **, the goal is to keep foreign exchange assets, and the time to pull up is the beginning of April, which happens to be the time when the United States officially begins the interest rate hike cycle. In the past few years, China has been experiencing high interest rates, so foreign exchange funds have continued to flow in. Forex has been increasing over the past few years.
However, at the beginning of the US interest rate hike cycle, the US dollar exchange rate and US Treasury interest rates both rose, and this is when investing in the US bond market becomes very attractive. That's a risk-free return. At this time, global funds will flow back to the US market.
In fact, it is not only my country that is burning, the global market has either followed the interest rate hike or used other means to resist, such as the yen exchange rate has hit a 20-year low. In the more than ten years of low interest rates, countries have been mired in the quagmire of over-issuance, and it is useless to raise interest rates less, and even the United States is worried about falling into recession and stagflation if it is not careful.
Therefore, it is best not to add ZF for each country, and if you have to add it, you can add it as little as possible, and try to add it in as short a time as possible. Of course, China also has to make a slow use of devaluation means, such as a wave of rapid depreciation before, but if it competes with Japan and India for depreciation, it will immediately repeat the Asian financial turmoil, and the current goal of all countries is to achieve a soft landing as much as possible to avoid falling into stagflation. Moreover, the pool of tools used varies from country to country.
The current situation in our country is also a good choice to pull the first bull wave, note that this is the case of the world's **** bull. You think, the global **** cycle, the scenery here is unique. Capital is all profit-seeking.
As long as it is profitable, foreign capital can be stabilized for a certain period of time for the time being. Plus I smashed it deep enough before to hold out for a while. See if there are any changes in the next few months, or if oil prices fall after the war ends, or if inflation peaks?
That's why the bull is going on at the moment. But it is also impossible to go on forever. When it will end, I don't know.
Because the situation is complicated now, the national team is also taking a step at a time. However, there is an end to the ** tool, and it is not cost-effective to pull it again, so the end has not changed is when the exchange rate continues to depreciate, or when interest rates are raised. In addition, Hong Kong has no means of depreciation, and if it has to raise interest rates, the impact will be even greater.
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Yes, yes, the real bull market is really coming, and at the end of 2022, the big ones are almost ready to get on the bus.
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