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I don't know where the landlord is, the left and right dense trapping area, I'm afraid it will be difficult to untie for a long time, Zijin Mining is only a national reserve mineral company, very affected by the trend of gold prices, but because its stock market is too large, so the trend is often not as strong as other ** stocks, but this wave of non-ferrous capital mining is particularly crazy, obviously there is capital speculation, and then go up after the fall is afraid that it is difficult, but now this position has been a little over-falling, if the landlord is in this area of about 8 pieces, it is very realistic to untie, you can hold it temporarilyIf it is too high, it is recommended that the landlord exchange shares for the top.
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This stock belongs to the boss of non-ferrous metals, the fundamentals are good, there is performance support, it is a blue chip stock, and I don't know what price you bought, I guess it should be a bargain after the big fall, many people are in the coal after the big fall, but the recent ** is too unsatisfactory, it is estimated that you don't have much, or take it for the time being, the biggest reason why the non-ferrous metal has not performed in the near future is that there is too much inventory at present, which hinders it**, but according to the current situation, At present, the overstocked inventory should not be exhausted in a short time, I estimate that the nonferrous metals will definitely perform after the year, please be patient and hold shares, don't worry,
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There is support nearby, and it has to fall.
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First, there are so many ****, it is who is in the hands of most of the liquid shares, and who decides.
Second, since it has fallen so much, it is a clear trend, and the trend will not change until the effective bottom pattern is not completed in the process of the trend, that is, before the main force completes the purchase action. That is, you should not enter during this time.
Third, if you only buy the trend before the **, then when the technical situation changes, there are too many technical socks to see the signal and avoid, such as falling below the 2-day low of the volume increase price to a new high in the band, such as falling below the rising trend line, falling below the dry neckline of the finishing platform. Even if it falls below 60 days**, you will not eat this decline if you sell it in 60 days**.
Therefore, if you lose money in investment, don't blame or the company's management, but find the root cause from yourself and correct it, so that you won't suffer the same injury next time you encounter the same thing.
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If you hesitate for any reason, you should also set up a stop loss and a stop loss sign. If the trend is still in a sideways or sideways state, the state of ** should be re-analyzed. Because the reason is in a non-systemic risk state, the current state of the situation needs to be analyzed.
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To set up a good ***, don't blindly make up the position, if you go down the channel, the position can be made up, many large accounts are made up for the death, and according to the trend, you can do T+0 after stabilization, that is, how many shares you have in your hand You buy how much on the same day, the day can be thrown out of the previous stage, so as to make up for the loss of profits.
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Later, there are many ways to unravel. What has not been moving, is that still called a method? 1.
Cost dilution method. The problem is that you have to have funds to operate. 2.
Stop-loss method. According to the current **corresponding set***, the ticket that falls below *** and the trend goes bad is resolutely out. (Agree with the above opinion, you must set ***, otherwise the bear market will fall deeper and deeper.)
Remember 911, right? Who can hold on to a few years of decline? )3.
Throw high and suction low. Remember the box theory? Since there is no ***, you must have held a ticket for a long time.
Then practice makes perfect, you will naturally find the upper and lower boxes, thrown at the top, and connected below. Naturally, it will be unwrapped slowly. 4.
Share exchange. Since **, the ticket has weakened again. Just look for another hot variety to participate in, I believe it will soon make up for your losses.
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in the world. There is nothing to put on the paper, but the pain of parting is the same as the heart of parting, it is impossible.
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Hello, if the allocation is provided by the allocation company, all the allocation companies are like this.
Neither we nor the Baron are allowed to say that the mother is pretending to be a positive.
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Buying up is to buy at a low price and sell it, this is very simple, I don't need to say more. Buying and falling in China refers to doing stock index** and margin trading, but the minimum capital requirement for both of these is 500,000. I'll give you a simple example of buying down, for example, the current pork ** is 15 yuan a catty, I know through analysis or news that pork ** will fall to 10 yuan a pound in the next half a month, I will borrow 10,000 catties of pork from the processing plant (promised to return half a month later) to sell it at 15 yuan a catty, this is 150,000 yuan in my hand, half a month later the pork fell to 10 yuan a pound as I expected, at this time I will buy back 10,000 catties of pork at 10 yuan a catty and return it to the pork processing plant, In this way, I earned 5 yuan for a pound of pork, and I earned 50,000 yuan for 10,000 catties.
Do you understand? (It's not your concern who you borrow from or whether they will lend it to you.) )
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Buying up and buying down refers to bullish or bearish, to put it bluntly, it is expected that after the opening, the market will rise or fall; If it is bullish, then you will buy the option or asset that is rising, and when the time comes, you will earn the spread; Vice versa.
Purchase Steps:
1. Open an account.
2. Go to the designated bank for tripartite depository.
4. Bank-securities transfer.
5. Trading.
When buying**. Click** - Enter ** - Set ** - Fill in the purchase quantity - Click to buy.
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I'm also slowly figuring it out, but I think it's played by rich people. Pay more attention to macro factors and the financial position of that business, especially based on the volume and comprehensive aspects**.
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There is still progress, that is, to add a little conditioning 78
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Selling is also very particular, some don't know how to sell blindly, and some understand that they have to sell. Although it is said that ** is up and down, sometimes he rises for a few months and falls for a few months, and he may not grow as much as he falls. You have to see if it's a real drop or a fake one.
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The master sells in order to reduce costs, if you don't understand, it is recommended that you do long-term, do not do **.
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If it can rise to higher than the ** price, of course, it is to make money. But some** may not be able to rise their own ** price in five years, seven or eight years, such as PetroChina, Western Mining, China COSCO, China Aluminum and so on. Those high points can only be defended.
Once the meat is cut, it is a cash-in loss.
The so-called stop loss is to set a price, **once it reaches this**, no matter what judgment you have on the market outlook, you will decisively stop loss. This is easy to say, but in fact, for ordinary **, the biggest enemy is the stop loss.
As for how to set it up depends on your own operating style, generally** investors recommend setting it at about %. Long-term investors can set it at around %. Very few investors put the stop loss price above 10%.
Because according to normal psychology. If it exceeds 10%, few people are willing to stop loss.
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Qingqing, my heart is crystal clear. How much we miss that our hearts lying in a look are pure, and your intentions are.
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One is holding. If you believe that the price on the day of resumption is significantly undervalued, and at the same time you are optimistic about the future market performance of the stock, and adopt a long-term investment strategy, you can continue to hold it after the resumption of trading, and you do not need to care about the stock price fluctuations on the first day of resumption and beyond.
The second is to sell. There are three opportunities to choose from. They are:
Sell at opening - you can sell all or part of the opening price if you believe that the opening price is higher and has exceeded your expectations; Sell at a high level - investors who feel good about the market and have a high level of operation can sell in batches during the process of stock price rushing; Sell at the end of the market - when the market opens sharply higher, and the intraday price rises sharply, and the price is expected to be much higher than the opening price, there are a large number of profit chips in the stock, including the profit orders held before the suspension, and the profit orders at the opening of the day of the resumption of trading. In particular, the latter has a strong desire to cash out, and generally chooses to sell on the next trading day. In this case, the selling pressure on the next trading day of the resumption of trading** is heavier.
For investors who already hold**, it is a good choice to sell at the end of the first trading day.
The third is to increase positions. If you are fully optimistic about the resumption of trading, investors who believe that there are greater opportunities can also increase their positions appropriately. For the part of the chips that increase the position, you may hold it and sell it after the target price is reached in the future, or you can sell it on the same day by borrowing the "bottom position" when the intraday price is rushed.
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Although it has ended, I checked the message, it may be helpful to you:
2013-06-19] Yongtai Energy (600157): shipped more than 90 million by the two institutions.
Golden Sheep Net. Yongtai Energy announced on Friday evening that its application for mergers and acquisitions was suspended by the China Securities Regulatory Commission (CSRC) for suspected violations of the law and was inspected by the CSRC. According to the announcement, neither the company nor its controlling shareholder has received a notice of being inspected and filed. Another announcement issued on the same day showed that the board of directors voted to terminate the restructuring and promised not to carry out major asset restructuring in the next three months.
In the secondary market, affected by the above news, the stock price fell on the 17th. As of **, there are still 10,000 sell orders at the limit price. According to the fund flow data, the main funds had a net outflow of 47.68 million yuan yesterday.
The transaction return shows that the total shipment of seats of the two institutions is 92.4 million yuan, accounting for 100 million yuan of the total turnover of the stock yesterday, which shows that the bearish attitude of the institution is very resolute. **Although there is also an institution on the list, it only bought 3.28 million yuan.
It should be pointed out that Yongtai Energy fell on the 17th, which hurt many institutions in the first quarter. For example, as of the end of the first quarter, the shareholding of China Universal Growth Focus was 14.36 million shares, and the cost should be at least 9 yuan or more according to the trajectory of Yongtai Energy's stock price. If the shareholding is not moved, only on the 17th, the value of the holding has evaporated 12.35 million yuan.
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He is already at a high level of nearly 50%, and he is almost at the bottom, so he can only hold it and be out.
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This shows that there is a major negative appearance, and it is recommended to go on the high.
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If you buy some **type**, the loss reaches 30%, and you can continue to hold it.
Recently, China** has adjusted sharply, and the Shanghai Composite Index has been adjusted from 5,170 points to 3,000 points. **Type** also substantially **. Now, after a significant adjustment, it has basically been put in place, and the space is limited and can continue to be held.
Introduction: **Type**, also known as **, refers to the investment in **market**, and more than 80 **assets are invested in**.
: More than 60% of the ** assets are invested in **, it is **; **Type**According to the industry of the investment target, it can be divided into various industrial types**.
It is the most important variety, with ** as the investment object, including preferred shares ** and ordinary**. The main function is to pool the small funds of mass investors and invest them in different ** portfolios. It is the main type of investment that is the investment object of **.
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In the past two years, there have been a few people who have bought **** and have not lost money, and you have not bought ** directly, and you have been a lot less!!
2 suggestions for you,1. If you have rich money, you can choose to make up the position, but it is best to choose two, don't put them in a basket, use the method of multiple ratios when making up the position, buy the same amount of ** diluted loss rate when you lose 30%, reduce it to 15%, if it falls to 20% again, dilute the loss rate to 10% when you buy the same amount of **, so that as long as **** 10%, you will return to the capital, and there will be a profit in the rise. However, this is only the strategy under the ** now, because it is close to the bottom area, and it will not be tried at any time.
2.If you don't have the money to cover your position, hold it for a long time, or switch to 2-3 when a big bottom is formed. Because the ** falls slowly, and the rise is slow.
As an old investor who has been in the market for almost 10 years, I hope my advice can be helpful to you. Thank you.
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Net worth that? I'm an old shareholder, listen to me right, next time the high point is thrown away, you only lost 30%, which is very good in this circle, some people only have tens of thousands of 1 million left, I hope your mood can be better, after all, if you don't hold any positions, you don't have to worry about it every day, you can use better energy to work, study and enjoy life, when do you hear that people around you buy **and**make money, you are not too late to enter the market**, rest assured.
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Hello, you want to look at the performance of the **** you hold in the same category, because the past three years have been ****, so 30% is not necessarily not good**. If your ** performance is relatively good, it is recommended that you continue to hold it, and you can appropriately increase a part of the investment to dilute the cost from a low **. **Generally a long-term investment variety, as long as the performance is leading in the same category, you can continue to hold!
No, you can consider changing **, and it is not recommended to participate after redemption at the current point!
Golden Axe**Q&A Network Professional-Real-Time-Authoritative].
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