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股典钟股票量化交易机器人系统电脑版




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专属专用定制,操作方便,简单易懂,一目了然。
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个性化定制及应用说明
采用大数据计算全自动分析,自动判断大盘及个股处于初生浪或者主升浪及次级浪。
个性化专属专用界面。
专属专用定制,操作方便,简单易懂,一目了然。
采用大数据自动计算,全自动辨识大盘以及个股牛熊。
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个人理念:创新、超越、品牌、责任

创    新:不断创新,做行业较好、较优的产品,服务于社会

超    越:超越梦想,超越自己,向更远更好的目标不断努力

品    牌:重视品牌、实施品牌战略,做行业佼佼者

责    任:为社会、为顾客、为用户提供较优服务

客户**:尊重客户,尊重他人,微笑服务

团队合作:共享共担,平凡人做非凡事,共享成功快乐,共担困难责任

拥抱变化:迎接变化,勇于创新,理性对待,充分沟通,诚意配合

诚    信:诚实正直,言出必践,诚实正直,言行一致

激    情:乐观向上,永不言弃,不断自我激励,努力提升业绩

敬    业:专业执着,精益求精,持续学习,不断完善

  • 几个要素决定涨停股次日能否继续Several factors determine whether the daily limit of stocks can continue the next day

    几个要素决定涨停股次日能否继续Several factors determine whether the daily limit of stocks can continue the next day

    2021-08-02

    涨停的个股第二天到底能不能追啊,得看五个关键点啊,特别是最后一个一定要牢记于心,因为那是主力最不愿意被别人知道的小秘密。
    啊,第一点看成交量,在封涨停板的那一瞬间,成交量是越大越好。那封板成交量大,说明主力封板的意图坚决,但在封板之后。
    成交量它是越小越好,越小就越说明上方的抛压越小,说明大家都看好后市的表现,都不愿意卖,那么后市的想象空间那就大了。那第二点呢。
    看到封板之后的表现。如果封了板之后没有再次开板,而且封单量巨大,小盘股分担在两万手以上,大盘股分担在五万手以上啊这些。
    不是出现连板股的前奏啊,反之,如果说盘中就触及了涨停之后不断被打开。同时呢在打开的过程当中产量不断放大,那这些就不要再看。
    封不住就说明主力的实力它不行。第三点看涨停时间段啊,封板的时间是越早越好啊,十点前的封板比十一点半封板。
    它一定要好一些。下午的一点封板,就比尾盘封板要更好一点。俗话说的好,态度决定一切封板时间的早和晚,也直接反映了主力意图的长远性。
    第四点,看个股是不是当下的热点板块还是非热点的独立性行情。如果客户是热点板块的联动,那么未来连板或者是持续强势表现的可能性。
    越大啊,但是如果说是非热点板块的独立行情,那么大概率会是昙花一现。第五点看换手率啊,换手率越充分就越好。
    小盘股要达到百分之十以上的换手率,大盘股要至少达到百分之五,大量充分的换手就像给这个个股注入更多的新鲜血液。后面。
    他才能走得更远。那看看上面五点涨停板个股,第二天能不能追,想必各位自己心里都有个。
    Whether the daily limit individual stocks can catch up the next day depends on five key points. Especially the last one must be kept in mind, because that is the little secret that the main force least wants to be known by others.
    Ah, the first point is the trading volume. At the moment when the daily limit is closed, the larger the trading volume, the better. The large turnover of the closed board shows that the main force has a firm intention to close the board, but it is after the board is closed.
    The smaller the trading volume, the better, and the smaller it means the lower the selling pressure above it. It means that everyone is optimistic about the performance of the market outlook and is unwilling to sell, so the imagination of the market outlook is bigger. What about the second point.
    See the performance after sealing the board. If the board is not reopened after the board is sealed, and the amount of seals is huge, the small-cap stocks share more than 20,000 lots, and the large-cap stocks share more than 50,000 lots.
    It's not a prelude to even the stocks, on the contrary, if it hits the daily limit, it keeps being opened. At the same time, the output is constantly increasing during the opening process, so don't look at this again.
    If it can't be sealed, it means that the strength of the main force can't work. The third point is the daily limit time period. The sooner the board is closed, the better. The board before ten o'clock is better than the board at half past eleven.
    It must be better. Sealing at one o'clock in the afternoon is better than sealing at the end. As the saying goes, attitude determines the early and late time of all closings, and it directly reflects the long-term intention of the main force.
    The fourth point is to see whether individual stocks are currently hot stocks or non-hot independent markets. If the customer is the linkage of the hot sector, then the future link or the possibility of continued strong performance.
    The bigger it is, but if it is the independent market of non-hot sectors, then the probability will be short-lived. The fifth point is the turnover rate. The more the turnover rate, the better.
    Small-cap stocks must achieve a turnover rate of more than 10%, and large-cap stocks must achieve a turnover rate of at least 5%. A large number of sufficient turnover is like injecting more fresh blood into this stock. Behind.
    He can go further. Then look at the above five-point daily limit stocks, if you can catch up the next day, you must have one in your heart.

  • 交易的战略战术,健康的交易系统必然包含取舍之道Trading strategies and tactics, a healthy trading system inevitably includes choices

    交易的战略战术,健康的交易系统必然包含取舍之道Trading strategies and tactics, a healthy trading system inevitably includes choices

    2021-08-01

    做交易如同行军打仗一样,战场上明智的统领,他会先派遣一支小分队啊深入敌后去试探军情,而不是直接全军压境。
    要想打赢这场仗,仓位的管理就显得尤为的重要。所走的每一步都一定要给自己留一些允许犯错的余地和空间,这样你才能够有进有退。
    才能够在市场当中生存下去。
    优秀的交易系统必然包含取舍,取舍很重要,只取不舍,市场不会给你存活的机会,只是不娶。
    你自己会断绝自己的生路。一个健康具有正向预期收益的交易系统必然包含。
    Trading is like fighting a war with a fellow army. The wise commander on the battlefield will first send a small team to go deep behind the enemy to test the military situation, instead of directly suppressing the whole army.
    To win this battle, position management is particularly important. Every step you take must leave yourself some room and space for making mistakes, so that you can advance and retreat.
    In order to survive in the market.
    A good trading system inevitably includes trade-offs, which are very important. If you only make a decision, the market will not give you a chance to survive, but you will not marry.
    You yourself will cut off your own way of life. A healthy trading system with positive expected returns must include it.

  • 金融的本质The essence of finance

    金融的本质The essence of finance

    2021-07-31

    什么叫做金融,金融叫做中介。这个有钱的人把钱交到你手里,放到有价值的项目上面,你的手上就会有钱。
    钱这叫做金融,所以你没钱,你更要进来,你没钱的人你更要了解金融在玩什么,你才能够从有钱人的身上去。
    去创造价值,分到一点点钱。当很多有钱人相信你的时候,你赚的钱就会非常的多,这就是金融的。
    What is called finance? Finance is called intermediary. This rich person puts the money in your hands and puts it on valuable projects, and you will have money in your hands.
    Money is called finance, so if you have no money, you have to come in. If you have no money, you have to understand what finance is playing, so that you can get from the rich.
    To create value, allocate a little bit of money. When many rich people believe in you, you will make a lot of money. This is financial.
    我的交易系统归纳起来只有四个字,顺势和共振,尽量去简化你的交易系统,这样可以更高效的解决问题。
    My trading system can be summed up in only four words, take advantage of the trend and resonance, try to simplify your trading system, so that you can solve the problem more efficiently.

  • 经典股市日历效应Classic stock market calendar effect

    经典股市日历效应Classic stock market calendar effect

    2021-07-30

    炒股也要看日历,今天和大家分享股市中经典的日历效应,a 股中比较著名的日历效应有春季躁动,二月效应,春节后五穷六绝,七翻身,七上八下。
    金九银十红,周一黑周四招商策略会魔咒、世界杯魔咒等等。日历效应的背后,是经济活动和人类心理活动的集中反应和轮回。
    这些不成文的谚语或规律,虽然不一定百分之一百准确,但在现实股市波动中都能或多或少得到佐证。第一,春季躁动是一种特殊的日历效应。
    指的是股票市场一般在一月至三月会有较大概率的阶段性上涨行情。万德统计显示,春季躁动最早可于十二月开启。
    春节之后,上涨行情有望加强。近十年来,上证综指、中小板指和创业板指在春节后二十个交易日的胜率分别为百分之八十。
    百分之七十和百分之八十平均涨幅分别达百分之七点一八、百分之八点六九和百分之九点一八。春季躁动背后有三大驱动因素。
    一、国内既有十二月中央经济工作会议,又有三月将至的全国两会实质性政策改革利好海外,适逢年末重要节日,地缘政治关系相对缓和。
    二一月底披露年报业绩预告,市场能够形成经济上行的预期,引发资金博弈。三、充裕的流动性,央行为应对节日期间的资金面需求与维稳。
    会在公开市场进行较大力度的流动性投放。流动性是决定春季躁动节奏与表现的核心因素。第二,五,穷六绝,七翻身的说法最早来自香港股市。
    和华尔街的著名古砚三令妹及五月清仓有着异曲同工之妙。股市在每逢五月的时候都会开始跌势,到了六月更会大跌,但到了七月。
    股市会企稳反弹,五穷六绝七翻身的内在逻辑和业绩报告有关。五月、六月是业绩真空期期间,券商机构忙着调研。
    调仓换股。因此通常在五月和六月,a 股市场一般表现相对较为弱势,同时六月份也是银行期中考核时点,流动性趋紧会导致股市进一步下跌。
    等过了年中这个前景阶段后,七月份股市也会逐步回暖。第三,端午节在股市中就变成了跳水节,而且端午节的时间一般在五月底到六月中旬。
    这个时间点和五穷六绝,七翻身刚好重合。统计显示,从二零零八年至今的十二年间,端午节前两天上涨概率只有百分之十六。
    节后五天上涨概率百分之二十都不到。端午节魔咒背后的逻辑和资金的季节性波动有关,一般在六月下旬、月底、二季度末。
    半年末,三者叠加,资金面趋紧,会给股市带来压力。第四,黑色周四效应法定砸盘日以近十年的上证指数为例,a 股黑色星期四并未凭空捏造。
    周四跌幅无论均值中位数都呈现为负值。黑周四的原因可能是t 加一交易规则造成在t 加一规则下,短线投资者周末想钱消费。
    必须周四卖出,次日周五提提取现金,这就导致市场的套现压力都集中在周四。第五红色,周一、红色周一和黑周四刚好相反。
    二者的成因不同,黑色星期四是由制度造成,但红色星期一主要是从资金情绪上造成的。由于国内很多重大的宏观微观政策都在周末发布。
    叠加外盘,欧美股市涨跌因素,资金出于避险考虑,都会卿仓过周末。正所谓手中无仓,心中不慌。等到周一开盘。
    一切利好消息利空消息都会在早盘集中释放。如果消息偏暖,资金会主动补仓推升指数。如果消息偏空,经过周末时间的磨合。
    也消化的差不多了。红周一现象在牛市中出现频率比较高,因为牛市中人们都害怕踏空,恨不得股市天天开门,再加上周末各种媒体机构。
    朋友圈等营造的舆论氛围,很容导致周一开盘红第六月末季末效应,a 股月末效应是指每个月的月底几天都会下跌。
    如果叠加季度末,比如六月份,不仅是二季度末,也是半年末,下跌概率会更大,主因还是流动性问题。目前针对银行主要有两大监管体系。
    其中,对流动性影响最大的是流动性风险指标和m p a 的宏观审慎资本充足率。前者按月报送时点考核,后者按季报送。
    时点考核,所以对流动性产生的影响主要集中在月末和季末。当然心理作用下的负反馈也会加强这种效应。不管是端午节。
    还是月末寂寞。当这些魔咒在人的心里留下阴影之后,只要媒体一报道,流动性紧张,市场就会自发的抛售股票,加剧市场的波动。
    这也表明,古诗不管怎么涨跌,最终还是人活动的结果。如果把人性研究透了,古诗也就不难了。
    Stocks should also look at the calendar. Today, I will share with you the classic calendar effect in the stock market. The more famous calendar effects in a-shares include spring restlessness and February effect.
    Gold, nine silver and ten red, Monday, black and Thursday, the investment strategy conference curse, the World Cup curse and so on. Behind the calendar effect is the concentrated response and reincarnation of economic activities and human psychological activities.
    These unwritten proverbs or laws, although not necessarily 100% accurate, can be more or less corroborated in real stock market fluctuations. First, the spring restlessness is a special calendar effect.
    Refers to the stock market generally has a higher probability of phased rises from January to March. Wanda statistics show that the spring disturbance can start as early as December.
    After the Spring Festival, the rising market is expected to strengthen. In the past ten years, the Shanghai Composite Index, the Small and Medium-Sized Index and the ChiNext Index have won 80% of the 20 trading days after the Spring Festival.
    The average increase of 70% and 80% was 7.18%, 8.69% and 9.18% respectively. There are three major drivers behind the spring turmoil.
    1. In China, there is both the December Central Economic Work Conference and the substantive policy reforms of the National Two Sessions in March that are good for overseas. It coincides with an important holiday at the end of the year, and geopolitical relations are relatively relaxed.
    The annual report performance forecast was released at the end of February, and the market can form expectations of economic growth, triggering a capital game. 3. Sufficient liquidity, the central bank responds to the capital demand during the holiday season and maintains stability.
    Larger liquidity investments will be made in the open market. Liquidity is the core factor that determines the rhythm and performance of the spring restlessness. The second, five, poor, six, and seven stand-up talks originated from the Hong Kong stock market.
    It is similar to the famous ancient inkstone three sisters on Wall Street and May Clearance. The stock market will start to fall every May, and it will fall sharply in June, but in July.
    The stock market will stabilize and rebound, and the inherent logic of turning over the poor is related to the performance report. During the performance vacuum period in May and June, brokerage agencies are busy investigating.
    Relocation and share swap. Therefore, usually in May and June, the a-share market generally performs relatively weakly. At the same time, June is also the time for bank mid-term assessments. Tight liquidity will cause the stock market to fall further.
    After the outlook period in the middle of the year, the stock market will gradually pick up in July. Third, the Dragon Boat Festival has become a diving festival in the stock market, and the Dragon Boat Festival is generally from the end of May to mid-June.
    This time point coincides with the five poor and six unique, seven turn over. Statistics show that in the twelve years from 2008 to the present, the probability of an increase in the two days before the Dragon Boat Festival is only 16%.
    The probability of an increase in the five days after the holiday is less than 20%. The logic behind the Dragon Boat Festival mantra is related to the seasonal fluctuation of funds, generally in late June, the end of the month, and the end of the second quarter.
    At the end of the half year, the three are superimposed and the capital is tight, which will put pressure on the stock market. Fourth, the black Thursday effect statutory hitting day. Taking the Shanghai Stock Exchange index in the past ten years as an example, the a-share Black Thursday was not fabricated out of thin air.
    Regardless of the median of the mean value of the decline on Thursday, the value was negative. The reason for the black Thursday may be that the t plus one trading rule causes short-term investors to want to spend money on weekends under the t plus one rule.
    You must sell on Thursday and withdraw cash on Friday the next day, which leads to the market's cashing pressure on Thursday. The fifth red, Monday, Red Monday and Black Thursday are just the opposite.
    The causes of the two are different. Black Thursday is caused by the system, but Red Monday is mainly caused by financial sentiment. Because many major domestic macro and micro policies are released over the weekend.
    Superimposed on the external market, the European and American stock markets are up and down factors, and funds will be held over the weekend due to risk aversion considerations. As the saying goes, there is no position in the hands, and I don't panic in my heart. Wait until the market opens on Monday.
    All good news and bad news will be released in the morning. If the news is warmer, funds will take the initiative to cover up positions and push up the index. If the news is empty, after the weekend time run-in.
    It's almost digested. The Red Monday phenomenon occurs more frequently in the bull market, because people in the bull market are afraid of running out of the sky and want the stock market to open every day, plus various media organizations on weekends.
    The atmosphere of public opinion created by the circle of friends and others can easily lead to the end of the quarter effect at the end of the sixth month at the opening red on Monday. The month end effect of a-shares refers to the decline at the end of each month.
    If the end of the quarter is superimposed, such as June, not only at the end of the second quarter but also at the end of the half year, the probability of a fall will be even greater. The main reason is liquidity issues. There are currently two major regulatory systems for banks.
    Among them, the biggest impact on liquidity is the liquidity risk index and the macro-prudential capital adequacy ratio of m pa. The former is submitted for assessment on a monthly basis, and the latter is submitted on a quarterly basis.
    Time assessment, so the impact on liquidity is mainly concentrated at the end of the month and the end of the quarter. Of course, the negative feedback under the psychological effect will also strengthen this effect. Whether it is the Dragon Boat Festival.
    Still lonely at the end of the month. When these curses cast a shadow in people's hearts, as soon as the media reports that liquidity is tight, the market will spontaneously sell stocks and increase market volatility.
    This also shows that no matter how the ancient poetry rises or falls, it is ultimately the result of human activities. If you thoroughly study human nature, ancient poetry will not be difficult.

  • 九种典型的盘口语言 Nine typical handicap languages

    九种典型的盘口语言 Nine typical handicap languages

    2021-07-29

    什么是朋友?语言,简单来说就是主力操盘留下的痕迹。那么这些主力操盘主要有哪些形式呢?这里给大家分享九种典型的操盘形式,一收盘前瞬间拉高。
    在收盘前一两分钟,某个标的盘口突然出现一笔大的买单,把价格拉至高位。由于主力资金实力有限,为了节约资金而使价格收盘于较高位置。
    或者说通过尾势突然袭击,瞬间拉高来突破强阻力的关键价位。那么采取尾盘偷袭的手段,由于大多数人尚未反应过来反应过来。
    也是无法卖出的主力,因此达到自己的目的。二、收盘瞬间下达,在收盘前一两分钟突然出现一笔大的卖单,价格降低很多抛出。
    把价格杂志很低的价位,目的第一个呢是使日k 线形成光脚的大阴线或者十字星等难看的图形,使持股者恐慌而达到战仓的目的。
    第二个是为了第二天高开并大涨而跻身涨幅榜,吸引投资者的注意做准备。第三个是操盘手把票低价的卖给自己或是关联人。三。
    瞬间大幅高开,开盘是涨停,或者以很大的涨幅高开瞬间又回落。目的第一个呢是突破关键的价位,主力不想因为红盘而引起其他人的跟风,所以。
    做成了阴线,达到占仓的目的。第二个需求的一种方式。第三个是试盘的动作,看看上方的抛盘是否沉重。四、大幅的低开。
    开盘时跌停或者很大幅度的低开,目的一呢是为了收出大阳线,使图形好看一些,以便于出货。第二个是操盘手把筹码低价的卖给自己。
    他是关联人。五瞬间的大幅拉高盘中涨停,或者以很大幅度一笔拉升,瞬间又回落。目的是试盘,看看上方的抛盘是否。
    重六盘中瞬间大幅的打压,盘中跌停或者以很大跌幅一笔打低瞬间又回升。目的一呢是为了试盘,看看下方接盘的支撑力。
    以及市场的关注度。第二个操盘手把筹码低价卖给自己或者关联人。第三个呢是做出长的下影线,使图形好看,吸引投资者。第四个。
    主力资金不足,抛出部分筹码后,用所得的资金拉升。七、盘中的钓鱼线标的。当日即使走势中开始,基本上保持某一斜率上。
    之后突然直线大幅跳水,形成一根鱼竿及垂钓的鱼线图形,此是为了主力对倒高位并吸引跟风盘后突然降低价位,抛出巨大的卖单琐事。
    此时若接盘不多,主力出不了多少货,主力可能仍然会拉回去,反之则一泻千里。八、盘中长时间无交易,主力权限控盘,或者说大多数筹码。
    在上方在买盘处压上大买单,但长时间没有成交,此举往往为主力资金不足的表现,企图借此吸引散户买入,把价位。
    八高九开盘半个小时,股价变动方向在上涨的趋势中大盘开盘半个小时以内,指数线出现一浪比一浪高的走势,说明买盘非常强劲。
    当天大盘震荡走高的可能性较大,但是如果开盘半个小时的成交量过高,即半个小时的成交量已经超出了前几个交易日全天或者几天的数量。
    则主力拉高出货的可能性就非常大,投资者应该谨慎的应对。在下跌趋势中,大盘开盘半个小时以内,指数线出现一浪比一浪低的走势。
    说明卖盘的实力比较强,当天大盘震荡走低的可能性比较大,如果开盘半个小时内成交量比较大,则说明市场对价格的下跌走势基本认可。
    后市走跌的可能性更大。
    What are friends? Language, in short, is the trace left by the main trader. So what are the main forms of these main traders? Here are nine typical trading forms that will be pulled up immediately before the market closes.
    One or two minutes before the market closed, a large buy order suddenly appeared on a certain target market, which pulled the price to a high level. Due to the limited financial strength of the main force, the price closed at a higher position in order to save money.
    In other words, through a sudden attack from the tail, the key price of strong resistance can be broken by pulling up in an instant. Then take the late-stage sneak attack, because most people have not yet reacted to it.
    It is also the main force that cannot be sold, so it achieves its own goals. 2. The closing was issued instantly, and a big sell order suddenly appeared one or two minutes before the closing, and the price dropped a lot.
    The first purpose of keeping the price of the price magazine at a very low price is to make the daily k-line form an unsightly pattern such as a bare-footed big shadow or a cross star, so that stockholders can panic and achieve the purpose of war.
    The second is to prepare for the next day to open higher and rise sharply to be on the top of the list of gains, attracting investors' attention. The third is that the trader sells tickets to himself or his associates at a low price. three.
    Opens sharply higher in an instant, the opening is the daily limit, or opens higher with a large increase and then falls back in an instant. The first purpose is to break through the key price, the main force does not want to cause others to follow suit because of the red market, so.
    Made a Yinxian, to achieve the purpose of occupying positions. A way of the second requirement. The third is to test the action to see if the sell-off at the top is heavy. Fourth, open substantially lower.
    When the quotation opens, it lowers the limit or opens lower by a large margin. The first purpose is to close the big Yang line, make the graphics look better, and make it easier to ship. The second is that the trader sells his chips to himself at a low price.
    He is an associated person. In five instants, the intraday daily limit was increased sharply, or it rose by a large amount, and then fell back in an instant. The purpose is to test the market and see if there is a sell-off at the top.
    The heavy pressure was severely suppressed in the 6th session, and the intraday limit dropped or beat down with a large drop and rebounded in an instant. The first purpose is to test the plate and see the support of the lower plate.
    And the attention of the market. The second trader sells his chips at a low price to himself or his associates. The third is to make a long lower shadow to make the graphics look good and attract investors. the fourth.
    The main funds are insufficient, and after throwing out some of the chips, the funds obtained are used to pull up. 7. The fishing line mark in the plate. Even if the trend starts on that day, it basically maintains a certain slope.
    Suddenly, he dived sharply in a straight line, forming a fishing rod and fishing line pattern. This is for the main force to reverse the high position and attract the trend to follow the trend, and then suddenly reduce the price, throwing a huge selling order trivial matter.
    At this time, if there are not many orders and the main force cannot deliver much, the main force may still be pulled back, otherwise it will suffer a huge decline. 8. There is no transaction in the market for a long time, and the main authority controls the market, or most of the chips.
    A big buy order was placed at the top of the buying position, but there was no transaction for a long time. This move is often a manifestation of insufficient funds as the main force, in an attempt to attract retail investors to buy and lower the price.
    Eight high and nine opened for half an hour, and the direction of stock price changes was in an upward trend. Within half an hour of the opening of the market, the index line showed a trend of higher wave after wave, indicating that the buying order was very strong.
    It is more likely that the market will fluctuate higher on the day, but if the volume of the opening half an hour is too high, that is, the volume of the half hour has exceeded the number of the entire day or several days of the previous trading days.
    The possibility of the main force pulling up shipments is very high, and investors should respond cautiously. In a downtrend, within half an hour of the opening of the market, the index line showed a trend of lower wave after wave.
    It shows that the strength of the selling order is relatively strong, and the market is more likely to fluctuate and decline on the day. If the trading volume is relatively large within half an hour of opening, it means that the market basically recognizes the downward trend of prices.
    The market outlook is more likely to fall.

  • 股典钟涨停王语音播报资讯:掘金集合竞价Stock code clock daily limit king voice broadcast information: Nuggets call auction

    股典钟涨停王语音播报资讯:掘金集合竞价Stock code clock daily limit king voice broadcast information: Nuggets call auction

    2021-07-28

    股民可以通过观察分时盘口抓到当天盘中的涨停板吗?当然可以,但需要记住,分时盘口的四句经典涨停口诀。
    集合竞价向上推,分时开盘量一大堆。
    白线不破凰之称,主力介入,散户撤退。
    一集合竞价从早盘九点十五分开始。
    第一笔集合竞价高开低开平开无所谓。
    但是截止九点二十五分即可竞价结束。
    集合竞价十分钟时间内观察个股。
    集合竞价的走势图形应当逐渐抬高向上。
    表示呢集合竞价时间多头能量开始增强,这样的话开盘后盘中股价涨停的概率才会增加。
    这是个股的集合竞价涨停战法。
    那么第二。
    九点三十分开盘后。
    分时图中出现黄色成交量数应当连续密集放量,有扎堆的迹象。
    分时图中出现黄色分时成交量数表示呢盘中多方强势。
    而分时图中出现黄色成交的亮柱扎堆儿。
    表示呢盘中大资金介入,推升股价向上推升意愿非常坚决。
    这是分时图中的分时成交量涨停战法。
    那么第三,通过观察分时图中,白色分时线与黄色均价线两条线之间的关系。
    黄色均价线应当向右上方运行,而白色分时线的多数情况下,他应当站在黄色均价线的上方。
    即使盘中s o 分时线偶尔跌破黄色均价线,也应当迅速再次站上黄色均价线,并向上攻击。
    并且。
    当白色分时线在黄色均价线上方向上攻击时,成交量应当出现黄色的量数密集,放量跟随。
    而白色分时线在黄色均价线上方回落时,成交量应当快速萎缩。
    量能书坊有序,这种图形呢是分时图中的。
    分时双线涨停战法。
    那么第四,通过盘口的资金流向分析观察,主力资金流入应当大于主力资金流出。
    汉口显示,主力资金净流入为红色,正流入状态。
    而盘口的散户小单应当显示为绿色流出状态,表示呢散户盘中抛出的筹码正在被大资金主力。
    抢筹介入,那么当天涨停概率同样会提高。
    这是盘口资金流向的涨停战法。
    今天的分时盘口涨停战法,你学会了吗?更多理财干货,欢迎点。
    Can investors catch the intraday daily limit by observing the time-sharing market? Of course you can, but you need to remember the four classic daily limit formulas of the time-sharing market.
    The call auction is pushed up, and there are a lot of time-sharing openings.
    The white line does not break the name of the phoenix, the main force intervenes, and the retail investors retreat.
    A call auction starts at 9:15 in the morning.
    It doesn't matter if the first call auction is opened high and opened low.
    But the bidding can be over as of 9:25.
    Observe individual stocks within ten minutes of call auction.
    The trend graph of call auctions should gradually rise upward.
    It means that the bulls' energy starts to increase during the call auction, so that the probability of the intraday stock price limit will increase after the market opens.
    This is the call-up and cease-fire method for individual stocks.
    Then second.
    It leaves after 9:30.
    The yellow trading volume in the time-sharing chart should be continuously intensively increased, and there are signs of bunching up.
    The yellow time-sharing volume in the time-sharing chart indicates that the market is strong.
    In the time-sharing chart, bright columns with yellow transactions appear piled up.
    It means that large funds have intervened in the market and the willingness to push up the stock price is very firm.
    This is the time-sharing volume increase and cease-fire method in the time-sharing chart.
    Then thirdly, by observing the relationship between the white time-sharing line and the yellow average price line in the time-sharing chart.
    The yellow average price line should run to the upper right, and in most cases of the white time-sharing line, he should stand above the yellow average price line.
    Even if the intraday so time-sharing line occasionally falls below the yellow average price line, it should quickly stand on the yellow average price line again and attack upwards.
    and.
    When the white time-sharing line attacks in the direction of the yellow average price line, the volume should appear dense with yellow volume, and heavy volume will follow.
    When the white time-sharing line falls above the yellow average price line, trading volume should shrink quickly.
    Quantum Bookstore is in order, this kind of graph is in the time-sharing diagram.
    Time-sharing two-line daily truce method.
    Then fourth, through the analysis and observation of the flow of funds in the handicap, the main capital inflow should be greater than the main capital outflow.
    Hankou showed that the net inflow of the main capital is red, and it is in the state of being inflow.
    The retail small orders in the market should be displayed as a green outflow status, indicating that the chips thrown in the retail market are being used by the main force of large funds.
    If you get involved, the daily limit probability will also increase.
    This is the armistice method for the flow of funds in the handicap.
    Today’s time-sharing handicap raises the armistice method, have you learned it? More dry goods for financial management are welcome.

  • 开盘三十分钟抓牛股Catch bull stocks in 30 minutes after opening

    开盘三十分钟抓牛股Catch bull stocks in 30 minutes after opening

    2021-07-27

    通过短线交易赚钱的人会特别留意股票开盘三十分钟内的股价走势。五种情况你一定要了解,学会的话可以帮你抓住牛股。
    首先第一种开盘三十分钟,股价波动始终在百分之一以内,这个说明主力参与意愿不足。这只股票当天很有可能不会有太大的表现。
    你就不用参与了。第二呢,开盘三十分钟,股票先涨后跌,那如果跌了以后呢,是高于开盘价,说明市场是看涨的。
    那如果跌了以后呢,价格是低于开盘价,尾盘还有可能出现大跌的时候,这个时候要特别留意这个股票的风险。
    第三种情况,三十分钟股价先跌后涨,这个时候也分两种情况看,那如果涨了还高过开盘价。
    说明这只股票比较强,你可以去参与。那如果是涨了之后又回落了,而且价格还低于开房价,说明什么呢?比较弱。
    你就不要去碰了。
    第四种情况,开盘三十分钟,股价是先跌后涨再跌,形成了v 字形。这个说明啊主力有出货的意愿。
    金线收盘的概率比较大,五种情况,开盘三十分钟,个股是先涨后跌再涨,呈现v 字型的走势,说明当天。
    买卖双方的分歧是比较大的,但基本呢如果收红的话,可以在当天相对低点来入场。想要了解更多的投资干货。
    Those who make money through short-term trading will pay special attention to the stock price movement within 30 minutes of the opening of the stock market. You must understand the five situations. If you learn, you can help you catch the bull stock.
    First of all, the stock price fluctuates within one percent of the first 30 minutes after opening, which shows that the main players are not willing to participate. It is very likely that this stock will not perform much that day.
    You don't need to participate. Second, the stocks rise first and then fall after the opening 30 minutes. If they fall, they are higher than the opening price, indicating that the market is bullish.
    Then, if the price is lower than the opening price after falling, and there may be a sharp drop in the late trading, you should pay special attention to the risk of this stock at this time.
    In the third situation, the stock price fell first and then rose after 30 minutes. At this time, it can be divided into two situations. If it rises, it is higher than the opening price.
    It shows that this stock is relatively strong and you can participate in it. So if it has risen and then fallen back, and the price is still lower than the opening price, what does it mean? Relatively weak.
    Don't touch it.
    In the fourth scenario, the stock price fell first and then rose and then fell after the opening 30 minutes, forming a V-shape. This shows that the main force has the willingness to ship.
    The probability of the gold line closing is relatively high. In five cases, within 30 minutes of the opening, individual stocks rose first, then fell and then rose, showing a v-shaped trend, indicating that day.
    The differences between buyers and sellers are relatively large, but basically, if the dividend is received, you can enter the market at a relatively low point in the day. Want to know more about investment dry goods.

  • 量比对短线客的重要性The importance of volume comparison to short-term customers

    量比对短线客的重要性The importance of volume comparison to short-term customers

    2021-07-26

    如果你想做短线赚快钱,如果你想知道主力资金的真实动向,那么量比这个指标你必须要搞明白,它会让你。
    如虎天翼量比啊指的是今天股票开盘之后,平均每分钟的成交量对比前五个交易日成交量的一个比例关系。
    量比的数值越大呢,就说明当下对比前几天的交易活跃程度就越高,说明呢主力资金关注程度就越高。那么具体怎么运用呢?
    我们呢用四张图让你轻松的掌握最后一张图,最最重要当量比值在一到一点五之间的时候属于正常水平,可以不用管它。
    当数值达到一点五到二点五之间的时候,就属于温和放量,要引起你的关注。如果这个股票之前是上涨趋势,那就要持续上涨的信号了。
    当量比数值达到二点五到五之间的时候,就属于明显放量,就是要突破上方重要压力位,或者是跌破前期重要支撑位的一个强烈信号。
    这时候该追的要追,该割的要割,当量比数值达到五到十之间的时候就属于放天亮。如果说这时候出现在低位呢,就要马上跟随。
    反之呢在高位呢很有可能是主力在出货,短线见顶的可能性非常大。最重要的一点来了量比值如果说出现。
    极度的缩小达到了零点五以下。那么不管是在高位还是在低位,很有可能是大好事儿。为什么你们说。
    评论区告诉我你们的答案,关注我后期干货,咱们持续退出。
    If you want to make short-term profit, if you want to know the real trend of the main capital, then you must understand the quantitative ratio indicator, it will let you.
    Ruhu Tianyi Volume Ratio refers to the proportional relationship between the average trading volume per minute and the trading volume of the previous five trading days after the stock opens today.
    The larger the value of the volume ratio, the higher the current trading activity compared to the previous few days, and the higher the focus on the main funds. So how do you use it?
    We use four pictures to let you easily grasp the last picture. The most important equivalence ratio is between one and 1.5, which is normal, so you can ignore it.
    When the value reaches between 1.5 and 2.5, it is considered moderate and heavy, and it should arouse your attention. If this stock was in an uptrend before, it must be a signal of continued upswing.
    When the value of the equivalence ratio reaches between 2.5 and 5, it is an obvious heavy volume, that is, to break through the important pressure level above, or a strong signal to break the important support level in the previous period.
    At this time, chase the ones that should be chased, and cut the ones that should be cut. When the equivalence ratio reaches between five and ten, it belongs to the dawn. If it is said to be in the low position at this time, it must be followed immediately.
    On the contrary, it is very likely that the main force is in the high position, and the possibility of short-term peaking is very high. The most important point is the amount ratio, if it appears.
    The extreme reduction reached below 0.5. So whether it is high or low, it is likely to be a good thing. Why do you guys say.
    The comment area tells me your answers, pay attention to my later dry goods, we will continue to withdraw.

  • 买在分岐卖在一致 Buy at the branch and sell at the same

    买在分岐卖在一致 Buy at the branch and sell at the same

    2021-07-25

    买在分歧,卖在一致。我想这应该是短线爱好者听到最经典的操作理念了。当然这也是最难理解的。如何买在分歧。
    又如何迈着一致呢?今天我想通过三个部分来给大家去做一个分享,大家可以点赞点赞收藏,多听几遍。
    第一啊,我觉得分歧跟一致的核心是临界点,分歧是有人看好,有人不看好大家的意见不一致了,不看好的人他会卖出。
    看好的人会买。所以最典型的特征是成交量会明显放大,或者换手率会放大,以致呢。
    一起看涨或者一起看跌。最典型的特征是k 线的实体中到大阳线或者中到大阳线。
    两者观察的角度是有差异化的。
    这里要注意的是,分歧跟一致的核心是临界点。什么是临界点呢?比如说零度到一百度之间,它是液体一百度以上变成水蒸气。
    包走了。
    零度以下是冰,那零个一百就是水的临界点,临界点是事物发生转折的关键点。
    准确的意思说,应该是买在分歧弱转强,卖在一致强转弱。
    第。
    做龙头的弱转强,不要单纯的看图形,因为弱转强从图形来看主要有两种模式,第一种是爆量弱转强。
    第二种是大一线的。
    如果你的核心是看图形,那每天符合这种模式的股票太多了。
    但如果你是做龙头的。
    那你成功概率就会高很多,因为龙头是少数的。
    某一段时间它是唯一性的。
    价值投资之所以能够成功,正是因为他研究的对象是唯一性的,是稀缺性的。
    啊,技术分析相对来说比较难以把握的就是因为它的研究对象是广泛的,没有危险。
    那具体如何来做呢?
    我们继续与新能车板块为例。
    板块启动第一天,十二个涨停板。
    第二天全部连班。
    塞个两连板板块发酵,情绪直接到高潮。
    第三天出现了小的分歧。
    七个三连板。
    但有两个被淘汰了。德论战,长安爆料。
    第四天大分歧,两个是两百。
    板块出现多个跌停,第五天龙头分歧,尾盘仅剩的五连板也出现了炸板,情绪达到冰点。
    第六天呢?
    龙头股跌落赚钱早盘核心的标的啊纷纷低开。
    随后小康的转钱的转钱。
    这就是龙头的弱转强,成功的概率明显要更高一点。因为这是站在板块的角度,那弱转强之后有几种演变的模式呢?
    我们下次出个专题和他去交流一下。
    好,这里要注意的是,我们判断情绪的高低点啊,这里我用了一个数据叫做连板数量。
    连码数量最高的时候,一般就是一致的高潮。比如说心理原则的第二天。
    连板数量最低的时候,就是连板分歧的高潮。这个时候我们看到新闻,这是第五天。
    所以通过连板数量去观察,是不是很有意思呢?
    第三,站在板块来看,地位是很重要的。大部分人会觉得买卖点难不好掌握,不仅仅是短线啊,实际上我觉得这不是大家的错。
    而是我们观察的思路有问题,因为股票是少数的规律,不是多数的规律。大部分股票的买卖点根本就没有规律。
    但是我们恰恰相反,用图形去套股票。
    这里是买点那里是买一点。
    不要求在所有的股票上有效,但要求在有效的股票上更加精确,这就是龙头的理念。
    所以在一个题材炒作的过程当中,在淘汰赛当中,弱势的股票早点卖,因为买卖的规律是不明显的,回撤特别不好控制。
    龙头的规律是比较明显的,技术分析就变得更加有效。
    最后。
    会买的是徒弟,会卖的是师傅。但是对于短线来说恰恰相反。
    我认为会买的才是事故。
    希望通过这次系列的分享,能够让大家有所感悟,感受周期,感受波动。欢迎大家评论区与我交流互动,关注我。
    那你的离龙头更近一点。
    Buy in disagreement, sell in agreement. I think this should be the most classic operating concept that short-term enthusiasts have heard. Of course this is also the most difficult to understand. How to buy in disagreement.
    How do you move forward in unison? Today I want to share with you through three parts. You can like, like and collect, and listen to it a few more times.
    First, I think the core of disagreement and unanimity is the critical point. Disagreement is that some people are optimistic, some people are not optimistic, and everyone’s opinions are inconsistent, and people who are not optimistic will sell.
    Those who are optimistic will buy it. So the most typical feature is that the trading volume will be significantly enlarged, or the turnover rate will be enlarged.
    Bullish together or bearish together. The most typical feature is that the k-line entity is medium-to-dayang line or medium-to-dayang line.
    The two observation angles are different.
    It should be noted here that the core of disagreement and agreement is the tipping point. What is the tipping point? For example, between zero and one hundred degrees, it is a liquid that turns into water vapor over one hundred degrees.
    The bag is gone.
    Below zero is ice, the zero one hundred is the critical point of water, and the critical point is the key point where things turn.
    To be precise, it should be that buying becomes stronger when differences are weak, and selling becomes stronger when they are unanimous.
    NS.
    Do not simply look at the graphics from the weak to the strong as the leader, because from the graphics point of view, there are two main modes, the first is the burst of weak to strong.
    The second type is the big one.
    If your core is to look at graphics, there are too many stocks that fit this pattern every day.
    But if you are the leader.
    Then your probability of success will be much higher, because the leader is in the minority.
    It is unique for a certain period of time.
    The success of value investing is precisely because the object of his research is unique and scarce.
    Ah, technical analysis is relatively difficult to grasp because its research objects are broad and there is no danger.
    How to do it specifically?
    We continue to take the Xinneng car sector as an example.
    On the first day of the start of the sector, there were twelve daily limits.
    All consecutive shifts the next day.
    Put a two-linked plate to ferment, and the mood goes directly to the climax.
    There was a small disagreement on the third day.
    Seven three-link boards.
    But two were eliminated. The German controversy, Changan broke the news.
    On the fourth day, there was a big difference, and the two were two hundred.
    There were multiple limits on the plate, and on the fifth day, the leaders diverged. The remaining five consecutive plates also exploded in the late trading, and the mood reached freezing point.
    How about the sixth day?
    Leading stocks fell to make money in the early trading, the core targets have opened lower.
    Then the transfer of the well-off transfer of the money.
    This is the weaker to stronger leader, and the probability of success is obviously higher. Because this is from the perspective of the sector, how many evolutionary patterns will there be after weak to strong?
    We will have a special topic to communicate with him next time.
    Well, what should be noted here is that we judge the high and low points of emotions. Here I use a data called the number of connected boards.
    When the number of consecutive codes is the highest, it is generally a consistent climax. For example, the second day of psychological principles.
    When the number of connecting boards is the lowest, it is the climax of the differences in connecting boards. At this time we see the news, this is the fifth day.
    So is it interesting to observe the number of connected boards?
    Third, from the perspective of the sector, status is very important. Most people think that trading points are difficult to master, not just short-term, but in fact, I think it's not everyone's fault.
    It is that the thinking we observe is problematic, because stocks are the rule of the minority, not the rule of the majority. The buying and selling points of most stocks are not regular at all.
    But we are on the contrary, using graphics to arbitrage stocks.
    Here is to buy some, there is to buy some.
    It is not required to be effective on all stocks, but it is required to be more precise on effective stocks. This is the philosophy of the leader.
    Therefore, in the course of a subject speculation, in the knockout stage, the weak stocks are sold early, because the law of trading is not obvious, and the retracement is particularly difficult to control.
    The law of the leader is more obvious, and the technical analysis becomes more effective.
    at last.
    Those who can buy are apprentices, and those who can sell are masters. But for the short term, the opposite is true.
    I think it’s accidents that will buy.
    I hope that through the sharing of this series, everyone can feel, feel the cycle, and feel the fluctuations. Welcome everyone in the comment area to interact with me and follow me.
    Then yours is closer to the faucet.

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