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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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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。
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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

  • 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.

  • 牛股启动特征迹象 Signs of the characteristics of the bull stock start

    牛股启动特征迹象 Signs of the characteristics of the bull stock start

    2021-07-24

    很多人抓不到牛股,等牛股走到半山腰或者顶部的时候,才知道是牛股。那么我们怎么买在牛股的起爆前呢,今天这节课我们就讲一讲牛股起爆前的特征。
    一、均线粘合,各周期的均线都基本粘合在一起,如五日均线、十日均线、二十日均线和三十日均线,这些短周期均线都基本粘合在一起。
    大周期均线六十一百二十日均线可以不粘合,这种均线粘合说明投资者的意见已经统一,股票开始积累了强大的做多动能。
    二、碎步k 线股票均线联合,而k 线并没有出现徜徉或常阴的大波动,而是小阴、小阳或十字星持续攀升,也可能是盘整。
    这说明该股主力正在建仓之后,一旦出现一根放量长阳线,那么后面将会加速上攻,进入主升行情。三、连续地量。
    如果一只股票经历过一波调整后,连续几天出现连续地量的平台整理动作,这时候你就需要开始关注了之后放量就代表该股很快将启动。
    是极佳的短线和中线行情力量是一个调整结束的标志,力量代表投资者对该股的分歧较小,股价很容易因新的买盘推动而上升。
    四、旭日徜徉在股票维持连续性的力量,低位震荡整理之后,突然有一天出现徜徉放量突破箱体,这时候就说明主力建仓完毕。
    之后股票将要进入主升阶段,五二段加速,当个股出现放量长阳突破后,往往会出现调整或洗盘动作,其表现可谓上下震荡或横盘震荡。
    之后股票将进入二段加速阶段,这时候该股正处于一波主升行情当中,之后每一次回收形成力量都属于买点或加仓点。
    喜欢的伙伴们点赞加关注,后期带来更。
    Many people can't catch bull stocks, and they only know that they are bull stocks when they reach halfway up the mountain or at the top. So how do we buy before the detonation of bull stocks? Today in this lesson we will talk about the characteristics of bull stocks before the detonation.
    1. Moving average bonding, the moving averages of each period are basically glued together, such as five-day moving average, ten-day moving average, 20-day moving average and 30-day moving average, these short-period moving averages are basically glued together.
    The large-period moving average of 61, twentieth day moving average can not be glued. This kind of moving average glue indicates that the opinions of investors have been unified, and the stock has begun to accumulate strong long-term momentum.
    2. Fragmented k-line stock moving averages are united, and the k-line does not have large fluctuations in wandering or ever-yin. Instead, Xiaoyin, Xiaoyang or Doji continues to rise, or it may be a consolidation.
    This shows that after the stock's main force is building a position, once a heavy-duty long Yang line appears, it will accelerate the upside and enter the main up market. 3. Continuously measure.
    If a stock has undergone a wave of adjustments, and there are continuous platform consolidation actions for several days, then you need to start paying attention and then increase the volume, which means that the stock will start soon.
    It is an excellent short-term and mid-line market strength that is a sign of the end of the adjustment. The strength means that investors have less disagreement on the stock, and the stock price is likely to rise due to new buying.
    Fourth, the rising sun wanders the strength of the stock to maintain continuity. After the low-level volatility and consolidation, suddenly one day a wandering volume breaks through the box, which means that the main force has completed the position.
    After that, the stock will enter the main rise stage, and the 52nd stage will accelerate. When a stock has a heavy volume Changyang breakthrough, there will often be adjustments or washing actions, and its performance can be described as up and down shocks or sideways shocks.
    After that, the stock will enter the second stage of acceleration. At this time, the stock is in the midst of a major upswing. After that, every time it is recovered, the force will be a buying point or a point of increase.
    Liked partners like and pay attention, and bring more later.

  • 盘口掘金Handicap Nuggets

    盘口掘金Handicap Nuggets

    2021-07-23

    超过如何看盘口盘口里面的惟买盘和维卖盘,其实就包含了主力的某种行为,而这种行为到底是真的还是是假的片线呢?我们就需要去探索一下主力的真实意图,这里面就是一个逻辑的存在。
    大家好,我是陈婷。我只是一个平凡的知识搬运工。今天呢就教大家一招,通过一个组结式大单去反映一下主力的一个真实逻辑是什么。我们重在逻辑的一个推导,去反映主力的一个真实的意图。我们一起来看。
    可以看吗?今天给大家分享的是盘口语言,如何去看盘口,相信钉盘的这个股民朋友都喜欢看盘口的一些变化哈。那我们来具体看一个盘口里面,今天讲的就是组件是大单。
    我们具体来看一下哈,像这个个股我们可以看到这边呢是它的分时图,这边是它的为买盘和为卖盘分时图以及为买为卖盘,还有计时买卖,都是我们在盯盘的时候看盘口最重要的三个条件。
    那在这里面我们今天主要讲的关于它为买盘和为卖盘上面的一些动作哈。我们都知道盘中如果出现大单是非常常见的事情,而且也正是我们所希望的。
    因为只有大单的出现,才能说明市场的活跃。我们可以看到这里的单子都很大哈。因此呢我们就是不得不把更多的精力就花在大的研究上,尤其是一些非常有特点的大单。
    就比如说像我今天给大家分享这个组结式大单,就是一个非常有特点的大单。我们可以看到什么是组结式大单哈。如果一个个股在为买为卖盘上面的时候,全都是这个大的抛盘。
    五档大抛盘,而在为买盘上面对应的只有第一档是大接盘,而其他都是小接盘。相当于你看可以看到这个地方只有第一档这个盘子接盘是比较大的,下面的都是不足以去支撑上面任何一个这样大。
    盘的这种形式呢就要组建是大单。我们可以看到如果在普通的操作里面,我们都发现这里面上面的乌压压的一片大抛盘。按理说股价当天应该是往下打压的。
    而他在分析里面其实没有怎么去大的一个打压哈,所以我们就需要去区分一下,既然我们都明眼人都能看得出来这个地方放这么大的一个抛盘,而下面没有接盘的话,按理说就是一个股价继续往下打压,大家是不敢去买入的。
    那这个真的是股价当天需要表现出来一个真正的意图吗?既然这种大抛单都是大部分都是主力的一种意图里面,那这里面到底是真是假,还需要我们作为进一步的一个区分。所以今天我们就这一种方式给你清一下。
    逻辑我们来一步一步梳理一下。首先呢我们来看一下这种就是刚才我们所列举出来的这种大抛单和大买单的这种组结式的这种形式哈,上面五档都是大抛单。
    而这种形式里面,我们来一一做一个梳理,对它逻辑进行一个区分。这种梳理好了过后就能够反映主题的一个真实的意图。首先我们来分析一下上面的大抛盘。
    大包盘里面我们可以看到哈,除了下面第一档这一个大接盘以外,其他接盘都是一些小的一个接单。所以呢任何一张准备抛出来大卖单,绝对不会因为一张大买单而放弃去卖出的。
    反而有可能会因为这一张第一张这个大卖单大买单哈而去,马上去拿出这个拿出这个单子。因为大炮单是喜欢有大买单去迎候的嘛。
    如果我们在盘中哈发现大单没有砸出来,就没有看到大单砸出来。即使这个中间这个手术在变化,但是依旧是维持这样的一个序列。只有第一单是大接单,下面都是。
    接小接单的话,那就代表他这种组织是并没有发生改变,而这种情况持续了一段时间的话,就是我们观察一段时间,哎,发现他都没有任何变化的话,那我们就可以得出一个结论。
    这个结论就是说市场上对于卖盘来说,市场上小卖的大盘其实并不多,大量单子已经被主力封存了,主力的仓位是比较重的。什么意思?因为看到他这个不断的变不断的变,但是依旧没有改变。这个组件是大单。
    相当于这里面它其实并不是真正想要去卖出这个卖出自己想要砸的那个大单子的。所以说市场本身大单子其实已经不多了。我们再来分析一下买盘。
    既然说第一档接盘是比较大的,那么短时间里面如果没有变化,那么就说明市场上如果买单想要挂在下面的话,是比较难成交的,那自然都会通过第一个。
    达到第一个卖单的话是这样子,成交应该是最快的,对吧?因为第一个卖单本身它也是可以满足市场上的这些买单的要求的,所以我们这里就可以对于买单做出一个。
    简单的一个结论,这是名言上的一个结论。最后还会做一个具体的分析。对于买盘来说,事实上真正想买的单子,如果他真的想买的话,他会对着上方第一个大炮单去打的,就会直接一对。
    的一个价格去成交。这是我们通过一些简单的我们可以看得出来的一些数据,做一个简单的分析。然后我们对这一个简单的分析还要做进一步的一个。
    细化在这个细化里面,我们把这个买单和拜盘刚才分析出来的,我们答到这里,我们看看他最后真正想要达到的是什么条件哈。既然市场上想抛大单,其实并不多。
    一般情况下哈,无论股价在什么位置,哪怕是多少年来的地板价,市场上总会有想出来的一些大单子。但现在我们发现确实没有大单子,如果出来的话,那只能说明条件变了,说确切一点。
    More than how to look at the only buy and maintenance orders in the handicap handicap, it actually contains a certain behavior of the main force, and is this behavior real or fake? We need to explore the true intention of the main force, which is a logical existence.
    Hi everyone, this is Chen Ting. I am just an ordinary knowledge porter. Today, I will teach you a trick to reflect the true logic of the main force through a grouped big order. We focus on a logical derivation to reflect a true intention of the main force. Let's see it together.
    can I see? Today I will share with you the language of the handicap, how to look at the handicap. I believe this stockist friend of the nail plate likes to watch some changes in the handicap. Then let's look at a specific handicap. Today, we are talking about the component is a big order.
    Let’s take a look at it in detail. Like this stock, we can see that this is its time-sharing chart, here is its time-sharing chart for buying and selling, buying and selling, and timing trading. , Are the three most important conditions when we look at the handicap.
    In this, what we are mainly talking about today is about some actions for buying and selling. We all know that it is very common for a large order to appear in the intraday, and it is exactly what we want.
    Because only the emergence of large orders can explain the active market. We can see that the lists here are very large. Therefore, we just have to spend more energy on big research, especially some very characteristic big orders.
    For example, I am sharing this grouped big order with you today, which is a very characteristic big order. We can see what constitutes a big order. If a stock is sold for buying or selling, it will all be a big sell-off.
    The fifth gear is a big sell, and only the first gear is a big buy, and the others are small buys. It is equivalent to seeing that this place only has the first gear. The tray is relatively large, and the bottom is not enough to support any of the above.
    In this form of disk, it is necessary to form a large order. We can see that if in ordinary operations, we all found a big sell-off of the black pressure above it. It stands to reason that the stock price should have been suppressed that day.
    And in his analysis, he didn't actually suppress the big one, so we need to distinguish it. Since we are all discerning people can see that this place puts such a big sell-off, and if there is no take-over, it stands to reason. If a stock price continues to be suppressed, everyone is afraid to buy it.
    Is this really a real intention that the stock price needs to show on that day? Since this kind of big sell-off is mostly an intention of the main force, whether it is true or not, we need to make a further distinction. So today we will clear it up for you in this way.
    Let's sort out the logic step by step. First of all, let's take a look at the combination of the big sell orders and the big buy orders that we listed just now. The top five gears are all big sell orders.
    In this form, let's sort out one by one and make a logical distinction. After this sorting out, it can reflect a true intention of the subject. First, let's analyze the big selling above.
    We can see in the large package plate, except for the large one in the first gear below, the other plates are all small ones. Therefore, any one that is ready to sell a big sell order will never give up selling because of a big buy order.
    On the contrary, it is possible to go because of the big selling order of the first one, and immediately go and take out this order. Because Da Cannon likes to pay big bills to greet him.
    If we found that the big order was not hit in the plate, we would not have seen the big order hit. Even though the operation in the middle is changing, it still maintains such a sequence. Only the first order is a large order, and the following are all.
    If you take a small order, it means that his organization has not changed, and if this situation continues for a period of time, we observe for a period of time, hey, if there is no change in him, then we can get Come to a conclusion.
    This conclusion means that in terms of selling orders in the market, there are not many small-selling markets in the market. A large number of orders have been sealed by the main force, and the main position is relatively heavy. What's the meaning? Because I saw him constantly changing, but he still didn't change. This component is a big order.
    It is equivalent to that it actually doesn't really want to sell the big order that it wants to sell. So the big list of the market itself is actually running out. Let's analyze the buying order again.
    Since the first order is relatively large, if there is no change in a short period of time, then it means that if the buy order in the market wants to be placed below, it is more difficult to complete the transaction, and it will naturally pass the first one.
    This is the case when the first sell order is reached. The transaction should be the fastest, right? Because the first selling order itself can also meet the requirements of these buying orders in the market, we can make one for the buying order here.
    A simple conclusion, this is a conclusion on the famous saying. Finally, a specific analysis will be made. For buying, in fact, if he really wants to buy an order, he will play against the first cannon order above, and it will be a pair directly.
    At a price of This is a simple analysis that we can see through some simple data. Then we have to do a further one for this simple analysis.
    Refinement In this refinement, we have analyzed the pay and offer just now, we answer here, let’s see what conditions he really wants to achieve in the end. Since the market wants to sell large orders, there are not many.
    Under normal circumstances, no matter where the stock price is, even if it is the floor price for many years, there will always be some big orders come up in the market. But now we find that there is really no big list. If it comes out, it can only show that the conditions have changed, to be precise.

  • 趋势交易思路Trend trading ideas

    趋势交易思路Trend trading ideas

    2021-07-22

    这条视频分享一个普通人,一看就懂,一学就会的交易思路,能帮助你在交易初期精准的判断买入时机显著提高你对趋势的把握能力,进而大幅度提高你炒股的整体水平。
    但是千万要注意下面说的这个方法不适用于新股暴雷股和大多数分红股在以上这些票里,切肉吃要换成主力思维,这个也很重要哈。点个关注我们后面有机会讲,下面我把趋势思维的手法和新法分享给大家。
    干货中的干货,记得点赞收藏,我来慢慢讲,你来慢慢看,先不要着急,搞明白理论原则,在实战应用中,结合仓位管理,就已经能打败大多数人了。这个趋势交易思路,尤其是对初学者特别友好,能大幅度的。
    是你对趋势的理解,下面是实操方法。我说慢点,你仔细听大的上涨趋势一旦形成,在第一次大跌时做试探性的买入,然后跟随趋势一路加仓到你的卖点,也就是你的止盈位。
    这里有个新法叫做一进二进三不进,跌破月线。我不进,意思就是上涨趋势里第一次第二次的大跌是介入点,而第三次大跌坚决不进场。所谓有再一再二,没有再三。
    新法的第二句叫跌破月线。我不进什么意思呢?刚才说了这个方法叫做趋势交易法。之所以对新手比较友好,是因为在大跌时候的买入。除了勇气和信心,不需要准备太多东西。
    而这就是牛市里为什么新手比老司机更赚钱的原因是因为新手胆子大而趋势交易的核心就是顺势而为,碰到大跌跌破月线代表着趋势性质可能发生改变。
    就不适合用这种方法了。最后切记用趋势交易法牢记以下两条铁律。第一,大跌时候的首次加仓一定是试探性买入,仓位控制在两成左右。
    跟随上涨趋势逐步加仓,所有子弹打完之后坚决卖出。因为我们从买入的那一刻开始,就是为了等待下家来接手,而不是为了长期投资。一定要搞清楚这一点。
    第二,一定要设置好止损线和止盈线,只要设置好进入时的止盈点,自然而然你就知道了,卖点成功率自然也就大得多。
    This video shares the trading ideas that an ordinary person can understand at a glance and learn at a glance. It can help you accurately determine the timing of buying at the beginning of the transaction. It will significantly improve your ability to grasp the trend and greatly improve your overall stock trading. Level.
    However, it is important to note that the method mentioned below does not apply to new stocks and thunder stocks and most of the dividend stocks in the above votes. It is also very important to switch to the main thinking of meat cutting. Please follow us and we will have the opportunity to talk about it later. Now I will share with you the methods and new methods of trend thinking.
    The dry goods in the dry goods, remember to like the collection, let me talk slowly, take your time, don't worry, understand the theoretical principles, in actual applications, combined with position management, you can already defeat most people. This trend trading idea is especially friendly to beginners and can be greatly improved.
    It is your understanding of the trend, the following is a practical method. Let me say slow down. Once you listen carefully to a big uptrend, make a tentative buy at the first big drop, and then follow the trend to increase your position to your selling point, which is your take-profit level.
    There is a new method here called one advance, two advances, three no advances, and it falls below the monthly line. I do not enter, which means that the first and second plunge in the upward trend is an intervention point, and the third plunge is determined not to enter the market. The so-called repeats, not repeats.
    The second sentence of the new law is called breaking the monthly line. What do I mean by not entering? I just said that this method is called trend trading. The reason why it is more friendly to novices is because of buying during the big drop. Apart from courage and confidence, there is no need to prepare much.
    And this is the reason why novices are more profitable than old drivers in the bull market. It is because novices are bold and the core of trend trading is to follow the trend. A big drop below the monthly line indicates that the nature of the trend may change.
    It is not suitable to use this method. Finally, remember to use the trend trading method to keep the following two iron laws in mind. First, the first increase in position during the big drop must be a tentative purchase, and the position is controlled at about 20%.
    Gradually increase the position following the upward trend, and resolutely sell after all the bullets are shot. Because we started from the moment we bought, just to wait for the next buyer to take over, not for long-term investment. Be sure to figure this out.
    Second, you must set the stop-loss line and the take-profit line. As long as you set the stop-profit point when you enter, you will know it naturally, and the success rate of selling points will naturally be much higher.

  • 如何测算回调支撑位点How to calculate the callback support level

    如何测算回调支撑位点How to calculate the callback support level

    2021-07-21

    波浪理论中上涨三浪是一个n 字形,当第一浪走完就会运行,第二浪回调。今天这个技术算法就是能测算出二浪回调的低点。
    找到支撑位公式是支撑位等于一个高点,a 减去个低点,b 除以三加低点b 如图中第一浪的低点是a。
    十三点零九第一浪反弹的高点是b 十五点七六,套用公式就是十五点七六减去个十三点零九除以三,加上十三点零九,等于一个十三点九八。
    测算出的二浪回调低点的支撑位是十三点九八。而我们最终看到该股二浪回调的最低点是十四,基本和我们测算的相同。
    该方法不仅适用于个股,也适用于。
    In the wave theory, the three rising waves are an n-shape, and they will run when the first wave finishes, and the second wave will pull back. Today's technical algorithm can measure the low point of the second wave callback.
    The formula for finding the support level is that the support level is equal to a high point, a minus a low point, and b divided by three plus a low point b. In the figure, the low point of the first wave is a.
    The high point of the first wave rebound at 13:09 is b 15.76. The formula is 15.76 minus one 13.09 divided by three, plus 13.09, which equals one 13.98.
    The calculated support level of the second wave callback low is 13.98. And we finally saw that the lowest point of the second wave of the stock is fourteen, which is basically the same as we estimated.
    This method is not only applicable to individual stocks, but also applicable.

  • 如何利用集合竞价抓涨停How to use call auction to catch the daily limit

    如何利用集合竞价抓涨停How to use call auction to catch the daily limit

    2021-07-20

    如何利用集合竞价抓住涨停板?今天我来告诉你,永安行今天强势涨停,就是利用这个方法抓到的成功率很高。
    建议收藏学习结合竞价的时间是九点十五到九点二十五,我们选股的时间是九点二十五到九点半之间。
    合金价抓涨停分为四个步骤,第一步,打开看盘软件,输入六零涨幅排行榜,把高开百分之二到百分之四的个股。
    全部批量加入到自选中。第二步,点击量比排名,只选择量比排名靠前的数值。股票其他的。
    全部删掉。
    第三步,点击限量排名,选择限量两千到两万手之间的个股,筛选出剩下的八只股票。第。
    第四步,关注开盘后的表现,选择高开高走的,高开低走的先不做关注。
    上图的案例啊是今天早盘我用此方法实战选出来的股票。我们看到八只股票中v d 股份、永安行s t 松江。
    四g 电能四肢全部涨停,另外还是要重点提示这一套选股法,适用时间是九点二十五分到九点半之间。
    依靠技术的使用都有它的局限性,但对你的炒股绝对会有很大的帮助。关注我这里有你想要的。
    How to use call auction to seize the daily limit? Today, I will tell you that Yonganxing’s strong daily limit today means that the success rate achieved by this method is very high.
    It is recommended that the time for collection and study combined with bidding is between 9.15 and 9.25, and the time for our stock selection is between 9.25 and 9.30.
    There are four steps for the alloy price to catch the limit. The first step is to open the software to watch the market, enter the 60% increase list, and open the stocks that are 2% to 4% higher.
    All batches are added to self-selection. The second step is to compare the number of clicks to the ranking, and only select the value that is higher than the ranking. Stock other.
    Delete all.
    The third step is to click on the limited ranking, select individual stocks with a limited number of between 2,000 and 20,000 lots, and screen out the remaining eight stocks. No.
    The fourth step, pay attention to the performance after the opening, choose to open high and go high, and do not pay attention to those who open high and go low.
    The case in the picture above is the stock that I used this method to actually select in early trading today. We see vd shares and Yonganxing st Songjiang among the eight stocks.
    The four-g electric energy limbs are all daily limit, in addition, it is important to remind this set of stock selection methods, the applicable time is between 9.25 to 9:30.
    Relying on the use of technology has its limitations, but it will definitely be of great help to your stock trading. Follow me here to have what you want.

  • 如何找到你的炒股优势How to find your stock advantage

    如何找到你的炒股优势How to find your stock advantage

    2021-07-19

    普通人做不好投资的本质原因,除了不具备知识储备以外,还有就是没找到自己的优势。牛逼的投资大佬们,难道就真的比我们普通人多点啥吗?
    其实不是,只不过他们找到了自己的优势,并把优势发挥到了极致。投资是一个什么生意啊?你把那是空手套白狼的生意,你想偷懒省事,还想拿钱去生钱。那只有两种选择,要么。
    找到公募、私募等专业团队帮你打理,要么就是让自己变得很厉害。该看的书你要看该学的习,你要学。当你知识储备达到了一定量时,还做不好投资。
    那你就要去挖掘性格本身的优劣势,去扬长避短。比如你喜欢研究,那就多从基本面和财报出发,去挖掘一些别人看不到的真相。
    用自己的研究优势去赚钱。再比如你时间多,精力足,出手又快,那你就多从技术面和题材面出发,和别人拼时间和速度。
    如果你对数学很敏感,又懂得编程,那你就多从程序化和量化方面出发,去和别人拼专业性。如果你知道的消息总是比大众快一步,那你就多去做埋伏,用自己的信息优势去赚钱。如果你。
    说你研究能力一般,速度又不够快,程序也不懂该怎么办呢?好,那你就要像冯柳一样和别人拼决策,你就可以更加轻松用决策去赚钱。
    有一次我问我的合伙人,我说你价值投资做的这么好死,拿一个票不动就不担心的亏钱吗?他跟我说,我因为信息优势二又不会做短线,懂些研究,但肯定不如行业研究员啊,我很清楚的知道在这。
    这些维度我是拼不过人家的,但是我可以跟他们拼格局,拼谁看的更长更远。讲到这里,你有没有发现,但凡成功的投资大佬。
    都是先把自己的长板无限延长,形成绝对优势,然后有时间再去慢慢的补短板,而不是着急把短板全部补齐。最后你的短板一样齐了,但长板也就没有了。
    就更失去了属于你的优势。这世上没有人,只有缺点,没有优点。当你把你的优点不断放大时,这一个点就能成为是变成在你的优势领域里取得成功的。
    发文。
    The essential reason why ordinary people can't invest well is that apart from not possessing knowledge reserves, there is also that they have not found their own advantages. The great investment bosses, are they really a little bit more than us ordinary people?
    Actually not, it's just that they have found their own advantages and used them to the extreme. What kind of business is investment? You treat it as an empty glove white wolf business, you want to be lazy and save trouble, and you want to use money to make money. There are only two options, either.
    Find professional teams such as public equity and private equity to help you take care of it, or to make yourself very good. You have to read the books you should read, you have to learn. When your knowledge reserve reaches a certain amount, you still can't make good investments.
    Then you have to dig out the strengths and weaknesses of the character itself, to exploit strengths and avoid weaknesses. For example, if you like to research, start from the fundamentals and financial reports, and dig out some truths that others can't see.
    Use your own research advantages to make money. For another example, if you have a lot of time, energy, and quick moves, then you should start from the technical and subject aspects, and fight time and speed with others.
    If you are very sensitive to mathematics and know how to program, then you should start from the aspect of programming and quantification, and try to compete professionally with others. If the news you know is always one step ahead of the public, then you should do more ambushes and use your information advantages to make money. If you.
    What should you do if you say that your research ability is average, the speed is not fast enough, and the program does not understand? Okay, then you have to make decisions with others like Feng Liu, and you can more easily use decision-making to make money.
    Once I asked my partner, I said that you are so good at Value Investment, do you not worry about losing money if you hold a ticket? He told me that I don't know how to do short-term research because of the information advantage, but I am definitely not as good as an industry researcher. I know this very well.
    I can't fight for these dimensions, but I can fight with them, and fight whoever looks longer and farther. Speaking of this, have you noticed that, as long as the successful investment boss.
    They all extend their long board indefinitely first to form an absolute advantage, and then have time to slowly make up for the short board, instead of rushing to make up all the short boards. In the end, your shortcomings are all the same, but your longboards are gone.
    It will even lose your advantage. There is no one in this world, there are only shortcomings, no advantages. When you continue to magnify your strengths, this point can become a success in your field of strength.
    Post.

  • 如何找到潜伏的强势股 How to find potential strong stocks

    如何找到潜伏的强势股 How to find potential strong stocks

    2021-07-18

    第一步,近期底部横盘三至六个月,不创新低。第二步,选出底部天量对应的k 线。第三步,然后在该k 线的最高价及最低价各画一条平行线。第四步,当价格突破最高价平行线时买入,不过最好再回调百分之五位置买入。
    跌破最低价,平行现实止损,如果所示。你学会。
    In the first step, the recent bottom has been sideways for three to six months without setting a new low. The second step is to select the k-line corresponding to the bottom sky volume. The third step is to draw a parallel line on the highest price and the lowest price of the k-line. The fourth step is to buy when the price breaks through the parallel line of the highest price, but it is best to buy at a 5% pullback position.
    Below the lowest price, parallel the actual stop loss, if shown. You learn.

  • 如何准确判断主力是洗盘还是出货 How to accurately judge whether the main force is washing dishes or shipping

    如何准确判断主力是洗盘还是出货 How to accurately judge whether the main force is washing dishes or shipping

    2021-07-17

    大家都在说庄家是在洗盘还是出货,说对的,没几个,我们先说庄家洗盘的目的是什么?就是洗出不稳定的筹码,同时把这些不稳定的筹码收入囊中。
    这样成本变低了,而且拉升阶段的压力也变小了。那庄家到底是在洗盘还是在出货呢?可以通过以下两点轻松判断出来。一庄家洗盘都是通过向下倒仓来实现,并在倒仓的过程中。
    制造恐慌氛围一般会在买三或买四的价位挂几千手左右,买单,用自己手中的筹码大笔往下砸,直到打穿这个价格,这样价格就会直线往下跌。
    不坚定看多的筹码很容易被吓出来,这样庄家不但能在低位收到货手中的筹码还不会丢。通常庄家达到目的后会择机把股价拉回去,以修复k 线,这就是洗盘。
    二、出货跟洗盘正好相反,庄家往往向上打几笔大单,吸引到一定跟风后开始小笔卖出,即使在买三或买四有挂大买单,庄家也不会去砸。他通常会选择在大买单的上方。
    悄悄卖这样,因为有大买单做支撑。不但卖的多,由于价格还有一定的支撑,还能卖个好价钱。总之,庄家洗盘时看上去跌的很猛,并瞬间放量。
    而出货是全天候都在因跌,偶尔是直线往上跳一下。
    Everyone is talking about whether the dealer is washing or shipping. That's right. Not many. Let's talk about the purpose of the dealer. It is to wash out the unstable chips, and at the same time put these unstable chips into the bag.
    In this way, the cost becomes lower, and the pressure in the pull-up phase is also reduced. Is the dealer washing the plate or shipping it? It can be easily judged by the following two points. A dealer's washing is realized by dumping the warehouse downwards, and in the process of dumping the warehouse.
    To create a panic atmosphere, the price of buying three or four will usually be pegged by a few thousand lots. Pay the bill and use the bargaining chips in your hands to smash down until the price is penetrated, so that the price will plummet.
    Bargaining chips that are not determined to be long can easily be scared out, so that the dealer can not only receive the chips in the low position, but also not lose them. Usually the dealer will choose the opportunity to pull back the stock price after achieving the goal to repair the bar, which is washing.
    2. Shipment is the opposite of order washing. The dealer often makes a few large orders upwards, and then starts to sell in small amounts after attracting a certain amount of follow-up. Even if there is a big buy order for buying three or four, the dealer will not smash it. He usually chooses to be above the big buy order.
    Sell ​​it quietly, because there is a big buy order to support it. Not only do they sell a lot, but because the price still has a certain degree of support, they can still sell at a good price. In short, the dealer seemed to fall sharply when washing the market, and immediately increased the volume.
    And shipments are falling all the time, and occasionally it jumps up in a straight line.

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