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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。
专属专用定制,操作方便,简单易懂,一目了然。
个性化专属专用界面。
采用大数据自动计算,全自动辨识大盘以及个股牛熊。
   科技新理念
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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

  • 股市战争Stock market war

    股市战争Stock market war

    2021-09-22

    子路曾经问孔子,你若是三军统领,你又会选择和什么样的人一起战斗呢?孔子回答,赤手空拳,非要和猛虎搏斗,没有船只非要徒步过河。
    这种死了都不后悔的人,我是不会和这样的人一同作战的。我愿为珍惜战斗的一定是遇事谨慎,谋定后动的人。要想在博弈中取胜,有两个关键因素。
    一是自身的实力,二是出手的机会,实力取决于自己,机会取决于对手。在股市里则是选股和选时的问题。股选的好不好,考验的是是否具备过硬的能力。
    时机选的好不好,考验你是否耐心等待对手犯错。利德尔哈特曾经说过,在战争过程中,正是敌人的严重错误,才给了我们取胜的机会。
    如果你把市场当成对手,那在一波下跌过后的非理性超跌就是市场所露出的破绽,也是我们可以抓住他犯错取胜的机会。
    相反,这一波非理性暴涨过后,也是市场的破绽,可以给我们提供出局的机会。抓住对手犯错的机会,使自己取胜,是股市交易中十分难得的高手思维。
    散户经常割肉的最低点,正是市场利用大众在暴跌中的恐慌心理把散户清理出局。相反,对于高手而言,大跌乃至是大暴跌。
    才是他们最喜欢的。因为优秀的高手早在市场疯狂时就出掉了,手里的货高手在防守时可以一动不动把自己的实力深藏地下。
    使对手无法察觉,一旦巨大的机会出现,就像猎豹一样,以闪电般的速度出手,自天而降,让对手措手不及。高手们明白,作战的过程就是等待战机。
    创造战机,捕捉战机和利用战机最致命的战机一定是蕴藏在耐心冰冷的等待过程中。伟大的军事家曾国藩就从不打无准备之仗。
    用他的话说就是精心察之,冷眼愧之吻。肾虚图谋定后战一五八三年,他所带领的湘军组建之初,咸丰皇帝几次下诏让他增援安徽。
    但曾国藩却认为,香军准备不足,拒不出弹。他认为只有炮足够多,水师队伍足够强悍,陆军队伍足够充足时,才会。
    逢战必胜,他冒着抗旨的风险固执己见。直到第二年年初,曾国藩把队伍真正训练成了精兵强将,才出师迎战。
    这一战打的太平军是落花流水,仓皇而逃,最终被湘军赶出了湖南。对于将军来说,兵法人人会读条例,人人会背。
    战术人人会用,道理人人会讲。但在高手对决时,这些都只是树层面的东西,决定一个人是不是真高手,根本不是取决于树。
    树达到一定程度后,大家的水平都差不多,此时能分出高下的是谁的内心更加冷静,谁更能抵住压力和诱惑。
    知识家们的战略思维拿到当今股市依旧是制胜法宝。你真读懂了这些,我觉得比学一大堆战术都管用,战术只能满足局部的胜利。
    没办法对整体战局起作用,这也解释了为什么很多人一个月能打翻倍,但一年下来总账却是亏的。因为局部的胜利是短暂的。
    而想取得整个关键战局的胜利,需要你具备军事家的战略思维。那么什么才是交易中的战略思维呢?我认为是不计较短期得失。
    多关注长期的账户正回报乃至整个投资生涯的长久胜利。当你把股市当成战场,把自己当成将军,你会发现交易这场没有硝烟的战争是对。
    多么的有魅力。当你拥有了如同军事家们的战略思维后,你也将成为新一代的古。
    Zilu once asked Confucius, if you were the commander of the three armies, what kind of people would you choose to fight with? Confucius replied, with his bare hands, he must fight the tiger, and he must cross the river on foot without a boat.
    I will not fight with such a person who never regrets his death. I would like to fight for cherishment and it must be those who are cautious and move after making decisions. To win in the game, there are two key factors.
    One is one's own strength, and the other is the opportunity to shoot. Strength depends on oneself, and chance depends on the opponent. In the stock market, it is a matter of stock selection and timing. Whether the stock selection is good or not, the test is whether it has excellent ability.
    Whether the timing is good or not will test whether you are patient and waiting for your opponent to make a mistake. Liddellhardt once said that in the course of the war, it was the serious mistakes of the enemy that gave us a chance to win.
    If you regard the market as your opponent, then the irrational oversold after a wave of decline is the flaws exposed by the market, and it is also an opportunity for us to seize his mistakes and win.
    On the contrary, after this wave of irrational skyrocketing, it is also a flaw in the market, which can provide us with a chance to get out. Seizing the opportunity of your opponent to make mistakes and making yourself win is a rare mastermind in stock trading.
    The lowest point where retail investors often cut their meat is precisely the market taking advantage of the public's panic during the plunge to clear retail investors out. On the contrary, for masters, a big drop or even a big drop.
    It's their favorite. Because the good masters were dropped out when the market was crazy, the goods masters in his hand could remain motionless while defending and hide their strength deep underground.
    Make the opponent undetectable. Once a huge opportunity appears, it will shoot at lightning speed like a cheetah, falling from the sky, making the opponent by surprise. Experts understand that the process of combat is to wait for a fighter.
    Creating fighters, capturing fighters and using fighters. The deadliest fighter must be hidden in the patient and cold waiting process. The great military strategist Zeng Guofan never fought unprepared battles.
    In his words, it is a carefully watched, cold-eyed kiss. Kidney Deficiency plots the postwar in 1583. At the beginning of the formation of the Hunan Army under his leadership, Emperor Xianfeng several times ordered him to reinforce Anhui.
    However, Zeng Guofan believed that the Xiangjun was not prepared enough to refuse to play. He believes that only when there are enough artillery, the navy team is strong enough, and the army team is sufficient.
    Every battle must be won, he takes the risk of resisting the will and sticks to his own opinion. It wasn't until the beginning of the second year that Zeng Guofan really trained his team to become a good soldier, and then he went out to fight.
    The Taiping army fought in this battle, and fled in a hurry, and was eventually driven out of Hunan by the Hunan army. For generals, everyone in the legal system of war will read the regulations and everyone will memorize them.
    Everyone knows how to use tactics, and everyone knows the truth. But in the master showdown, these are only things at the tree level. Whether a person is a real master or not is not determined by the tree at all.
    After the tree reaches a certain level, everyone's level is about the same. At this time, who can tell the difference is who is more calm in heart and who is more able to resist pressure and temptation.
    The strategic thinking of intellectuals is still the magic weapon to win today's stock market. You really understand this, I think it's more effective than learning a lot of tactics, and tactics can only satisfy a partial victory.
    There is no way to affect the overall situation, which also explains why many people can double in a month, but the general ledger is lost in a year. Because partial victory is short-lived.
    To win the entire critical battle situation, you need to have the strategic thinking of a military strategist. So what is strategic thinking in trading? I think it does not care about short-term gains and losses.
    Pay more attention to the long-term positive return of the account and even the long-term victory of the entire investment career. When you treat the stock market as a battlefield and yourself as a general, you will find that trading, a war without gunpowder, is right.
    What a charm. When you have the strategic thinking of a military strategist, you will also become a new generation of ancients.

  • 防止被套的八个妙招Eight coups to prevent duvet cover

    防止被套的八个妙招Eight coups to prevent duvet cover

    2021-09-21

    防止被套的八妙招。那第一点啊是有备而来。无论什么时候啊,买股票之前呢,都要盘算好买进的理由,并计算好呢出货的目标。
    那千万啊不可以盲目的去买,然后呢盲目的等待上涨,再盲目地被套牢。第二点啊一定要设立一个止损点,凡是出现巨大亏损的,都是由于入市的时候没有设立止损点。
    而设立了止损点呢,就必须要执行。那即便是刚买进就套牢了啊,如果发现错了也应该卖出。那做长线投资的啊,必须是股价能够长期走牛的股票。
    一旦长期下跌呢,就必须卖。
    第三点啊,不怕下跌,怕放量。那有的股票呢无缘无故的下跌并不可怕,可怕的啊是成交量的放大。那尤其是庄家啊持股比较多的品种。
    绝对不应该有巨大的成交量。那如果出现啊,十有八九就是主力在出货了。所以啊对任何情况下的突然放量啊都要极其的谨慎。那。
    那第四点呢是拒绝中阴线,无论大盘还是个股,如果发现跌破了大众公认的强支撑呢,当天啊有收中阴线的趋势的时候呢,都必须啊加以解聘。
    尤其是本来走势不错的个股啊,一旦呢出现了中阴线啊,可能引发中线持仓者的恐慌,并大量的抛售。有些时候呢主力啊即使不想出货啊,也无力支撑股价。那最后呢。
    必然会跌下去。有时候呢主力啊自己也会借机出货啊,所以呢无论在哪种情况下哈,见了中印线呢都应该考虑出货的。
    那第五点呢就是认准一个技术指标,那发现不妙啊,立刻就留给你一百个技术指标啊,根本就没有什么用啊。有的时候呢把一个指标研究透了啊,也就完全把一只股票的走势掌握在手中了。
    那发现行情破了,关键的支撑,马上就开始流。那第六点呢是不买问题股啊,买股票呢要看看它的基本面有没有令人担忧的地方啊。
    尤其是几个重要的指标,那防止基本面啊突然出现变化,在基本面确认不好的情况下呢,谨慎介入啊,随时警惕。第七点啊,基本面服从技术面。
    那股票再好呢,形态坏了也必跌,股票再不好呢,形态好了也能上涨。那即使特大的资金做投资啊,形态坏了,也应该至少百分之三十以上。
    那等到形态修复之后呢,再买进对任何股票啊都不能迷信啊。有人十年前啊买的深发展,到今天还没有卖,我认为呢是不足取的。
    因为如果真的看好它啊,应该在合适的价格抛出,又在合适的价格呢再买进。那始终呢是持股不动,是懒惰的体现。
    第八点呢是不做庄家的牺牲品啊,有的时候呢庄家的消息啊或者是庄家外围的消息,在买进之前呢可以信。但关于出货啊千万不能信。
    出货是自己的事情啊,任何庄家呢都不会告诉你自己在出货,所以出货呢要根据盘面来决定啊,不可以根据消息来决定啊。那掌握这八个要点啊,想要被套呢都是很难的。
    那今天的内容大家喜欢吗?欢迎在评论区讨论啊。我是强加倍透过事物看本质,一起努力。
    Eight coups to prevent duvet cover. Then the first point is prepared. Whenever you buy stocks, you have to figure out the reasons for buying and calculate your shipping goals.
    Then you can't buy it blindly, and then blindly wait for the rise, and then blindly get stuck. The second point is that a stop loss point must be set up. Any huge loss is due to no stop loss point when entering the market.
    If a stop loss point is set, it must be executed. Even if you just bought it and you got stuck, you should sell it if you find it is wrong. For long-term investment, it must be a stock whose stock price can be bullish for a long time.
    Once it falls for a long time, it must be sold.
    The third point is that we are not afraid of falling, but of increasing volume. The unexplained decline of some stocks is not terrible, but the terrible thing is the enlargement of trading volume. That's especially the varieties with more shares held by market makers.
    There should never be a huge volume. If it appears, the main force will be shipped out in all likelihood. Therefore, you must be extremely cautious about sudden heavy volume under any circumstances. That.
    The fourth point is to reject the bardoline. Regardless of whether the market or individual stocks, if you find that it has fallen below the strong support recognized by the public, you must be dismissed when there is a trend to close the bardoline that day.
    Especially stocks that are trending well, once the bardoline appears, it may trigger panic among midline position holders and sell them in a large amount. Sometimes, even if the main force does not want to ship, it cannot support the stock price. What about the last.
    It is bound to fall. Sometimes the main force will take the opportunity to ship, so no matter what the situation, you should consider shipping when you meet the China Printing Line.
    The fifth point is to look for a technical indicator. If it is found to be bad, I will immediately leave you with a hundred technical indicators, which is of no use at all. Sometimes, if you study an indicator thoroughly, you can completely control the trend of a stock.
    It was discovered that the market was broken, and the key support immediately began to flow. The sixth point is not to buy problematic stocks. When you buy stocks, you need to see if there are any concerns about its fundamentals.
    Especially for a few important indicators, to prevent sudden changes in the fundamentals, when the fundamentals are not well confirmed, intervene cautiously and be vigilant at any time. Seventh point, the fundamentals follow the technical aspects.
    No matter how good the stock is, it will fall if its shape is bad, and no matter how bad the stock is, it can go up even if its shape is good. Well, even if a huge amount of capital is used for investment, it should be at least 30% or more in bad shape.
    Then after the pattern is restored, you can't be superstitious about any stocks when you buy. Some people bought SDB ten years ago but have not sold it today. I think it is not desirable.
    Because if you are really optimistic about it, you should sell it at the right price and then buy it at the right price. That is always holding the stocks, it is the manifestation of laziness.
    The eighth point is not to be a victim of the dealer. Sometimes news from the dealer or from outside the dealer can be trusted before buying. But don't believe me about the shipment.
    Shipping is your own business, and no dealer will tell you that you are shipping, so shipping must be decided on the basis of the board, not on the news. Then mastering these eight points, it is very difficult to want a quilt.
    Do you like today's content? Welcome to discuss in the comment section. I force myself to see the essence through things and work hard together.

  • 七绝招抓连板妖股Seven tricks to catch even board demon stocks

    七绝招抓连板妖股Seven tricks to catch even board demon stocks

    2021-09-20

    等我还是个猴的时候,我只能和一群猴玩耍。当我学了一身本领之后,我就可以和牛魔王称兄道弟。在大闹天宫之前。
    各位神灵都不把我放在眼里。哼。但是当我大闹天宫之后,托塔李天王都对我毕恭毕敬。在我到达雷音寺之前,我对菩萨只能顶礼膜拜。
    但是等我被封为斗战圣佛之后,我和菩萨都成了好哥们儿呆子。我想说的是,一个人只有自己强大了,才会有个性。
    更好的人脉。如果你不努力提升自己,我劝你早点洗洗睡吧。
    今天直接讲干货,想要抓脸买腰鼓的朋友们,本期视频你一定要看完。老股民们都有过追连续涨停腰鼓的操作经验,但很多时候是一追进去就被套。
    成功率极低。今天的内容教朋友们如何做连续涨停的优股,提高大家的成功率。既然是要做连续涨停的票,那么我们只能从个股出了首个涨停板之后才能去判断。
    到底哪些个股具备成为腰股的条件呢?重点来了。第一点,个股出了手板后,第二天开盘大盘的环境一定要好。
    很多时候大盘的大跌会终止机构的拉升意图,因为机构也知道要顺势而为,逆大盘强势拉涨停会造成很多不稳定的因素。
    正所谓顺势而为,事半功倍,逆势而为,事倍功半。第二点,要判断该股票有没有连板的条件,如何判断呢?
    这里告诉大家,只有两种类型的股票是没有连板条件的。第一种是处于低位收集筹码建仓阶段的个股建仓阶段是不会有连续急涨的。
    连续急涨就不是建仓。第二种是上方压力大,而且压力位比较近的个股,此类股票一旦触碰密集套牢区,会产生巨大的抛盘压力。
    也不具备连板条件。第三点,这一项很重要,涨停板过后能否皆涨停,第二天最好要高开,为什么呢?
    涨停过后,接高开有几种有利的因素能高开,有可能是机构集合竞价叫价高开,也有可能是因为散户追涨情绪造成的。自然高开。
    但是不管是机构造价高开还是市场追涨,情绪自然高开,都说明该股票溢价情绪高。如果第二天低开的话,就要注意了。
    以上三点是先决条件,接下来也需要重视的几点。第四点,手板的拉升,最高单k 成交量不能出现过于巨量。
    在这给一个参照的指数,比如流通盘一个亿,对比盘中单k 一万就是巨量。换句话说,但k 量越接近这个数或者超过这个数都算巨量。
    为什么不能出现巨量呢?第一次封板就出现巨量,表明该股本身盘口比较重,机构要花费巨大的资金才能拉涨停。这种情况无疑给机构后面的拉升。
    带来了难度。第五点,第二天高开集合竞价,九点二十五分第一笔单k 一定要比首版当天最高单k 要高,高多少算高呢?
    这里的标准是接近上面提到的巨量为合适成交量,为什么需要这一点呢?既然第一天该股票可以拉涨停,拉涨停肯定是机构参与的,成交最多。
    第二天,集合竞价机构也会参与,另外加上散户追涨的成交量,所以此时的成交单k 一定是比首版单k 要高的。第六点九点三十分开盘成交后,股价的整体趋势是向上为最好。
    第七点,流通盘大小要合适,不超过二十亿就行。建议反复观看全集,欢迎评论区评论,关注我,为你解决。
    When I was a monkey, I could only play with a group of monkeys. After I learn a skill, I can be brother to the Bull Demon King. Before the riots in Tiangong.
    The gods do not put me in their eyes. Humph. But when I made a riot in the Temple of Heaven, King Tota Lee treated me respectfully. Before I arrived at Leiyin Temple, I could only worship the Bodhisattva.
    But after I was named the fighting sacred Buddha, the Bodhisattva and I became good buddies and idiots. What I want to say is that a person will have a personality only if he is strong.
    Better connections. If you don't work hard to improve yourself, I advise you to wash and sleep early.
    Today, I will talk about dry goods directly. Friends who want to grab their faces and buy waist drums, you must watch this video. Veteran investors have had the operating experience of chasing continuous daily-limit waist drums, but most of the time they are covered as soon as they chase in.
    The success rate is extremely low. Today's content teaches friends how to make excellent stocks with continuous daily limit and improve everyone's success rate. Since it is a ticket for continuous daily limit, we can only judge after the first daily limit of individual stocks.
    Which stocks have the conditions to become waist stocks? Here comes the point. The first point is that after the individual stocks are released, the market opening environment must be better the next day.
    In many cases, a sharp drop in the market will terminate the organization's intention to pull up, because the organization also knows to follow the trend, and a strong push against the market will cause a lot of instability.
    As the so-called follow the trend, do twice the result with half the effort, and go against the trend with half the effort. The second point is how to judge whether the stock has the conditions to connect to the board?
    Here to tell you that there are only two types of stocks that are not linked to the board. The first is that there will be no consecutive surges during the opening phase of individual stocks that are in the low position to collect chips to open a position.
    A continuous surge is not a position. The second type is stocks with high upward pressure and relatively close pressure levels. Once such stocks touch the tightly locked area, they will generate huge selling pressure.
    Nor does it have the conditions to join the board. The third point is that this item is very important. After the daily limit, whether the daily limit can be reached, it is best to open higher the next day. Why?
    After the daily limit, there are several favorable factors for opening higher to open higher. It may be caused by institutional call auction bidding, or it may be caused by the sentiment of retail investors chasing rising prices. Open naturally.
    However, whether it is the structure price opening higher or the market catching up, the sentiment is naturally higher, which shows that the stock price premium sentiment is high. If you open it low the next day, you must pay attention.
    The above three points are prerequisites, and the following points need to be paid attention to. The fourth point is that the hand board is pulled up, and the highest order k volume cannot be too large.
    Here is a reference index, such as one hundred million in the circulation, compared with 10,000 in the intraday, which is a huge amount. In other words, the closer the k quantity is to this number, or it exceeds this number, it is considered a huge quantity.
    Why can't there be a huge amount? The first time the board was closed, there was a huge amount of money, indicating that the stock itself is relatively heavy, and the institution has to spend a huge amount of money to pull the daily limit. This situation is undoubtedly a boost to the back of the organization.
    Brings difficulty. Fifth point, the next day a high call auction will be opened. At 9.25, the first order k must be higher than the highest order k on the day of the first edition. How much higher is considered high?
    The standard here is close to the above-mentioned huge volume as a suitable volume. Why is this necessary? Since the stock can pull the daily limit on the first day, the daily limit must be pulled by institutions and the transaction is the most.
    On the second day, call auction institutions will also participate, plus the volume of retail investors chasing the increase, so the transaction order k at this time must be higher than the first edition order k. After the closing of the market at 6:30, the overall trend of the stock price is upwards for the best.
    Seventh, the size of the circulation plate should be appropriate, no more than 2 billion. It is recommended to watch the full episode repeatedly, welcome to comment in the comment area, follow me, and solve it for you.

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