主力行为学Main behavior
来源:股典钟涨停王Stock Code Clock Daily Limit King | 作者:股典钟涨停王Stock Code Clock Daily Limit King | 发布时间: 2021-10-07 | 978 次浏览 | 分享到:
今天跟大家讲一下主力行为学,因为内容会触犯某些大佬的利益,随时都会被删除,请大家赶紧收藏下载吧。
在市场中,散户最怕两件事,第一,帕主力洗盘怕被洗出来,一卖就涨,二怕主力出货。
怕被主力所抛弃,一买就跌。今天咱们分享的四点共振识别法,可以轻松识别主力当下的真实意图。
咱们在主力洗盘的时候,上车,在主力出货的时候,下车,和主力一起收割韭菜的钱。四点共振的要点总结呢。
在您的最后哪四点公证呢?第一要看成交量,主力只要在洗盘,成交量一定是萎缩的,为什么?因为主力洗盘的最终目的。
是想要低价买一斤散户的筹码,此时的筹码一定是供不应求。而洗出去的呢都是小散户散户手里的筹码呀。
都是少量的少量供不应求的筹码交换,反映到成交量上一定是萎缩的,而出货则不同,主力卖出的筹码一定是海量的。
你想要多少,他给你多少,一定是供过于求,所以成交量必定是放大的。
那么第二呢,要看当下股价的一个相对的高低位置。当股价从底部拉升百分之三十的时候,主力洗盘都是大概率事件。
因为主力有它的综合成本,它的成本要远远大于散户,必须把股价拉升到百分之五十以上,它才有可能会盈利。
所以说在百分之三十的位置缩量洗盘呢,就是为了下一步继续拉升股价做准备。而一旦股价涨了百分之六十以上。
在高位出现放巨量,主力随时都有可能是在出货,因为他已经赚钱了,主力也会选择随时的落袋为安。
当然也有涨了好几倍呢,才出货百分之六十只是一个相对的数据啊。
第三呢,咱们要看当天分时走势的,政府只要是低位的洗盘,他的目的是要把你的筹码吓跑,所以主力当天一定会制造一个上窜下跳的分时走势。
来吓唬那些心理素质不好的散户,而高位出货则不同,当天分时走势肯定是相对的平缓,震幅呢偏小,因为主力需要一个稳定的价格区间呢。
来完成它的平稳卖出或者是大幅高开之后呢,一路缓慢走低。它在缓慢走低的过程中逐渐完成它的出货的过程。
第四点呢是看k 线形态和筹码的分布。在主力洗盘的时候,它的筹码在底部一定是不通的,而在出货的时候呢。
他的筹码在高位一定是不断的抬高洗盘,多数都是横向震荡整理的k 线形态。而出货呢多数都是在高位不断的冲高回落。
然后放量滞涨,大家好好重复收听,相信一定会给你带来很大的帮助。大家一直都很疑惑的问题就是。
一只股票长期跌跌这么深,主力到底怎么赚钱,想知道答案,你就必须明白主力的交易逻辑和散户的交易逻辑。它有着本质上的区别。
散户看的是股票的短期价格,而主力看的是股票的长期流通性。记住啊长期流通性,这是什么意思呢?
散户只需要关心股价,涨了就可以卖,而主力更关心的是,我这只股。
有多少资金能参与进来,而不是现有职场的盈亏情况。这就好比赌场老板啊,不怕你客人赢钱,就怕客人不来玩儿。
所以抬拉股价对于主力来说就跟赌场出老千一样,太简单了。大家可能觉得主力专坑散户是一个时而不失的坏人。
你要知道,主力的存在不仅仅是为了割散户,割散户只是主力的劳动成果,而主力的主要责任就是维护股票市场的流通性。
你哪天不高兴了,卖出销户不玩了,但主力不行,一是筹码太多卖不掉。二是就跟艺人签了协议一样,不是你想走就能走的。
所以作为回报,主力可以利用定价权来操控市场或者收益。
这是主力和监管层达到的共识,让你干活不发工资,你愿意吗?这里又涉及了一些金融的专业知识。
我们同样也讲一下,一旦市场没有人维护,流通性将是什么样子,大家可以参考一下新三板市场和港股市场。新三板市场的股票两百块钱。
就可以拉翻倍。而有的港股一天就成交几百块钱。
股票压根儿就卖不出去,所以散户也好,主力也好,其他机构也好,他们就扮演不同的角色。而这些角色。
他的存在都是合理的。
借这个话题同样说一下,也有很多主力坐庄失败的案例,拉高了出不了货,最后没办法让黑嘴放消息,先散户接盘。
或者像人工控股那样,一次性就搞十几个电梯板,这些都是不得已而为之。
没有哪支主力希望以这种方式让自己浮出水面。而我们散户在做交易的时候有优势也有劣势。就看你能不能利用好。
然后这里给大家说个小技巧,就是除了新股和亏损股之外,如果你发现一只股票长期在第一位横盘。
长期啊。
只要它的量缩到极致,你就可以重仓薄反弹或者反转。
具体交易情况根据交易逻辑来定,基本上赚钱都没有问题。
最后做下总结,就我讲的这些东西,主要还是希望大家改变原有那种对主力牛鬼蛇神的看法,看清对手。
敬畏市场,赚钱就会。
Today I will tell you about the main behavioral science, because the content will violate the interests of some bigwigs and will be deleted at any time, please hurry up and download it.
In the market, retail investors are most afraid of two things. First, the main focus of Pai is that they will be washed out, and the price will rise as soon as they are sold. Second, they are afraid of the main shipment.
Afraid of being abandoned by the main force, you will fall as soon as you buy it. The four-point resonance recognition method we shared today can easily identify the true intention of the main force at the moment.
When the main force is washing dishes, we get in the car, and when the main force is shipping, we get off the car and harvest the money for leeks together with the main force. The main points of the four-point resonance are summarized.
Which of your last four points will be notarized? The first depends on the trading volume. As long as the main force is washing the market, the trading volume must be shrinking. Why? Because the ultimate goal of the main dishwashing.
I want to buy a pound of retail bargaining chips at a low price. At this time, the bargaining chips must be in short supply. And the ones that are washed out are all the bargaining chips in the hands of small retail investors.
It is the exchange of a small amount of chips that are in short supply, which reflects that the transaction volume must be shrinking, while the shipment is different. The main selling chips must be massive.
As much as you want and how much he will give you, there must be an oversupply, so the trading volume must be enlarged.
So second, it depends on the relative high and low position of the current stock price. When the stock price rises by 30% from the bottom, the main wash is a high probability event.
Because the main force has its comprehensive cost, its cost is much greater than that of retail investors, and the stock price must be raised to more than 50% before it can make a profit.
Therefore, shrinking the volume at 30% is to prepare for the next step to continue to increase the stock price. Once the stock price has risen by more than 60%.
In the high position, there is a huge amount of release, the main force may be shipping at any time, because he has already made money, the main force will also choose to settle the bag at any time.
Of course, it has also increased several times, and only 60% of the shipment is just a relative figure.
Third, let's look at the time-sharing trend of the day. As long as the government is washing low, its purpose is to scare your chips away, so the main force will definitely create a time-sharing trend that jumps up and down that day.
To scare those retail investors with poor psychological quality, while high-end shipments are different. The time-sharing trend of the day must be relatively flat, with a small shock amplitude, because the main force needs a stable price range.
After completing its steady selling or opening sharply higher, it slowly goes down all the way. It gradually completed its shipment process in the process of slowly falling.
The fourth point is to look at the candlestick pattern and the distribution of chips. When the main force is washing the plate, its chips must be unreasonable at the bottom, and when it is shipped.
His chips must be constantly raising and washing at high positions, and most of them are in the candle-line pattern of horizontal shocks. And most of the shipments are constantly rising and falling at high positions.
Then the volume is stagnating, and everyone repeats it, I believe it will bring you a lot of help. The question that everyone has always been puzzled about is.
If a stock has fallen so deeply for a long time, how do the main players make money? To know the answer, you must understand the main trading logic and the retail trading logic. It is fundamentally different.
Retail investors look at the short-term price of stocks, while the main focus is on the long-term liquidity of stocks. Remember long-term liquidity, what does this mean?
Retail investors only need to care about the stock price, and they can sell it when it rises, and the main force is more concerned about my stock.
How much money can be involved instead of the current profit and loss situation of the workplace. This is like a casino owner, who is not afraid of your guests winning money, but afraid that the guests will not come to play.
Therefore, raising the stock price for the main force is the same as the casino's money, it is too simple. You may think that the main pit retail investor is a bad guy who never loses.
You have to know that the main force is not only for the purpose of cutting off retail investors, it is only the result of the work of the main force, and the main responsibility of the main force is to maintain the liquidity of the stock market.
You are upset one day, and you won’t be able to sell it anymore, but the main force is not enough. The second is that it’s just like signing an agreement with an artist, it’s not something you can leave if you want.
So in return, the main force can use pricing power to manipulate the market or profit.
This is the consensus reached by the main force and the supervisory authorities, letting you work without paying wages, are you willing? Here again involves some financial expertise.
Let us also talk about what liquidity will look like once the market is not maintained by anyone. You can refer to the New Third Board market and the Hong Kong stock market. The stocks on the New OTC Market are two hundred yuan.
It can be doubled. And some Hong Kong stocks trade hundreds of dollars a day.
Stocks cannot be sold at all, so whether they are retail investors, main players, or other institutions, they play different roles. And these roles.
His existence is reasonable.
Let’s also talk about this topic. There are also many cases where the main players failed to sell the goods. In the end, there was no way to let the black mouth release the news, and the retail investors first accepted the order.
Or, like manual holding, you can build more than a dozen elevator boards at a time, which is a last resort.
No main force wants to surface themselves in this way. And our retail investors have advantages and disadvantages when doing transactions. It depends on whether you can make good use of it.
Then here is a little trick for everyone, that is, in addition to new stocks and loss-making stocks, if you find that a stock has been trading sideways in the first position for a long time.
Long-term.
As long as its volume shrinks to the extreme, you can rebound or reverse the position.
The specific transaction situation is determined according to the transaction logic, and there is basically no problem in making money.
Finally, I will make a summary. As far as I talked about these things, I mainly hope that you will change your original view of the main force, the ghosts and the snakes, and see your opponents clearly.
Respect the market, make money.

今天跟大家讲一下主力行为学,因为内容会触犯某些大佬的利益,随时都会被删除,请大家赶紧收藏下载吧。
在市场中,散户最怕两件事,第一,帕主力洗盘怕被洗出来,一卖就涨,二怕主力出货。
怕被主力所抛弃,一买就跌。今天咱们分享的四点共振识别法,可以轻松识别主力当下的真实意图。
咱们在主力洗盘的时候,上车,在主力出货的时候,下车,和主力一起收割韭菜的钱。四点共振的要点总结呢。
在您的最后哪四点公证呢?第一要看成交量,主力只要在洗盘,成交量一定是萎缩的,为什么?因为主力洗盘的最终目的。
是想要低价买一斤散户的筹码,此时的筹码一定是供不应求。而洗出去的呢都是小散户散户手里的筹码呀。
都是少量的少量供不应求的筹码交换,反映到成交量上一定是萎缩的,而出货则不同,主力卖出的筹码一定是海量的。
你想要多少,他给你多少,一定是供过于求,所以成交量必定是放大的。
那么第二呢,要看当下股价的一个相对的高低位置。当股价从底部拉升百分之三十的时候,主力洗盘都是大概率事件。
因为主力有它的综合成本,它的成本要远远大于散户,必须把股价拉升到百分之五十以上,它才有可能会盈利。
所以说在百分之三十的位置缩量洗盘呢,就是为了下一步继续拉升股价做准备。而一旦股价涨了百分之六十以上。
在高位出现放巨量,主力随时都有可能是在出货,因为他已经赚钱了,主力也会选择随时的落袋为安。
当然也有涨了好几倍呢,才出货百分之六十只是一个相对的数据啊。
第三呢,咱们要看当天分时走势的,政府只要是低位的洗盘,他的目的是要把你的筹码吓跑,所以主力当天一定会制造一个上窜下跳的分时走势。
来吓唬那些心理素质不好的散户,而高位出货则不同,当天分时走势肯定是相对的平缓,震幅呢偏小,因为主力需要一个稳定的价格区间呢。
来完成它的平稳卖出或者是大幅高开之后呢,一路缓慢走低。它在缓慢走低的过程中逐渐完成它的出货的过程。
第四点呢是看k 线形态和筹码的分布。在主力洗盘的时候,它的筹码在底部一定是不通的,而在出货的时候呢。
他的筹码在高位一定是不断的抬高洗盘,多数都是横向震荡整理的k 线形态。而出货呢多数都是在高位不断的冲高回落。
然后放量滞涨,大家好好重复收听,相信一定会给你带来很大的帮助。大家一直都很疑惑的问题就是。
一只股票长期跌跌这么深,主力到底怎么赚钱,想知道答案,你就必须明白主力的交易逻辑和散户的交易逻辑。它有着本质上的区别。
散户看的是股票的短期价格,而主力看的是股票的长期流通性。记住啊长期流通性,这是什么意思呢?
散户只需要关心股价,涨了就可以卖,而主力更关心的是,我这只股。