政策和技术共振的闹剧

?<wbr><wbr><wbr><wbr><wbr><wbr><wbr><wbr><wbr>?<wbr><wbr><wbr><wbr><wbr><wbr><wbr><wbr><wbr>?<wbr><wbr><wbr><wbr><wbr><wbr><wbr><wbr><wbr> 所谓的政策和技术共振,不过是一场闹剧,它改变不了市场本身的强弱和趋势。

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?<wbr><wbr><wbr><wbr><wbr><wbr><wbr><wbr><wbr>?<wbr><wbr><wbr><wbr><wbr><wbr><wbr><wbr><wbr>?<wbr><wbr><wbr><wbr><wbr><wbr><wbr><wbr><wbr>?<wbr><wbr><wbr><wbr><wbr><wbr><wbr><wbr><wbr>在央行出重拳出击下(“双率”下调幅度超预期),给市场人士画了一个大饼(希望),特别技术派人士(技术和政策共振),导致市场大幅度跳高开盘,在9:31分见最高点2022(空间上一步到位,这种脉冲式的上涨无疑是提示场内资金要减持或出场),收盘于今天的最低价附近,日K线画了一根大阴线,基本上把今天的缺口全部补上,这是弱势市场的特征。

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?<wbr><wbr><wbr><wbr><wbr><wbr><wbr><wbr><wbr>?<wbr><wbr><wbr><wbr><wbr><wbr><wbr><wbr><wbr>?<wbr><wbr><wbr><wbr><wbr><wbr><wbr><wbr><wbr> 今天的成交量得到了放大!?细看成交量放大的细节,我们知道成交量放大有两段时间,一段时间是上午10:00前放大量下跌64个点左右,下跌幅度超过3%;另一端时间下午最后一个60分钟放大量下跌56个点左右,下跌幅度接近3%,房地产板块的涨停个股纷纷大幅度打开涨停下跌。“放大量下跌”这是资金出逃的结果,这是弱势市场的特征。

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?<wbr><wbr><wbr><wbr><wbr><wbr><wbr><wbr><wbr>?<wbr><wbr><wbr><wbr><wbr><wbr><wbr><wbr><wbr>?<wbr><wbr><wbr><wbr><wbr><wbr><wbr><wbr><wbr> 昨天市场的弱势无疑是非常明显,这点在昨天的《今天市场勉强站稳1895(弱势的特征)》博文中说得非常清楚。虽然昨天央行出重拳出击“双率”下调幅度超市场预期,但是无力改变市场弱势状态,今天市场还是延续市场的弱势状态。

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?<wbr><wbr><wbr><wbr><wbr>?<wbr><wbr><wbr><wbr><wbr>?<wbr><wbr><wbr>?<wbr><wbr> 目前市场进出操作虽然盈利不少,但操作难度还是比较大。可以考虑用20天均线和60天均线作为控盘线(工作线),指数在20天均线和60天均线之内盘整,可以玩“高抛低吸”的游戏。指数在选择方向时放量突破,要敢于“追涨杀跌”,“追”的很有可能是主升浪,“杀”的很有可能是主跌浪。

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?<wbr><wbr><wbr><wbr><wbr><wbr><wbr><wbr>  声明:本博客内容仅代表本人的观点,只做参考并不构成操作建议,据此买卖者,风险自担!

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