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    Stock Terms: Makers

    2011/3/1 15:28:00 55

    Stockholders

    Dealer: a large family who can influence the market of a certain gold and silver coin.

    Investor

    It usually occupies more than 50% of the circulation, sometimes.

    Banker

    Control volume is not necessarily 100%, depending on the variety, generally ten percent to thirty percent can be controlled.

    3. main force: refers to many gold and silver coins, and even the trend of investors.

    Usually there are dealers and speculators.


    1, the dealer is also.

    Shareholder


    2, makers usually refer to shareholders who hold a large number of tradable shares.


    3, a dealer's stock can affect or even control its stock price in the two level market.


    4, the dealer and the retail investor are a relative concept.


    Introduction of banker's analysis method


    Makers must also profit from stocks.

    The difference between buying and selling is also profitable.

    Unlike retail investors, he can control the movements and prices of stocks. That is to say, retail profits are driven by the expectation of rising share prices, while the makers themselves drive the rise in share prices.

    Therefore, the dealer's speculation includes four parts: Jiancang, Gao Gao, sorting out and shipping.

    The so-called "wash dishes" are mostly for eating goods.

    Generally it is the trilogy of eating, pulling and going out.


    The dealer usually chooses the stock price lower, and hopes that the lower the better, he would like to smash two boards and buy it again.

    So, "pull high and eat goods" and so on, as well as the stock price has reached a record high, also said that it is to eat goods, and so on, do not believe it.

    After the goods are finished, there will be a rapid pull up process.

    Once a stock starts to go up, it breaks away from the safety zone and has the possibility of shipping at any time.

    So my mid line recommendation is at the low end.

    When the dealer thinks that the shipping time is not yet available, it is necessary to make a horizontal arrangement at the high level. Generally, a price difference is made. Retail investors are easily mistaken for shipment.

    The head of the dealer usually has to do the head. The head is characterized by large volume and large amplitude. Unless the head is caught up in the market, the head time of the general stock is more than 1 months.


    The analysis method of the dealer is a comprehensive analysis method. It can not only look at the graphics, but also refer to the technology, and also pay attention to the fundamentals and some peripheral situations of the stock.


    Stock market has two main points.


    First, the makers must come directly to participate in the competition so that they can win.


    Second, the dealer must also have ways to control the development of the situation and let himself win.


    Therefore, the banker must divide the warehouse into two parts, one part is used to build the warehouse, this part of the fund's role is to directly participate in the competition, and the other part is used to control the stock price.

    And the stock market must use some of the funds to control the disk, and the risk of controlling this part of the funds is bigger. The profits are low and may even be lost.


    There are costs in controlling the market. Therefore, it is necessary to carry out the cost accounting in order to make a market. We should see how the cost of the control panel is compared with the profit of the warehouse fund. If the cost of the control plate exceeds the profit, then the village can no longer go on.

    Generally speaking, the winner is the winner. The cost of controlling the disk is definitely less than that of the profit.

    Although there is no cost control beyond the market, the stock market has some rules that can be used by the dealer, which can ensure that the cost of the control is lower than that of the warehouse.


    The basis of control is that the operation of stock price is non-linear, and the rapid concentration of a large number of pactions can make the share price rise and fall rapidly. The slow trading volume, even if the volume is large, has little effect on the stock price.

    As long as the nature of the market continues to exist, the dealer can take advantage of this.

    The reason why stock prices have such a movement is that there are a lot of blind investors who lack the ability of analysis and judgement in the market. They are the foundation of success.

    With the improvement of the overall quality of investors, the difficulty of sitting will be bigger and bigger. However, it is still necessary to win the game. The reason is that the market is always in a passive position in the market, so the market is always in a passive position in the analysis and judgement of the market, which is the objective reason leading to the passive performance of the group.

    This factor will always exist, so the market will always have such passivity that can be exploited by the dealer.


    The banker controls the rise and fall of stocks.


    The makers control the rise and fall of the stock market through the beat of the dealer.


    The dealer's strike is mainly to make use of volume to create stock prices conducive to the makers to attract retail investors to follow up or sell. The makers often use the knocks in Jiancang, Cang warehouse, pull high, shipping and rebounding market.


    First, the way to knock down the stock price through the way of knocking is built, so as to buy more cheap chips at lower prices.

    On the K-line chart of stocks, when stocks are in low position, stock prices tend to rise continuously along the 10 day moving average along with the small Yin and small Yang, which means that the dealer is pulling up the warehouse, and then the volume enlarges and the stock price drops continuously.

    During this period, the main characteristics of the K-line chart are: stock prices are basically in the low side (but also pull up the trading limit), but the volume is significantly increased. From the point of view, the volume of each stock falling is obviously greater than that of the rise or the cross trading volume. At this time, each paction volume will remain at a relatively high level (because the retail investors have not yet done a lot in the low position Gen Jin).


    In addition, when the low position, the banker uses the splint technique more and more, and there are large sales orders on the top and bottom. There is a few cents in the middle. At the same time, there are always small bills to eat. The purpose is to let the shareholders feel that the stock market has been losing a lot of pressure and thrown out their stocks.


    Second, pull up the use of the method of striking to substantially raise the stock price.

    The banker made use of a large amount of handwriting to beat the stock market to create a false impression that the stock was valued by the market, so as to raise the expectations of the shareholders and reduce the selling pressure of the stock in the future.

    In this period, the retail investors tend to have the feeling that they can't buy it. They need to pay a lot of prices to deal with them.

    From the point of view, small bills are often not easy to deal with, each volume is clearly rhythmic to enlarge.

    The trading volume of strong stocks is above three digits, and the share price rises very quickly. There will be no downfall. The purchase will follow up very quickly. At this time, each volume will be reduced.


    Third, when the coffer is washing the dishes, because the profit from the wind plate is relatively large, the banker will generally adopt a big way to knock the coffers so that some infirm investors will be out.

    From the point of view, the volume of highs and lows is clearly magnified in the intraday concussion, which is caused by the considerable control of stock prices by the makers in order to control the rise and fall of share prices.


    Fourth, after a high knock on the warehouse, some stock commentators will also be optimistic about the long term, and the stock price will be attacked again.

    At that time, the dealer started to ship the goods. From the point of view, we often had a larger sale on the disc and sold on the third floor, but we didn't see that there was a big sale on sale.


    After the deal, buying the original or buying the second or even buying the bill has disappeared or reduced. This is often the trap that the dealer uses the delicate time difference declaration method to set up for some inexperienced investors. The retail merchants often eat the advance orders sold by the banker, and the dealer who sells chips is often followed by the retail investors.


    Fifth, after the shipper's shipment, stock prices have dropped, and many small and medium-sized retail investors who have followed the trend have been locked up, and the volume has obviously shrunk. The dealer will find opportunities to use larger pen and paper to beat up the stock price (at this time the dealer will not work harder as before). The larger sale will suddenly appear, and suddenly disappear, because the dealer's purpose of raising the price is only to raise the stock price appropriately, so that the last chip in the hand will be sold at a good price.

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