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    Beginners Need To Read In The Stock Market: Five Exercises Should Be Practiced Beforehand.

    2011/4/21 14:26:00 53

    Optimal Allocation Of Funds And Capital

    First, we need to see.

    Capital side

    That is, supply and demand in the market. Supply and demand are always the factors determining prices.

    Whether it is a stock or a large market, it is capital that drives it up. So the first lesson for investors to understand is the supply of funds. In the stock market, how much money there is in the market and how much money will be available outside the market.

    Whether the volume and price of the market remain the same.

    As long as the amount of money in the market continues to rise, the direction of the market will not change. In this case, the probability of investors making money will be very high.


    Usually people buy goods, they will understand supply and demand, buy stocks, and generally need to know how much money the existing stocks have locked, and how much of the lifting of the ban. How much will the new stocks need?

    Amount of funds

    These data can be found.


    Second, we need to look at the strategy, namely the macro economy. In the final analysis, the stock market is a barometer of a country's economic operation. Before the stock market reform is completed, China's barometer is not very smooth.

    Economic optimal allocation

    The interaction between it and the economy becomes closer.

    Most of the government's policies are also related to the operation of the macroeconomy.


    The third level is the study of the fundamentals of enterprises, that is, the selection of individual stocks, to know which enterprises have more growth, better returns, whether their products are unique, whether they have the characteristics of technology, policies and so on, and can squeeze out competitors. In investment theory, there are two theories, one is from top to bottom, namely, the macro and micro, and the selected stocks reflect the bottom-up investment theory. Everyone is familiar with the story of Buffett investing in Coca-Cola. This is the truth. No matter how the external environment changes, as long as the fundamentals of the company remain unchanged, the price of corporate stock will eventually return to its value.


    The fourth pass is to go through technical clearance. This has something to do with the specific trading point. The operation of the large market, the situation of the main control panel, the knowledge in this area is large, but many of the existing techniques are lagging behind. Experts suggest that more attention should be paid to the relationship between volume and price, and other technical indicators can be relatively weakened.


    The fifth hurdle is psychology. In addition to all the specific quantifiable indicators mentioned above, investment is confidence index, and this confidence index comes down to greed and fear that people often talk about.

    This mentality believes that every investor has specific feelings. As an investor, he must make sure that investment is a serious matter. If discipline is to be carried out, we must first understand what kind of person we are, what risks we can take, formulate corresponding operational plans, and strictly follow the planned reservation.


    In the final analysis, investment is a happy and serious matter. If you want to be responsible for your own money, you will not be overwhelmed by the market.


     
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