Beware Of "Trap Tactics"
After years of tracking the trend of the main funds, I have roughly divided the three stages of the falling stock market into "empty, short and empty".
When the stock market has gone up sharply and lacks further power to rise, the main funds will turn from many to empty. When the stock market goes down, more main funds will be added to the sell-off. When the stock market is in place, there will often be an irrational fall down market. This stage is the stage of panic selling and the emptiness of the main funds.
The main force in the end of the market downturn
capital
It is very good at using all kinds of "trap tactics" to intimidate investors, so as to achieve the purpose of arbitrarily suppress stock prices and confuse investors, so as to build up positions and absorb cash.
Many stocks were built at the bottom of the fierce slump, and finally formed a vigorous and strong market.
At this stage, in order to guard against the killing of the main capital "trap tactics", it is necessary to understand the characteristics and rules of this tactic.
In my view, the main tactics of the "capital trap" are accomplished through two means.
The first is to use negative information to induce investors.
There are many kinds of bad news.
I. will
loss
One time centralized announcement will facilitate the smooth realization of performance in the next fiscal year.
When the bad results are published, it is easy to scare the cheap chips of investors, and then, when the results are announced, investors may find that the stock price is already high.
Two, publish refinancing information such as large scale additional issuance or unsatisfactory allocation scheme; three, use some false rumors to intimidate some superstitious gossip investors.
First, if the stock price of a particular stock is high, if it fails to recover the 5 day moving average for three days in a row, it is prudent to withdraw early when it is not serious.
Two, a certain
shares
The stock price broke the 20 day, the 60 day moving average or the 120 day of the lifeline.
Average (half line), 250 day moving average (annual line), generally 8% to 15% or so, or retreat to see better.
Of course, if the money is not in urgent need, it will not be possible to die. But please fully estimate the possible variables in the future.
Three, on the daily chart, when the big line from the top to the bottom suddenly falls, and when it breaks down the important platform, no matter whether the second days are bouncing or bouncing, or when they cross the star, they should get rid of their goods.
Four, in the event of a major good day is not ready to sell, second days to sell high may get more benefits, but there is a certain risk, think twice.
Five, about a week before major festivals, began adjusting the chips in hand, or even emptied stocks, waiting to wait and see.
Six, the policy side should explicitly withdraw from the stock market after the relevant media explicitly or imply that it is necessary to rectify the "gold medal" notice.
Seven, after the formation of the market bottom, stocks will usually have an increase of about 30% to 35%.
Remember, don't be greedy. Don't listen to the experts' nonsense. There are 38.2% to 50%, 61.8% and so on.
The one that can rise again, give the man who has the courage to earn it.
Eight, when the social, political and economic situation of the international and neighboring countries tends to be abominable, they will be ready to withdraw.
Similarly, when the same problem or uncertainty occurs, how much more can be produced and the funds should not stay on the stock market.
For reference only, do not make any basis for sale!
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