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    Stock Market Interpretation: Firm Offer Is Always The Most Reliable Operation Basis.

    2016/7/16 18:49:00 45

    A Firm OfferStock MarketStock Market

    Last weekend bragging said that the end of the rally will not be at 3100, or close to 3100 points in the front, or break through 3100.

    Judging from this week's market, although we can not conclude that the rebound has ended, the probability of short-term structural adjustment cycle is still high.

    Here, I want to remind some investors that some stocks didn't increase much at the end of June, but they didn't mean that.

    Individual stock

    There is no risk. It is far from the question of the increase. From the Spring Festival to the present, many stocks have risen more than 50%, and the increase is not uncommon. These stocks should take full advantage of the opportunity to distribute chips when they are well off in the recent market.

    First, the performance of gem and small and medium-sized boards is not as good as expected.

    I mentioned before that the market level should be promoted. The sign is that when the market is rested, the gem and the small and medium-sized boards must take the initiative to maintain the popularity and create the money making effect. But the fact is that the gem and the medium and small boards only show two impotence on the two trading days. The breakthroughs in the two breakthroughs on Wednesday cannot be ruled out by the suspicion of false breakthroughs.

    If the small board can not relay, then the whole rebound will be greatly reduced regardless of the time period or height. It can only be a structural stage rebound level, which needs to be soberly treated.

    Second, the construction of leading stocks in the early hot spots.

    Since late June, the rebound force has mainly come from the resource sector led by gold and the food and beverage sector headed by liquor, as well as the previous sub stock market. Other sectors have also rebounded to varying degrees, but so far, it has not yet surpassed the category of overfall and rebound.

    Judging from the performance of the leading stocks of the three hot spots in the early stage, there are obvious signs of building up the top stage, while the new hot spots can not be relayed in a timely manner, and the pulse switching is faster. The characteristics of the one-day tour are obvious, and the profit making effect is not as good as the early stage of the rebound. All these indicate that the adjustment pressure is increasing.

    Of course, because of the current round.

    rebound

    Until now, it is only a structural rebound, the upgrade has not been further confirmed, so the adjustment should also be a structural risk.

    Specifically how to treat this kind of

    Structural risk

    It depends on the stock you hold, whether the value is underestimated, whether the speculation has been fired, and whether the phase rises are high or not, which determines the degree of risk. If you can understand the intention of the main body of the stock, then you can follow the main force to advance and retreat. This is the best strategy.

    The adjustment here can not be concluded yet. The whole rebound is over. Is there any new hot spot after the adjustment and the sustainability of the hot spots is the key.

    Specifically, we can see in the trend of the future, not optimistic, not pessimistic, and always remain sober and alert.


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