在币圈散户如何处理利空资金 在币圈散户如何处理利空的股票

① 散户怎么会提前知道,让散户知道的就是利空

拉高吸引散户,突然下杀制造套牢盘套住散户,然后慢慢盘整或者盘跌,让被套牢的散户失去耐心,在低点割肉,再吸收筹码足够后,迅速拉升股价脱离成本区,然后开始盘整,因为有强势拉升之后盘整又不跌,之前拉升太快,散户不敢买入,现在盘整上上下下,散户开始敢买,随即再迅速拉升,让这一段盘整买入的散户庆幸自己买对了,通常这就是股票上涨第三波的主升段。
然后再进入盘整,这里盘整的目的,是吸引新的散户买入,而因为修正幅度又不大,之前买入的散户也不会卖出。等买入的散户足够多,主力就会迅速的开始第五波末升段的拉升。这里买入的散户也会和之前的散户一样,产生买对了的错觉。
于是主力在这里就开始边拉边出,因为这里的涨升不像第三波那样连续,所以在拉的过程还会不断有散户追入。等到主力持股出脱大半,就会开始迅速下杀股价,而之前买入的股民散户因为之前震荡后又涨的经验,就不会卖出。等到发现股价持续下跌到一个恐怖的位置。散户就会开始恐慌杀跌,这时候主力又会进场快速拉升。比如去年3373那一段,让散户以为牛市又开始,但实际这里只是ABC下杀的B波反弹,是主力给散户错误信心的做法。于是散户又被骗了。
于是,主力又会快速下杀出清筹码
散户就是这样周而复始的被割韭菜。

要想转变去学习正确的技术面筹码面知识

制定严格的止盈止损纪律 利用学会的东西建立一套高成功率的交易系统

当你能长期保持小赚+小赔+大赚 自信自然就有了

但是记得 只小赔 依靠的就是止损策略的严格执行

买入就跌 或者买入3天不涨 代表你分析的错误 错了就要认

记住学知识不是网络出来的那些大路货色

而是能拉出来在行情中实证 验证 成功率在七成以上的技术分析方法
举个例子
阳线吞噬 就是阳包阴 无论你在哪里找的知识 都会告诉你后市看多吧
但在A股二十年的统计中 阳线吞噬之后的走势 涨跌对半的概率 那么这种技术分析有用么?
更不要说 如果一段上涨后出现的阳线吞噬 叫做双人殉情 后市七成要下跌 比如2638之后出现的那2次 和1月9日3147那一次
相反的例子是贯穿线 后市上涨的概率超过七成 你看看创业板这几个月出现的三次贯穿线 是不是每次都出现短线反弹? 包括这次1月17日的
这还只是K线 还有成交量 筹码面 形态等等综合知识去研判的方法

② 比特币在中国己关闲了,但现在中国散户怎么办

散户就不应该参与比特币的投资这种不受国家法律保护风险极高。

③ 虚拟币怎样拉盘和砸盘

小币种很容易被控盘,有的小交易所甚至也参与控盘过程。主要包含吸筹、洗筹、拉升、出货四个步骤。
第1步:吸筹。数字货币市场,庄家的筹码数量占比达到30%及以上,才有可能控盘。为了低成本的获取更多筹码,庄家会释放负面消息,同时利用手中筹码,主动挂单低卖,其价格比正常价格低,使得成交币价实时下跌,不明真相的散户很容易受负面消息和下跌行情的影响,心生恐慌,从而杀跌,卖出手中筹码,庄家此时在低位买入筹码。
第2步:洗筹。庄家在吸筹之后,一般不会立即拉升,而是横盘震荡了一段时间,洗盘的目的是因为庄家在低价吸筹过程中,也有一部分散户可能也在低价买入了,通过持续维持横盘震荡的方式,强化散户的悲观情绪,让这部分意志不坚定的散户交出筹码,防止后期拉盘过程中,散户在高位抛售(此时散户利润比较大,抛售可能性很高),将庄家套住。
第3步:拉升。庄家会释放利好消息,比如哪个国家出台了利好政策、技术已实现到什么程度、哪个机构投资入场了等等。
第4步:出货。庄家在出货时,往往不能一次性全出,否则太明显,会没有足够的散户接盘,无法全身而退。所以,庄家一般会在高位分批次出货,即高位区间震荡的方式分批出货。赚取巨大利润。
目前在虚拟币市场,小的交易所也有控盘可能,盘子越大的越不容易被操纵,因为拉盘和砸盘的成本很大。目前交易所交易量前三位基本是:1.QUBE2.bitmex3.okex;另外,不只小币种,甚至有些很出名的币种,例如EOS,都是被庄家操控的。动K线分析的只要去观察他们的交易图遍能够知道个大概,所以EOS在庄家全身而退之后,币价一直上不去。

④ 散户该如何应对市场急跌

做任何事都是事后应对,不如事中控制,事中控制不如事前预防。


当暴跌发生时再想如何应对——已是事后了,应属于下策了。


先说下策的暴跌后应如何应对:


当股市暴跌后散户最重要的是要保持冷静理性的心态。


1要理清思路看清目前的暴跌是怎么发生的。


如果是因市场资金信心不足等非实质性利空消息暴发后发生的恐惧引起的大跌,而你所持有的个股买入价格并不是很高,那么你应当勇于持股甚至要找机会加仓。


如果是市场暴涨已久,积累了大量的获利盘。在个这个情况下,你的股票如果获利很多,市场开始暴跌。。。此时你最好是尽量牺牲些利润争先卖出。因为后市的下跌空间很大,当暴跌刚开始时,如果能卖出去还不算晚。


如果你持有的股票由于暴跌已没有机会卖出,你应看看自己股票的质地是否为业绩优秀的股票。如果是好股票你就可以躺下装死甚至找机会补仓。如果你手中的股票业绩很差,那么你最好等能卖出后找机会清仓或换成蓝筹股。

总之要迅速了解当天的情况,看看市场上有什么样的消息影响。


2要想清楚自己买入股票当时的初衷。


在暴跌后人们很容易恐慌而思路大乱。此时就应回到自己当初买入股票的理由上面来,如果买入时的理由在现在已不成立或已接触到当时买入就制定的止损位,则必须马上卖出。如果在买入时想的就是做长线,当时你想的就是做价值投资,那么你就应当笑看风云变幻了,也就没有必要急于卖出了。


再说上策的在暴跌前如何预防


真正成熟股民或高手都是在买入前就已对可能可发生的暴跌做好了充足的准备。

表现为事前预防,就如加油站平时常备灭火器和经常做消防演练一样。


主要的预防措施有:


1持仓品种多样化


这样可以在暴跌时分散风险或对冲风险。


2在市场高位时严格控制仓位


当市场已暴了数倍或已涨了几年,此时就应退出一部分操作资金落袋为安。以防止股市的暴跌。甚至可以只用盈利的这部分资金操作。其它资金全部退出市场。


3要有止盈的思想观念


怎么样才能做股市的常胜将军。


圣人老子在《道德经》说过:知足不辱,知止不殆,可以长久。


意思说在为炒股时只要不追求赚的最多,不追求卖到顶点,设定止盈就可以长久的立于市场上了。


多么既浅显而又深奥的道理啊!这可是市场上那些追求卖到最高点的大仙们最不爱听的。


当散户在市场上获利已多又看不清市场方向时,退出市场当然是最好的选择了。

⑤ 大爆仓!比特币15分钟8亿资金灰飞烟灭,散户该怎么办

在这样的情况下大多数散户肯定是能出手的出手,是在是不能出手的也没有的别的办法,就只能寄希望看看能不能缓过来了。

一些平台规定,因用户强平单未能及时成交而造成的平台损失是穿仓,穿仓发生时,平台会优先使用部分风险准备金来弥补自身损失,余下则需当周所有的盈利用户按照一定比例摊派来弥补平台的损失。


⑥ 一个币散户都高位抛了会怎么样



基本概念:

一、散户

狭义:散户指在股市中,那些投入股市资金量较小的个人投资者。广义:散户是相对与机构而言的,个人投资者都可以称为散户。是因为无论个人拥有多少资金在资本市场面前都是极其少量的。90年代中,众多散户的交易集中在一层的大厅中,称为“散户大厅”,配有若干自主委托系统进行自主交易。商务印书馆《英汉证券投资词典》解释:散户 indivial investor。亦称:股民,个人投资者。通过证券公司为自己购买证券进行投资的人。他们只能为自己服务,没有任何中介职能,不得为他人服务。另为:retail investor;retail shareholder。

中国股市近年在全球股市上涨的背景下却由于诚信问题、监管问题等结构性

问题而连年下跌,在这样的市场中,散户处于最为不利的博弈位置,不少均遭受了损失。解决了以上结构性问题后,散户在市场博弈中将获得更大的机会。不少散户因以前的亏损在投资心理上存在阴影,但是人民币升值等机遇也给了散户很多机会。

散户主要是指资金实力较小的投资者,其入市的资金一般也就三、五万元左右甚至更低,基本由工薪阶层组成。散户的人数众多,约要占到股民总数的95%左右,在证券营业部的交易大厅内从事股票交易的一般都是散户。由于资金有限、人数众多,在股市交易中散户的行为带有明显的不规则性和非理性,其情绪极易受市场行情和气氛的左右。

二、庄家

庄家,指能影响金融证券市场行情的大户投资者。通常是占有50%以上的发行量,有时庄家控量不一定达到50%,看各品种而定,一般10%至30%即可控盘。因交易量和资金量巨大,所以在期货市场上很少出现庄家。庄家也是股东。庄家通常是指持有大量流通股的股东。庄家坐庄某股票,可以影响甚至控制它在二级场的股价 。庄家和散户是一个相对概念。

典故:古称打箭炉,康定本地人将外地商人称为炉客。唐宋时,康定一带形成了茶马交易市场,陕商最早进入,有的男人比较弱,老婆也跟了出来,以前妇女地位低,女人在外不叫名字,而是在姓后带一个“家”字,比如姓刘的女人叫刘家,姓胡的女人被叫做胡家,这种称呼从古代一直延续到二十世纪七、八十年代,因为这个称呼和锅庄,藏族同胞称陕西商人为庄家,因为善于经营,积累了大量的财富,庄家逐渐成了有钱有势、说话一言九鼎、左右局势等的代名词。

我们在一些娱乐场合也能听到庄家,庄家这一称呼在各行各业影响深远,在麻将场上,说“谁坐庄,谁是庄家。”在赌博场上,发牌的人被称为庄家,庄家制定规则等等。

三、洗盘

洗盘是股市用语之一。洗盘动作可以出现在庄家任何一个区域内,基本目的无非是为了清理市场多余的浮动筹码,抬高市场整体持仓成本。庄家为达到炒作目的,必须于途中让低价买进,意志不坚的散户抛出股票,以减轻上档压力,同时让持股者的平均价位升高,以利于施行做庄的手段,达到牟取暴利的目的。

(一)直接打压式

直接打压较多出现在庄家吸货区域,目的是为了吓退同一成本的浮动筹码。在盘中表现为开盘出奇地高,只有少许几笔主动性买单便掉头直下,一直打到前一日收盘价之下,持仓散户纷纷逢高出局。在这里,投资者不要简单认为股价脱离均价过远就去捡货,因为开盘形态基本决定了当日走势,主力有心开盘做打压动作,这个动作不会在很短时间内就完成。因此,较为稳妥的吸货点应在股价经过几波跳水下探,远离均价3%-5%以上处。在此位置上,市场当日短线浮筹已不愿再出货,主力也发现再打低会造成一定程度上的筹码流失。这样,这个位置应该是在洗盘动作中较为稳妥的吸货点,就算当日不反身向上,也是当日一个相对低价区,可以从容地静观其变,享受在洗盘震荡中的短差利润。

尾盘跳水这个动作是主力在洗盘动作时制造当日阴线的一个省钱的工具。盘口表现是在临近收盘几分钟,突然出现几笔巨大的抛单将股价打低,从5分钟跌幅排行榜中可以发现这个动作。这个进货机会不好把握,建议实战中不要抱有侥幸心理去守株待兔地找这样的进货机会。

(二)宽幅震荡式

宽幅震荡较多出现在上升中途,容易被操作者误认为是主力出货。识别这个动作的要领是要观察主力是否在中午收市前用急速冲高的这个动作。一般在临近中午收市前急于拉升股价都是为了下午的震荡打开空间,此时盘中一般只用几笔不大的买单便打高股价,且冲高的斜率让人难以接受,均线只作略微上。这时手中持仓者最好先逢高减仓,因为马上股价就会大幅向均价附近回归,甚至出现打压跳水动作。这种情况下,均价可能任股价上窜下跳而盘整不动,此时均价的位置是一个很好的进出参考点。

摘要:

散户死拿着股票不撒手,庄家会怎么办,那么,这只股票会怎么样?

在中国这样的投机的赌场市场,散户是斗不过庄家的,散户虽多,但是都是一盘散沙,如果所有的散户能团结一条心,庄家还真的一点办法就没有。

问题是散户不可能一条心,庄家就有的是办法,散户死拿着股票不撒手庄家稍微拉高诱多高抛,如果反复向下砸盘,每次诱多后砸盘总有一部分散户出逃,如此反复拉小反弹向下砸盘,直到大部分散户赔钱出局。

作者:兰一股言

来源:雪球App

很多股票是庄家机构反复横盘,直到砸到所有的散户心理彻底崩溃,多头彻底绝望死心,砸到上市公司都受不了,砸到政府都受不了,出来救市,股市才真正见底,这个时候散户再也不相信股市的任何事情了,再也不愿意听到股市的任何声音了,这就是真实的股市庄家与散户的较量。

散户凭自己的能力和知识及信息是不可能战胜庄家的,只有找到真正的顶级专家跟着顶级专家,找准股市的死穴,才能在股市赚钱,例如,在大家都绝望时,抄大底,这才是散户在股市赚钱的唯一方法。

不同的庄家风格不同,有的庄快进快出,打一枪就走,有的庄长期控盘,操纵市场。

散户总觉着自己的对手是庄家,其实有些高看自己了,庄家的对手往往是另外的庄家,大资金之间博弈,才可能吃到大肉。收割散户这种事情,其实是大小非最爱干的。

回归正题,如果散户死都不交出筹码,庄家会怎么办。首先要看庄家的意图和庄家交易到了哪个阶段。

1、庄家与散户博弈集中在股本小的公司

对于股本大的公司,股票的主要持有者大部分是机构或一级市场的大股东,散户拥有的筹码太小,引起不了庄家的兴趣。换句话说,庄家主要与其他机构、庄家之间进行博弈。这种情况下,散户持不持股票对庄家来说,都不重要。

一般来说,庄家与散户博弈的场所都是股本小的公司,因为散户持有的股票较多。庄家要想完成一轮完整的“割韭菜”过程,必须收集足够的筹码,这就是所谓的吸筹。如果散户们都死拿着股票,庄家肯定会想各种办法来让散户把股票卖出,毕竟庄家持有资金要付出成本(绩效考核或拆借)。

2、庄家竭尽所能搞垮股价

庄家有的是办法跟散户斗,利用资金优势大量抛售股票,实现大幅杀跌;还可以联合公司发布利空消息,打压股价;制造技术破位的形态,造成散户内心恐慌.....在这个过程中,相信绝大多数散户会出现严重情绪化,被迫认输交出手中的“筹码”。从这个角度来看,炒股也是要求散户们具备“忍常人所不能忍”的素质。

庄家还有可能制造一波下跌趋势的股价反弹,一些坚定的散户有可能为了降低持仓成本,进行不断加仓。等散户们加仓完,庄家再制造一波大的下跌趋势,散户们还能不能坚定持有,这就很难说了。

3、散户被套牢,庄家离场,股价会一直波澜不惊!

反正庄家有的是资金玩,一次不行,再来第二次,直到拿到足够多的筹码,实现控盘状态。这时候,庄家会按原有计划进行控盘拉升,最终那些坚定不抛的散户会坐上庄家的顺风车,一起收割“韭菜”,赚得盆满钵满。而新入场的散户,就会在股价下跌过程中,被深套。

按照题设所说,如果散户们团结一致,要跟庄家死扛到底,那么庄家也没辙,玩不过只能跑。但是,由于股价遭到庄家打压,再加上庄家离场,股价会一直处于波澜不惊的状态,像死人心电图一般,结果团结一致的散户们就会被套牢。

现实生活中,真正能做到死拿股票不撒手有两类散户,一类是坚定的价值投资者;另一类是深度被套牢的散户,却迟迟等不到解套那一天的来临。

看懂主力操盘的骗术

技术分析受到广大投资者的青睐,因此也就常常被主力用来制造骗线。

(一)利用重要的技术关口制造骗线

1.利用技术关口设置多头陷阱。

在大牛市后期,主力会在重要的技术关口,如指数颈线位、整数位或上一波的顶部等布下多头陷阱,将追涨的多头一网打尽。因为在牛市末期,市场热情空前高涨,即使在重要的技术关口,多头也普遍认为能向上突破,这时主力就会制造假突破的陷阱,待多头跟进时出其不意地派发筹码,使跟风者全部掉入陷阱中,如图所示。

2.利用技术关口设置空头陷阱。

在熊市末期,主力会通过各种方式制造恐慌气氛,让市场感到重要的技术关口守不住了,当投资者纷纷斩仓时,主力却突然拉升。在牛市初期,指数面临整数位、前期高点、阻力位等重要技术关口,投资者缺乏信心,认为大盘难以突破之时,主力却利用自身的优势,坚决突破,使场外资金跟风追涨,让大多数投资者充当抬轿者,如图所示。

(二)利用典型的技术形态制造骗线

1.利用典型的技术形态设置多头陷阱。

看多的典型技术形态有双重底、多重底、V形底、头肩底、圆底等底部形态,以及上升三角形、上升旗形、下降楔形等上升趋势中的整理形态。由于多数投资者将看多的典型技术形态作为买进的依据,主力为了在高位派发筹码,往往会制造出看多的技术形态,形成蓄势上攻的假象,导致市场人气高涨,买盘汹涌,然后乘机出逃。如图所示。

2.利用典型的技术形态设置空头陷阱。

主力利用技术形态设置空头陷阱主要是在股价低位将双重底、头肩底等底部形态变成下降途中的整理形态(如下降三角形、下降旗形、上升楔形等)或在拉升途中故意制造一些典型的项部形态(如双重顶、多重项、倒V形、头肩顶等),让人看了不寒而栗,迫使市场上的抄底筹码和浅套筹码卖出,主力乘机吸纳或洗盘,如图所示。

(三)利用技术指标制造骗线

1.利用技术指标设置多头陷阱。

主力利用技术指标设置多头陷阱时,往往有意让技术指标在底部钝化或让其产生底背离,让投资者以为股票已经严重超卖而买入。例如出货时,周K线的KDJ指标处于高位,主力会让日K线的KDJ指标在底部钝化,以掩护出货,如图所示。

2.利用技术指标设置空头陷阱。

主力利用技术指标设置空头陷阱时,往往会使指标在高位钝化,让投资者认为股价已经处于超买区而主动卖出股票。例如吸货时,周K线的KDJ指标处于低位,主力会让日K线的KDJ指标在顶部钝化,以方便其进货。

筹码集中有两种可能:一种是主力吸筹将要拉升,一种是无庄状态。这篇文章教大家判断是吸筹还是无庄状态,以及买点。

筹码集中的过程:

筹码分散:经过一波下跌,筹码会分散到各个价位。

上方套牢盘割肉:上方套牢盘与新进资金换手达到筹码交换,也就是吸筹。

均线多头,放量突破形成买点:这种底部构造形成的箱体突破形成买点。

筹码表现:集中全部获利。

总结:筹码集中一般是经过长期横盘,而横盘的目的就是高位套牢盘与新进资金的换手达到吸筹目的。

判断底部筹码集中股是否有庄

有庄特征:有明显顶底构造,这是有资金控盘的表现。筹码集中一般会走出箱体构造。

底部无庄特征:一般能走出底部构造的基本有庄,只是强弱的问题,这里提供一致无庄股供观摩。

这种跌无下限,而且跌幅不大的基本是无庄的,急跌有庄,阴跌无庄。怎样才算筹码集中?

比如这种股票筹码大多集中在15.00到18.00元,那么中间的涨跌幅度是3元,也就是20%区间左右。那么这种涨跌幅度我认为是筹码集中。

而这种流通盘不大,区间震荡激烈的,我认为是洗盘吸筹。如果是吸筹动作,再次上涨很有可能是行情的启动。

7点分析庄家动向

1、庄家

庄家以炒概率为主,持有流通盘30%以上,并且日换手率超过25%,以追求控制价格为目的机构投资者。

2、前期准备

收集流通盘的30%以上,就必须准备50%左右的资金量。利用超过500个账户,在外围造势。

3、第一阶段

庄家做盘先吃进一小部分,通过对敲砸盘缓慢吸筹。K线形态上,阴险多,阳线少,逐渐下跌或者横盘买入。这个过程中,收益率通常低于大盘收益率。第一阶段主要是,让持股者离场。若上市公司再发布一些利空消息配合,庄家还可以多吃进20%左右的流通盘。

4、第二阶段

这个阶段成交量开始放大,收益率大于大盘收益率。第二阶段仓位控制在50%左右的流通盘。

5、拉升

大单对敲后,快速脱离成本区。拉升阶段的收益率远高于大盘收益率。

6、出货

配合利好消息,比如上市公司的利好,就是庄家出货好时机。此时,散户蜂拥而至,轻易被拉上涨停板。最先抛出的是底部建仓筹码,利用对倒吸引散户更风,表现为假突破。

7、高位筹码松动

当庄家开始出掉底部筹码后,大阴线出现。表现为收益率大大低于大盘收益率。个股行情终结,散户高位接盘站岗,筹码松动。

细数五种庄家做盘手法

一、跌停洗盘法

这是最为凶狠的洗盘方式。最典型的例子是新洋丰的走势。期间三次因利空消息公布(重组失败)出现过跌停走势,作为一种强悍的洗盘手法,跌停后经过调整让市场以为是一种破位后久盘必跌态势,但是调整过后都会走出一波比较好的上升行情(如图中所示三次均拉高,并且是洗得越凶拉升幅度越大)。

主力用跌停来加大市场恐慌气氛,一般而言,跌停时都会伴随一些利空消息。识别的方法得判断利空只是一时的,比如新洋丰重组未通过,但重组又是一件大概率事件,短期利空长期有想像空间。并且,跌停过后必须经过较为充分的横盘缩量整理(必须得是横盘平台整理),这代表着筹码在庄家手中,而非分散存在的。

除此之外,冠昊生物也是个跌停手法洗盘的典型案例。

二、阴线洗盘法

铁汉生态,该股上市之后由于筹码过于分散,主力为了收集筹码,放量阴线吓唬投资者。而后全部是地量调整以不作为状态检验其控盘状况,一个月调整周期结束后走出翻倍行情。

识别该类做盘手法其实也不难,一般主力为了收集筹码即使量能放大但跌幅不大,走的是有量无价的走势。比如5.20、6.10与6.29日的大阴量K线其震幅(最高价与最低价价格差)全在4个点之内。

三、尾盘急拉法

11年9.23日华芳纺织涨停,9.22日大盘下跌69点时该股尾盘迅速拉升4%。大跌之下大幅度走高,预示着第二天会有动作,即使不如华芳纺织般涨停也会有冲高动作,在前一天尾盘拉升时介入第二天有较好的获利机会。

这个比较容易识别,尾盘放量迅速拉升,越是逆势拉升越是放量拉升,代表着进场资金越多后市拉高的幅度更大。

四、涨停突破法

股票大幅度回落至低位,人气尽失,主力要想快速发动行情,大阳线就是比较好的方法,其中极至就是涨停板。大单封涨停,一是吸引眼球,二是提振信心。比如曙光股份低位涨停后连续上攻。

涨停突破也比较好识别,最好的形态是低位出现涨停板,这样上攻的概率比较大点,因为涨停板除了突破外,还有一个特点是高位出货。所以,追涨停板时低位出来的涨停板是优先考虑对象。

五、涨停板出货法

这个是与低位涨停板突破反着来的。利用大众对于涨停板的理解是想买都买不进,正当多数人第二天买入时,主力开始逢高派发。比如荣华实业的涨停是建立在前期大幅上涨的基础之上,当多数人对于第二天的走势充满期待之时,出货正悄然进行中。

这个一般都会在拉升后的行情中出现。所以,对待涨停板需区分个股所处位置。如果是低位那是好事,如果是高位,那得小心应对。

庄家建仓的铁律,很多散户浑然不知

建仓是庄家坐庄计划正式实施的第一步,能否收集到足够的低价筹码,关系到庄家的整个坐庄计划能否顺利进行。

大多数庄家都是在极其隐蔽的情况下收集筹码,因此,短期盘口的变化不会太明显,一般投资者难以察觉。而散户要想在跟庄的过程中由被动变为主动,首先就要掌握庄家建仓的规律。

经验:

1、对计划之外的筹码进行换手,把先期持股者赶下马,防止其获利太多,中途抛货砸盘,最终威胁或影响主力的操作计划,如使主力付出太多拉升成本或影响顺利出货。(这种操作从吸货、拉升至出货初期一直在进行,主要表现在波浪的2与4回调波中)

2、在不同的阶段不断的更换持币者入场,以垫高其持股成本,进一步减少主力后市拉升股价的压力。通过反复洗盘,提高平均持仓成本,亦有助于主力在高位抛货离场,防止主力刚一出现抛货迹象,就把散户投资者吓跑的情况,以便日后在高位从容派发。

3、在震仓过程中高抛低吸,主力可以收取一部分差价,以弥补其在拉升阶段所付出的较高的交易成本。这样,既增加了其日后拉股价的资本,也增加了信心,又可让市场弄不清主力的成本,辩不清以后主力出货的位置。(这种波段操作型为现在市场主力操作的主流,投资者可多加以注意以及运用)

4、调整资金比例,如果主力在底部吃进筹码比例比较大,既没留足够的拉升力量,可利用洗盘之始的较高价位出货,还原出拉升力量(有时既达到减仓的目的又达到洗盘的效果,投资者可以从量变中找到痕迹进行捕捉)。

5、调整仓位结构,如果主力持有多只股票的筹码时,可以通过洗盘调整所持股票的持仓比例,分出主次,使其更能显示板块效应。(有时超级主力在波段操作中,在几只股波段高位出局,让市场自然的进行洗盘,而把出来的资金杀进另几只洗盘完了的股票进行拉升,当到相对高位时又回撒到原来出局的洗盘快结束的股票,充分利用资金的使用效率)。

6、等时机进一步成熟,有的利用洗盘继续吸货。也有主力等待大势或板块的配合。(洗盘等势与借势型,一般此时大盘不是太好,所以借大盘把一些不坚定的份子赶出来)。

7、使原来想高抛底吸的人晕头转向。一些自作聪明的人结果往往底抛高追,许多人在低位踏空后,便到高位追涨,成了主力的抬轿夫(主力在相对高位作出很有规律的波动,当散户以为把握规律时,再反常运行,让洗出来的踏空)。

一般主力主要的就是以上几点目的,洗盘常常跌破一些支撑位置,也有通过特意修改普通指标如KDJ、MACD 等指标达到洗盘目的。实战中,买卖关键可概括为:持股生命主流重,套牢资金中轴线,主力建仓必此分。大家可多体会、推敲,如此能更好的通过成本分析准确的判断出主力在这个阶段的真正操作意图。

在操作中,会用不同的办法进行洗盘,从而把不同类型的散户让其在操作的品种按主力的意图进出,从而达到主力操盘成功的目的,在这场角力中,主力是在暗处,而散户是在明处,散户只有在对市场有充分的了解下,才能对股票的冷暖有充分的了解,从而破解主力的意图。

总结

1、底部第一个涨停板为反弹留下足够的反弹空间;

2、涨停板前出现向上的缺口,加速向上脱离底部成本,拉升意图明显;

3、缺口后涨停既体现了做多动能的强势,又体现了做多动能的坚决,日线运行波段拉升。

很多人抱怨,为什么我在金融市场赚不钱呢?我也不笨呀,甚至还要比别人聪明点,那么看看自己的账户,为什么就始终无法盈利?那是因为你根本不去思考这些是为什么,不思考就找不到问题所在,找不到问题,就浑浑噩噩的做交易,赚了靠运气,赔了是理所当然,最后被市场消灭当了炮灰。

我们拿股票来说,每天都有很多行情,品种也很多,3000多只股票,如果每个行情你都想想做,那最终你会在行情里迷失自己。弱水三千,只取一瓢。其实很多时候你自己能做的很少,因为大多数时候行情都是在无序的波动,或者在你的系统里根本就没有买卖点,这时候你唯一要做的就是耐心的等待!

等待看似无所作为,实则不然,等得久,自然有。等得是什么?等得是天时,等得是机会,运筹帷幄,决胜千里!庄稼春天播种之后,你除了田间管理就是等待,等待它一天一天地成长、成熟,到了秋季才能收获。树苗栽上之后,你除了浇水、呵护就是等待,等待它一年一年地长大,成材之后你才能使用。等待需要智慧,等待也是一门艺术。

知道鳄鱼为什么能在地球存活这么多年吗,并且现在成为了最为古老的爬行动物之一,其原因当中的一个,就是鳄鱼在捕猎的时候,会非常耐心的等待最佳的时机,而不会轻易出手,如果等到了最佳时机,它会毫不犹豫的,最快最狠的出击,让猎物措不及防,并且它咬定后一般不会松口,除非这个猎物会对自己造成伤害。

所以我们做交易也要具备鳄鱼的这个特点,耐心的等待属于自己交易系统的机会,不要轻易的就出手,如果轻易出手还亏损,赔了资金不说,还打击了信心!在没有交易机会的时候,耐心的等待就是最好的选择。

资本市场是一个无形而残酷的争夺利益的战场,用于指导交易的各种理论时常令这个市场的参与者充满希望,如若获得葵花宝典,又时常令交易者绝望唾弃,人们花费无数的时间学习有关市场的各种理论:基本面分析、技术分析、星象八卦...,在我看来,这都是舍本求末,我们最应该追随的就是市场本身。

(全文终)

往期目录

⊙ 读懂全球资产配置,看这一篇就够了

⊙臭名昭著的20多亿元私募骗局,居然由这个年轻的中介一手导演!

⊙魏杰教授:中国即将发生第3次造富运动

⑦ 庄家砸盘时,散户怎么自救

一般砸盘分为两种情况,一种是上升过程中,庄家要对跟风筹码做一次清洗,在某个价格大幅度抛空股票,造成下跌假象,引诱散户和跟风者卖出;另一种发生在某个股票庄家完成了做庄的目的,股价相当高的时候,庄家通过大幅度抛出股票砸盘,达到出逃的目的。
比如股价目前价位在9元,买卖双方在这个价位争夺,突然有5000手在8元3角成交,这种现象就是砸盘。
再打个比方,一支股票已经跌了很长时间,看似已经跌到底了,但庄家利用大盘暴跌,经济不景气等外在原因,用自己手中的存量股票拼命往下打压。由于该股票长期下跌,一般散户屡买屡套,已经吓破了胆,几乎没人敢再买,持有该股票的散户会误以为该股票又开始一轮新的下跌,竟相割肉逃命。此时正好中了庄家的招,庄家在砸盘的同时,也在悄悄的吸纳。

⑧ 如何利用利空消息进行庄家洗盘

目前A股市场的主导是散户,这一点大家应该都明白,散户处于群龙无首的状态,就和一群散兵游勇一样。那么市场上有没有像正规军那样指哪打哪的力量呢?必须有!其实就是大伙常常说起的“主力”,接下来就让我们一起分析一下主力行为!开始之前,不妨先领一波福利--机构精选的牛股榜单新鲜出炉,走过路过可别错过:【绝密】机构推荐的牛股名单泄露,限时速领!!!
一、主力行为有哪些?如何识别判断?
主力,其实就是指在证券市场上单独或联合买进一只或多只股票筹码,在没有超过法律允许的范围的前提下,一方面能通过市场经营实现资金效益更大化,另一方面有资金基础的的机构或个人这么说吧,就是拥有比流通盘较大的金钱或者股票筹码,主力的范围很广,一般指在短期内能引导市场或股价的运行的资本力量。就其特点来说,在资金、信息、技术等方面的普通散户投资者和主力简直就是没得比。主力的行为有“吸货”、“洗盘”、“拉升”、“出货”等,同时主力行为又是很隐秘的,其实,我们也会是可以结合K线和筹码分布图分析出一些蛛丝马迹:
(1)吸货
主力吸货表示在股市中主力介入某一只个股,在某一阶段内不断买入(建仓或加仓)的行为。目的是以免散户争抢低位筹码,主力吸货都很隐蔽,规模化的吸货行为做不到不露痕迹的效果:
①从低位多峰密集到单峰密集:主力慢牛式建仓

主力的行为是并不是明显的,也是五花八门的,上面只是说了几个常见的手法,投资者朋友要结合具体投资实践进行总结,希望大家投资一切顺利!股票市场纷繁错杂,如果你不知道怎么去分析一只股票情况的话,点击下面这个链接,输入你看中的股票代码,即可看这个股票适不适合买,最新行情消息,让你轻松把握时机:【免费】测一测你的股票当前估值位置?

应答时间:2021-08-27,最新业务变化以文中链接内展示的数据为准,请点击查看

⑨ 股市如果出现了连续下跌的状态,作为散户该怎么办

投资者如何在股市当中侦查到主力动向,跟随进场

市场主力操作股票一般以下列法则为依据:①市场人气状态决定股价的涨跌。②供求关系的变化是股价变动的根源。③股价的操作必须灵活,不能一味做多或做空。④必须有能力控制筹码。⑤操作必须理性,对散户心理的了解必须透彻。

投资者千万不要忽视一个完整的底部图形,更不要无视它的威力。嘲弄或不信任完美图形的人,无异于与市场趋势作对,逆行情而操作是会受到重创的。

⑩ 币圈利空是什么

利空:促使币价下跌的消息,如比特币技术问题,央行打压等。


① How can retail investors know in advance? Let retail investors know that it is a bad thing

Pull up to attract retail investors, then suddenly go down to create a hold-up plate to trap retail investors, and then slowly consolidate or fall, allowing them to be The locked-up retail investors lost their patience and cut the stock at low points. After absorbing enough chips, they quickly raised the stock price out of the cost zone, and then began to consolidate. This was because after a strong increase, the stock price consolidated but did not fall. The previous increase was too fast, and retail investors did not dare to buy. Now that the stock is consolidating up and down, retail investors begin to dare to buy, and then quickly pull up. Retail investors who bought during this period of consolidation are glad that they bought the right thing. This is usually the main rising section of the third wave of stock rises.
Then it enters consolidation. The purpose of consolidation here is to attract new retail investors to buy, and because the correction is not large, retail investors who bought before will not sell. When enough retail investors buy, the main force will quickly start the rise at the end of the fifth wave. Retail investors who buy here will also have the same illusion as the previous retail investors that they have bought the right thing.
So the main force started to pull in and sell out at the same time. Because the rise here is not as continuous as the third wave, retail investors will continue to catch up during the pulling process. When the main holdings have sold out most of their shares, the stock price will begin to drop rapidly, and retail investors who bought before will not sell because of their experience of rising prices after previous shocks. Wait until you find that the stock price continues to fall to a terrifying position. Retail investors will start to panic and sell off, and at this time the main force will enter the market and quickly pull up. For example, the period of 3373 last year made retail investors think that the bull market had begun again, but in fact it was just a B-wave rebound from ABC's downward trend, which was an attempt by the main force to give retail investors false confidence. So retail investors were cheated again.
As a result, the main force will quickly move down to clear the chips
This is how retail investors are cut off again and again.

If you want to change, learn the correct technical and chip knowledge

Develop strict stop-profit and stop-loss disciplines and use what you have learned to build a trading system with a high success rate
br />
When you can maintain small profits + small losses + big profits for a long time, you will naturally gain confidence

But remember that only small losses rely on the strict implementation of the stop loss strategy

If you buy and it goes down, or if it doesn’t go up after buying for 3 days, it means that your analysis is wrong and you need to admit it

Remember that learning knowledge is not something that comes from the Internet
< br />It is a technical analysis method that can be pulled out and empirically verified in the market with a success rate of more than 70%
For example
The swallowing of the Yang line is the Yang wrapped in the Yin. No matter where you look for the knowledge, it will tell you. I’m optimistic about the market outlook
But according to the statistics of A-shares over the past 20 years, the probability of the trend rising or falling after the positive line is engulfed is half or half. So is this kind of technical analysis useful?
Not to mention, if the positive line swallows up after a period of rise, it is called two people dying in love, and 70% of the market outlook will fall, such as the two times after 2638 and the one at 3147 on January 9
The opposite example is the through line. The probability of a rise in the market outlook is more than 70%. Look at the three through lines that have appeared on the GEM in the past few months. Are there short-term rebounds every time? Including this one on January 17th
This is just a method of judging based on comprehensive knowledge such as K-line, trading volume, chip shape, etc.

② Bitcoin has been closed in China, but What should Chinese retail investors do now

Retail investors should not participate in Bitcoin investments, which are not protected by national laws and are extremely risky.

③ How to pull and sell virtual currencies

Small currencies can easily be controlled, and some small exchanges even participate in the process of controlling the market. It mainly includes the four steps of collecting funds, washing funds, raising funds, and shipping.
Step 1: Acquire funds. In the digital currency market, only when the banker's chips account for 30% or more can it be possible to control the market. In order to obtain more chips at a low cost, the dealer will release negative news, and at the same time use the chips in hand to actively place orders to sell at a lower price than the normal price, causing the transaction price to fall in real time. Retail investors who do not know the truth are easily affected by negative news and falling prices. Affected by the market situation, people feel panic, so they sell the chips in their hands, and the dealer buys the chips at a low price.
Step 2: Wash chips. After the bankers collect funds, they generally do not pull up immediately, but fluctuate sideways for a period of time. The purpose of the wash is because during the process of bankers collecting funds at low prices, some retail investors may also buy at low prices. Maintain the sideways shock method to strengthen the pessimism of retail investors, let these unsteady retail investors hand over their chips, and prevent retail investors from selling at high levels during the later pull-back process (at this time, retail investors' profits are relatively large, and the possibility of selling is very high) , trapping the dealer.
Step 3: Pull up. Bookmakers will release good news, such as which country has introduced favorable policies, to what extent the technology has been realized, which institutions have invested in the market, etc.
Step 4: Shipping. When dealers ship goods, they often cannot sell them all at once. Otherwise, it will be too obvious and there will not be enough retail investors to take over the orders and they will not be able to escape unscathed. Therefore, market makers generally ship in batches at high levels, that is, in batches with high range fluctuations. Make huge profits.
Currently in the virtual currency market, small exchanges also have the possibility of controlling the market. The larger the market, the less likely it is to be manipulated, because the costs of pulling and smashing the market are high. At present, the top three exchange trading volumes are basically: 1.QUBE2.bitmex3.okex; in addition, not only small currencies, but even some well-known currencies, such as EOS, are controlled by bookmakers. Those who use K-line analysis can get a general idea by observing their trading charts. Therefore, after the dealers retreated, the price of EOS has been unable to rise.

④ How should retail investors respond to the sharp market drop

It is better to deal with it after the fact than to control it during the event, and to control it during the event is worse than prevention beforehand.


When the crash occurs, thinking about how to deal with it - it is already an afterthought and should be considered the last resort.


Let’s first talk about how to respond after a sudden plunge:


When the stock market plummets, the most important thing for retail investors is to stay calm. Rational mentality.


1 It is necessary to clarify the thinking and understand how the current plunge occurred.


If the plunge is caused by fear after the outbreak of non-substantial bad news such as lack of market capital confidence, and the stocks you hold are bought The price is not very high, so you should be brave enough to hold shares or even look for opportunities to increase your position.


If the market has been rising sharply for a long time, a large number of profit orders have been accumulated. In this case, if your stock makes a lot of profits, the market starts to plummet. . . At this time, you'd better try to sacrifice some profits and sell first. Because there is a lot of room for decline in the market outlook, it is not too late if you can sell when the crash just begins.


If you have no chance to sell the stocks you hold due to a sharp decline, you should check whether the quality of your stocks is a stock with excellent performance. If it is a good stock, you can lie down and pretend to be dead or even look for opportunities to cover your position. If the performance of the stock in your hand is very poor, then you'd better wait until you can sell it and look for opportunities to liquidate the position or exchange it for blue chip stocks.

In short, we need to quickly understand the situation of the day and see what kind of news affects the market.


2. Think clearly about your original intention when buying stocks.


After a sharp drop, it is easy for people to panic and lose their minds. At this time, you should return to the reason why you bought the stock in the first place. If the reason for buying the stock is no longer valid now or it has reached the stop loss level set when you bought it, you must sell it immediately. If you think about the long term when you buy, and what you think about at that time is value investing, then you should just smile and watch the situation change, and there is no need to rush to sell.


Let’s talk about the best way to prevent it before the plunge


Really mature investors or masters It is to be fully prepared for the possible plunge before buying.

It is a form of prevention beforehand, just like a gas station always has fire extinguishers and regular fire drills.


The main preventive measures are:


1 Diversification of position types


This can diversify or hedge risks during a crash.


2 Strictly control positions when the market is high


When the market has exploded It may have increased several times or has increased for several years. At this time, you should withdraw part of the operating funds and make a safe investment. to prevent the stock market from plummeting. You can even operate with only the profit-making funds. ThatAll its funds were withdrawn from the market.


3 You must have the concept of profit-taking


How to do business in the stock market A victorious general.


The sage Lao Tzu said in the "Tao Te Ching": Being content with what is enough will not disgrace you, knowing that you are still without peril, can last for a long time.


It means that as long as you don’t pursue making the most money or sell to the top when trading stocks, you can stay in the market for a long time by setting a profit stop. .


What a simple yet profound truth! This is what those great people in the market who are pursuing selling to the highest point don’t like to hear.


When retail investors have made a lot of profits in the market but cannot clearly see the direction of the market, exiting the market is of course the best choice.

⑤ Big liquidation! 800 million Bitcoin funds were wiped out in 15 minutes, what should retail investors do?

Under such circumstances, most retail investors will definitely be able to take action, but if they are unable to do so, there is no other way. I can hope to see if I can recover.

Some platforms stipulate that the platform losses caused by users’ forced liquidation orders failing to be completed in time are liquidated positions. When liquidated positions occur, the platform Part of the risk reserve will be used first to make up for its own losses, and the rest will need to be shared among all profitable users that week according to a certain proportion to make up for the platform's losses.


⑥ What will happen if retail investors sell a currency at a high price


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Basic concepts:

1. Retail investors

Narrow sense: retail investors refer to those individual investors who invest a small amount of money in the stock market. Broadly speaking: retail investors are relative to institutions, and individual investors can be called retail investors. This is because no matter how much money an individual has, it is extremely small in front of the capital market. In the mid-1990s, many retail investors' transactions were concentrated in a lobby on the first floor, called the "retail investor lobby", which was equipped with several independent entrustment systems for independent transactions. The Commercial Press' "English-Chinese Securities Investment Dictionary" explains: individual investor. Also known as: stockholders, individual investors. A person who invests in securities for himself through a securities company. They can only serve themselves, do not have any intermediary functions, and are not allowed to serve others. Also: retail investor; retail shareholder.

In recent years, despite the rise of global stock markets, China's stock market has been falling year after year due to structural problems such as integrity issues and regulatory issues.

In such a market, retail investors are at the most disadvantage. Many gaming positions suffered losses. After the above structural problems are solved, retail investors will have greater opportunities in market games.Many retail investors have psychological shadows on their investment due to previous losses, but opportunities such as the appreciation of the RMB have also given retail investors many opportunities.

Retail investors mainly refer to investors with small financial strength. Their capital to enter the market is generally about 30,000 to 50,000 yuan or even lower, and they are basically composed of working-class people. There are a large number of retail investors, accounting for about 95% of the total number of investors. Those who engage in stock trading in the trading hall of the securities business department are generally retail investors. Due to limited funds and large numbers of people, the behavior of retail investors in stock market transactions is obviously irregular and irrational, and their emotions are easily affected by market conditions and atmosphere.

2. Bankers

Bankers refer to large investors who can influence the market conditions of financial securities. Usually it accounts for more than 50% of the circulation. Sometimes the market maker may not necessarily control 50%, depending on the variety. Generally, 10% to 30% can control the market. Due to the huge trading volume and capital volume, bookmakers rarely appear in the futures market. Bankers are also shareholders. Market makers usually refer to shareholders who hold a large number of outstanding shares. The banker's position on a certain stock can affect or even control its stock price in the secondary market. Bankers and retail investors are a relative concept.

Allusion: In ancient times, it was called Dajian Lu, and Kangding locals called foreign businessmen Luke. During the Tang and Song Dynasties, a tea horse trading market was formed in the Kangding area. Shaanxi merchants were the first to enter. Some men were relatively weak, and their wives also followed. In the past, women's status was low. Women were not called by their names outside, but had "jia" after their surnames. ", for example, a woman named Liu is called the Liu family, and a woman named Hu is called the Hu family. This name lasted from ancient times to the 1970s and 1980s. Because of this name and Guozhuang, Tibetan compatriots call Shaanxi businessmen " Bankers, because they are good at management and have accumulated a lot of wealth, have gradually become synonymous with being rich and powerful, speaking their words, and influencing the situation.

We can also hear banker in some entertainment situations. The term banker has far-reaching influence in all walks of life. On the mahjong field, it is said, "Whoever sits on the banker is the banker." On the gambling field, it is said that "the banker is the banker." The person who plays the cards is called the dealer, and the dealer sets the rules and so on.

3. Washing the market

Washing the market is one of the terms used in the stock market. Washing actions can occur in any area of ​​the banker, and their basic purpose is nothing more than to clean up excess floating chips in the market and increase the overall holding cost of the market. In order to achieve the purpose of speculation, the banker must let the retail investors who bought at low prices and sell the stocks on the way to reduce the upward pressure, and at the same time increase the average price of the stockholders, so as to facilitate the implementation of the banker's method and achieve the purpose of speculation. The purpose of making huge profits.

(1) Direct Suppression

Direct suppression is more common in the bookmaker's area to attract goods, with the purpose of scaring off floating chips of the same cost. The intraday performance was that the opening price was surprisingly high. There were only a few active buying orders and then the price went straight down until it was below the previous day's closing price. Retail investors who held positions were out of the market one after another. Here, investors should not simply think that the stock price is too far away from the average price to pick up stocks, because the opening form basically determines the trend of the day. The main force intends to make a suppressive action at the opening, but this action will notCompleted in a very short time. Therefore, a more reliable point to attract stocks should be when the stock price has dropped after several waves, and is far away from the average price by more than 3%-5%. At this position, the market is no longer willing to ship short-term floating chips that day, and the main force also found that lowering the price will cause a certain degree of chip loss. In this way, this position should be a relatively safe spot to attract goods during the market wash. Even if it does not turn upward on the same day, it is still a relatively low-price area on the day. You can calmly wait and see the changes and enjoy the short-term profits in the market wash.

The action of diving in the late trading is a money-saving tool for the main force to create a negative line for the day during the washing action. The market performance is that a few minutes before the closing, several huge selling orders suddenly appear to drive the stock price down. This action can be found from the 5-minute drop list. This purchase opportunity is difficult to grasp. It is recommended not to take chances and wait for such purchase opportunities in actual combat.

(2) Wide-width oscillations

Wide-width oscillations often appear in the middle of the rise, and are easily mistaken by operators as the main shipment. The key to identifying this action is to observe whether the main force uses this action to rush higher before the market closes at noon. Generally, the rush to raise the stock price before the market closes at noon is to open up space for the afternoon shock. At this time, only a few small buying orders are usually used to drive up the stock price, and the steep slope is unacceptable, and the moving average only moves Slightly higher. At this time, it is best for those who hold positions to reduce their positions first, because the stock price will return sharply to the average price immediately, and even suppress and dive. In this case, the average price may allow the stock price to jump up and down without consolidating. At this time, the position of the average price is a good reference point for entry and exit.

Abstract:

If retail investors insist on holding on to the stock, what will the banker do? Then, what will happen to this stock?

In a speculative casino market like China, retail investors cannot beat the bankers. Although there are many retail investors, they are all scattered. If all retail investors can unite as one, the bankers really have nothing to do.

The problem is that retail investors cannot be of the same mind, and the bankers have a way. The retail investors hold on to the stocks and do not let go. Some retail investors fled, and they repeatedly pulled small rebounds and smashed the market downwards, until most retail investors lost money and were out.

Author: Lan Yiyan

Source: Snowball App

Many stocks are marketed by market makers repeatedly until the psychology of all retail investors completely collapses. , the bulls were completely desperate and gave up. Even the listed companies couldn't stand it, and the government couldn't stand it. They came out to rescue the market, and the stock market really bottomed out. At this time, retail investors no longer believed in anything in the stock market, and they no longer wanted to hear about the stock market. If there is any voice, this is the real battle between market makers and retail investors in the stock market.

It is impossible for retail investors to defeat the bankers with their own abilities, knowledge and information. Only by finding real top experts, following the top experts, and pinpointing the Achilles heel of the stock market can they make money in the stock market. For example, when everyone When you are desperate, take advantage of the situation.It is the only way for retail investors to make money in the stock market.

Different bankers have different styles. Some bankers move in and out quickly, taking one shot and leaving. Some bankers control the market for a long time and manipulate the market.

Retail investors always feel that their opponent is the banker, but in fact they think too highly of themselves. The opponent of the banker is often another banker. Only when big funds compete with each other can they get big profits. Harvesting retail investors is actually what everyone likes to do.

Back to the topic, if retail investors refuse to hand over their chips, what will the banker do? First of all, we need to look at the dealer's intention and the stage of the dealer's transaction.

1. The game between bankers and retail investors is concentrated in companies with small share capital

For companies with large share capital, most of the main holders of stocks are institutions or major shareholders in the primary market. The chips owned by retail investors are too small to attract the interest of bankers. In other words, bookmakers mainly play games with other institutions and bookmakers. In this case, it doesn't matter to the banker whether retail investors hold stocks or not.

Generally speaking, the places where market makers and retail investors compete are in companies with small capitalization, because retail investors hold more stocks. If the dealer wants to complete a complete round of "cutting leeks", he must collect enough chips, which is the so-called accumulation. If retail investors insist on holding on to stocks, bankers will definitely think of various ways to get retail investors to sell their stocks. After all, bankers have to pay costs for holding funds (performance appraisal or lending).

2. The bankers do their best to bring down the stock price

The bankers have many ways to fight with retail investors and use their financial advantages to sell a large number of stocks to achieve a sharp decline; they can also cooperate with companies to release bad news. Suppress the stock price; create a technical breakdown, causing panic among retail investors... In this process, I believe that the vast majority of retail investors will become seriously emotional and be forced to admit defeat and hand over their "chips." From this perspective, stock trading also requires retail investors to have the quality of "tolerating what ordinary people cannot tolerate".

The market maker may also create a downward trend in the stock price rebound, and some determined retail investors may continue to increase their positions in order to reduce the cost of holding positions. After retail investors finish adding positions and the market makers create another big downward trend, it is hard to say whether retail investors can still hold on firmly.

3. Retail investors are trapped and bankers leave the market, and the stock price will remain stable!

Anyway, the dealer has plenty of funds to play. If it doesn’t work once, he will try it a second time until he gets enough chips to control the market. At this time, the dealer will control the market and pull up the market according to the original plan. In the end, those retail investors who are determined not to sell will ride on the dealer's coattails, harvest "leeks" together, and make a lot of money. New retail investors who enter the market will be deeply trapped when the stock price drops.

According to the title, if retail investors unite and fight the banker to the end, then the banker will have nothing to do and will have no choice but to run away. However, because the stock price has been suppressed by the banker, and the banker has left the market, the stock price will remain in a state of calmness, like a dead person's electrocardiogram. As a result, retail investors who are united will be trapped.

Real lifeIn life, there are two types of retail investors who can really hold on to stocks and never let go. One is the staunch value investors; the other is the retail investors who are deeply trapped, but can't wait for the day to unwind.

Understand the deception of the main traders

Technical analysis is favored by the majority of investors, so it is often used by the main traders to create deceptive lines.

(1) Using important technical barriers to create deceptive lines

1. Use technical barriers to set up bull traps.

In the late stage of a bull market, the main force will set up bull traps at important technical points, such as the index neckline, integer levels, or the top of the previous wave, to catch all the bulls chasing the rise. Because at the end of the bull market, market enthusiasm is unprecedentedly high. Even at important technical junctures, bulls generally believe that an upward breakthrough can be achieved. At this time, the main force will create a trap of false breakthroughs. When the bulls follow up, they will unexpectedly distribute chips, causing all followers to follow the trend. Fall into the trap as shown in the picture.

2. Use technical barriers to set up short traps.

At the end of the bear market, the main force will use various methods to create an atmosphere of panic, making the market feel that important technical barriers cannot be held. When investors are cutting their positions one after another, the main force suddenly pulls up. In the early stages of the bull market, the index faced important technical hurdles such as integer levels, previous highs, and resistance levels. Investors lacked confidence and believed that it was difficult for the market to break through. However, the main players used their own advantages to resolutely break through, causing OTC funds to follow suit and chase the rise. Let most investors act as bearers, as shown in the figure.

(2) Use typical technical forms to create deceptive lines

1. Use typical technical patterns to set up bull traps.

Typical bullish technical forms include double bottoms, multiple bottoms, V-shaped bottoms, head-and-shoulders bottoms, round bottoms and other bottom forms, as well as consolidation in upward trends such as rising triangles, rising flags and falling wedges. form. Since most investors use bullish typical technical forms as the basis for buying, the main force often creates bullish technical forms in order to distribute chips at high levels, forming the illusion of being ready for an upward attack, resulting in rising market sentiment and surging buying orders. , and then took the opportunity to escape. as the picture shows.

2. Use typical technical patterns to set up short traps.

The main force uses technical forms to set up short traps, mainly when the stock price is low, turning double bottoms, head and shoulders bottoms and other bottom forms into consolidation patterns on the way down (such as descending triangles, descending flags, rising wedges, etc.) or On the way up, some typical top forms are deliberately created (such as double tops, multiple tops, inverted V shapes, head and shoulders tops, etc.), which make people shudder, forcing the bargain hunting chips and shallow chips in the market to sell, and the main force Take the opportunity to absorb or wash dishes, as shown in the picture.

(3) Using technical indicators to create deceptive lines

1. Use technical indicators to set up bull traps.

When the main force uses technical indicators to set up bull traps, they often intentionally blunt the technical indicators at the bottom or cause them to divergence from the bottom, making investors think that the stock has been seriously oversold and buy. For example, when shipping, the KDJ indicator of the weekly K line is at a high level, and the mainThe force will passivate the KDJ indicator of the daily K-line at the bottom to protect shipments, as shown in the figure.

2. Use technical indicators to set up short traps.

When the main force uses technical indicators to set up short traps, it often blunts the indicators at high levels, making investors think that the stock price is already in the overbought zone and actively sell the stock. For example, when buying goods, the KDJ indicator of the weekly K-line is at a low level, and the main force will passivate the KDJ indicator of the daily K-line at the top to facilitate its purchase.

There are two possibilities for the concentration of chips: one is that the main force is about to raise funds, and the other is that there is no banker state. This article teaches you how to judge whether it is a banker state or a banker's state, as well as the buying point.

The process of chip concentration:

Chip dispersion: After a wave of decline, chips will be dispersed to various prices.

The upper lock-up plate cuts the flesh: the upper lock-up plate changes hands with new funds to achieve an exchange of chips, that is, accumulation of funds.

The moving average is long, and a heavy-volume breakthrough forms a buying point: the box breakthrough formed by this bottom structure forms a buying point.

Chip performance: Concentrate all profits.

Summary: The concentration of chips usually occurs after a long period of sideways trading, and the purpose of sideways trading is to achieve the purpose of attracting funds by changing hands with high-level holdings and new funds.

Judge whether stocks with concentrated chips at the bottom are bankers

Characteristics of bankers: There is an obvious top-bottom structure, which is a sign of capital control. The concentration of chips will generally lead to out of the box structure.

Characteristics of no banker at the bottom: Generally, there are basically bankers who can get out of the bottom structure. It is just a matter of strength. Here we provide stocks with consistent no banker for observation.

This kind of drop has no lower limit, and the drop is not large. Basically, there is no banker. There is a banker for a sharp drop, and there is no banker for a negative drop. What is considered a concentration of chips?

For example, most of the chips in this kind of stocks are concentrated between 15.00 and 18.00 yuan, so the increase or decrease in the middle is 3 yuan, which is about a 20% range. So I think this kind of rise and fall is a concentration of chips.

As for this kind of trading volume, which is not large and fluctuates violently in the range, I think it is a wash to attract funds. If it is a fund-raising operation, another rise is likely to be the start of the market.

Analysis of banker trends at 7 points

1. Banker

The banker mainly speculates on probability, holds more than 30% of the circulating market, and has a daily turnover rate of more than 25%, institutional investors aiming to control prices.

2. Preliminary preparation

To collect more than 30% of the circulating supply, you must prepare about 50% of the funds. Use more than 500 accounts to build momentum on the outside.

3. The first stage

The dealer will first take a small part of the market and slowly accumulate money by hitting the market. In the K-line shape, there are many insidious lines and few positive lines. It gradually falls or is bought sideways. In this process, the return rate is usually lower than the market return rate. The first stage is mainly to let shareholders leave the market. If the listed companies release some bad news to cooperate, the market makers can also take in about 20% more of the circulating market.

4. The second stage

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At this stage, trading volume begins to increase, and the return rate is greater than the market return rate. In the second stage, positions are controlled at about 50% of the circulating market.

5. Pull up

After the big order hits, quickly leave the cost zone. The rate of return during the pull-up phase is much higher than the market rate of return.

6. Shipment

Coupled with good news, such as good news for listed companies, it is a good time for market makers to ship. At this time, retail investors swarmed in and were easily pulled up to the daily limit. The first thing to be thrown out is the bottom position building chips, which are used to attract retail investors to be more popular, which is manifested as a false breakthrough.

7. The high chips are loose

When the dealer starts to sell the bottom chips, a big negative line appears. The performance is that the return rate is much lower than the market return rate. The market for individual stocks has ended, retail investors have taken positions at high positions, and their chips have become loose.

A detailed list of five bookmakers’ trading techniques

1. Limit-down washing method

This is the most brutal way of washing the market. The most typical example is the trend of Xinyangfeng. During the period, there were three times of lower limit trend due to the announcement of bad news (failure of restructuring). As a powerful washing method, the adjustment after the lower limit made the market think that it was a long-term trend of falling after the position was broken. However, after the adjustment, it would be better to go out in a wave. The rising market (as shown in the figure, it has been pulled up three times, and the more fierce the wash, the greater the increase).

The main force uses the limit to increase the panic atmosphere in the market. Generally speaking, when the limit is lowered, it will be accompanied by some bad news. The identification method must determine that the bad news is only temporary. For example, Xinyangfeng's reorganization failed, but the reorganization is a high-probability event, and there is room for imagination in the short-term bad news in the long term. Moreover, after the lower limit, it must undergo a relatively sufficient sideways shrinkage consolidation (it must be a sideways platform consolidation), which means that the chips are in the hands of the dealer, rather than scattered.

In addition, Guanhao Biotech is also a typical case of market washing using the lower limit method.

2. The negative line washing method

Tiehan Ecology, after the stock was listed, because the chips were too dispersed, the main force used large volumes of negative lines to scare investors in order to collect chips. Then all the land volume adjustments were made to test the control situation in a state of inaction, and the market doubled after the one-month adjustment cycle.

It is actually not difficult to identify this type of trading technique. Generally, in order to collect chips, the main force will increase the amount but not drop much, and follow the trend of quantity but no price. For example, the amplitude (price difference between the highest price and the lowest price) of the large negative volume K-lines on 5.20, 6.10 and 6.29 is all within 4 points.

3. The sudden pull method in late trading

On September 23, 2011, Huafang Textile reached its daily limit. On September 22, when the market fell by 69 points, the stock quickly rose by 4% in late trading. A sharp rise after a sharp fall indicates that there will be action the next day. Even if it is not as high as Huafang Textile, there will still be a surge higher. If you intervene at the end of the previous day's rise, you will have better profit opportunities on the next day. .

This is relatively easy to identify. The volume increases rapidly in late trading. The more it goes against the trend, the more volume it increases. This means that the more funds enter the market, the greater the increase in the market outlook will be..

4. The daily limit breakthrough method

The stock has fallen sharply to a low level and lost popularity. If the main force wants to quickly start the market, the big positive line is a better method, and the ultimate is the daily limit. . The big orders are closed to the daily limit, firstly, to attract attention, and secondly, to boost confidence. For example, Shuguang shares continued to rise after hitting the daily limit at a low level.

The daily limit breakthrough is also easier to identify. The best form is that the daily limit appears at a low level. In this way, the probability of an upward attack is higher, because in addition to the breakthrough of the daily limit, another feature is high-level shipments. Therefore, when chasing the daily limit, the price limit that comes out from the low position is the priority.

5. The daily limit shipping method

This is the opposite of the breakthrough of the low daily limit. Taking advantage of the public's understanding of the daily limit, it is impossible to buy even if you want to buy. When most people buy the next day, the main force starts to distribute on highs. For example, Ronghua Industrial's daily limit is based on the previous sharp rise. When most people are full of expectations for the next day's trend, shipments are quietly underway.

This usually appears in the market after a pull-up. Therefore, when dealing with the daily limit, it is necessary to distinguish the position of individual stocks. If it's low, that's a good thing; if it's high, you have to be careful.

Many retail investors are completely unaware of the iron law of banker opening a position

Building a position is the first step in the official implementation of the banker's plan. Whether enough low-price chips can be collected depends on the banker's success. Whether the entire Zhuangzhuang plan can go smoothly.

Most bookmakers collect chips in an extremely concealed manner. Therefore, short-term changes in the market will not be too obvious and difficult for ordinary investors to detect. If retail investors want to change from passive to active in the process of following the banker, they must first master the rules of the banker's position building.

Experience:

1. Change hands of unplanned chips, drive out early shareholders, and prevent them from making too much profit, selling goods midway, and ultimately destroying the market. Threaten or affect the main force's operation plan, such as causing the main force to pay too much for raising costs or affecting smooth shipments. (This kind of operation has been carried out from the time of attracting goods, pulling up to the early stage of shipment, and is mainly reflected in the 2 and 4 callback waves of the wave)

2. Continuously replace currency holders at different stages. market, in order to increase the cost of holding shares and further reduce the pressure on the main force to raise the stock price in the future market. By repeatedly washing the market, increasing the average holding cost will also help the main force to sell goods at high levels and leave the market, preventing the main force from scaring away retail investors as soon as there are signs of selling goods, so that they can calmly distribute at high levels in the future.

3. When selling high and buying low during the shakeout process, the main force can charge part of the price difference to make up for the higher transaction costs it incurred in the pull-up stage. In this way, it not only increases the capital and confidence for raising the stock price in the future, but also makes the market unclear about the main cost and the position of the main shipment in the future. (This type of band operation is the mainstream operation of the main players in the current market, investors can pay more attention and use it)

4. Adjust the proportion of funds. If the main force takes a relatively large proportion of chips at the bottom, there is no remaining capital. Sufficient lifting power can be used to washShipping at a higher price at the beginning of the market restores the power of pulling up (sometimes it achieves both the purpose of reducing positions and the effect of washing the market. Investors can find traces from quantitative changes to capture).

5. Adjust the position structure. If the main force holds chips for multiple stocks, the position ratio of the stocks can be adjusted through washing, and the priority can be prioritized so that it can better show the sector effect. (Sometimes the super main force, during the band operation, exits a few stocks at high levels in the band, allowing the market to wash the market naturally, and then pours the funds into other stocks that have been washed up to pull them up, and then disperses them when they reach relatively high levels. Go to the stocks that were originally eliminated and the wash is about to end, and make full use of the efficiency of the use of funds).

6. When the time matures, some will use dishwashing to continue attracting goods. There are also main players waiting for the cooperation of the general trend or sectors. (Wash the market and take advantage of the potential. Generally, the market is not very good at this time, so we use the market to drive out some unsteady elements).

7. Confuse those who originally wanted to sell high and buy low. Some smart people often end up selling low and chasing high. Many people go to high positions to chase the rise after being short at low positions, and become the bearers of the main force (the main force makes very regular fluctuations at relatively high positions. When retail investors think they have grasped the pattern, , and then run it abnormally, so that the washed out water will be empty).

Generally, the main purpose of the main force is the above points. The purpose of washing the market is often to fall below some support positions, and there are also cases where the purpose of washing the market is achieved by deliberately modifying ordinary indicators such as KDJ, MACD and other indicators. In actual combat, the key points of trading can be summarized as follows: focusing on the mainstream of stock holding life, holding on to the central axis of funds, and the main force in building a position must do this. Everyone can experience and deliberate more, so that we can better accurately judge the main force's true operating intention at this stage through cost analysis.

During the operation, different methods will be used to wash the market, so that different types of retail investors can enter and exit the varieties they are operating according to the main force's intentions, so as to achieve the main force's goal of successful trading. In this wrestling In the market, the main force is in the dark, while the retail investors are in the open. Only when retail investors have a full understanding of the market can they fully understand the fluctuations of the stock and decipher the main force's intentions.

Summary

1. The first daily limit at the bottom leaves enough room for rebound;

2. An upward gap appears before the daily limit. , accelerating upward away from the bottom cost, and the intention to pull up is obvious;

3. The daily limit after the gap not only reflects the strength of the long kinetic energy, but also reflects the determination of the long kinetic energy, and the daily operating band is pulled up.

Many people complain, why can’t I make money in the financial market? I'm not stupid, I'm even smarter than others. So if I look at my account, why can't I make a profit? That's because you don't think about the reasons at all. If you don't think about it, you can't find the problem. If you can't find the problem, you just make transactions in a muddle. Making money depends on luck, and losing money is natural. In the end, you are eliminated by the market and used as cannon fodder.

Let’s take stocks as an example. There are many market prices every day, and there are many varieties. There are more than 3,000 stocks. If everyIf you want to do every market trend, you will eventually lose yourself in the market. There are three thousand weak water, but only one scoop is taken. In fact, there is very little you can do in many cases, because most of the time the market fluctuates disorderly, or there are no buying and selling points in your system at all. At this time, the only thing you have to do is to wait patiently!

Waiting seems to do nothing, but in fact it does not. If you wait a long time, you will naturally get something. What are you waiting for? Wait for the right time, wait for the opportunity, strategize, and win a thousand miles! After crops are sown in spring, all you have to do is wait for them to grow and mature day by day in addition to field management, and then they can be harvested in autumn. After the sapling is planted, all you have to do is water and care for it, and wait for it to grow year by year, and then you can use it after it becomes useful. Waiting requires wisdom, and waiting is also an art.

Do you know why crocodiles can survive on the earth for so many years and have now become one of the oldest reptiles? One of the reasons is that when hunting, crocodiles will wait very patiently for the best opportunity. When the opportunity comes, it will not attack easily. If it waits for the best time, it will not hesitate to attack as fast and fiercely as possible, catching the prey off guard. Moreover, after it bites, it will generally not let go, unless the prey is against it. Inflict harm on yourself.

So when we trade, we must also have the characteristics of the crocodile, patiently wait for opportunities that belong to our own trading system, and don’t make moves easily. If we make moves easily, we will still lose money, not to mention the loss of funds, but also a blow. confidence! When there are no trading opportunities, waiting patiently is the best option.

The capital market is an invisible and cruel battlefield for interests. Various theories used to guide transactions often make participants in this market full of hope. If they obtain the Sunflower Book, they often make traders despair and cast aside. , people spend countless hours learning various theories about the market: fundamental analysis, technical analysis, astrology and gossip..., in my opinion, these are all seeking the last, and what we should follow most is the market itself.

(End of full text)

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⑦ How can retail investors save themselves when the banker smashes the market?

Generally, the market crash is divided into two One situation is that in the process of rising, the banker wants to clean up the chips that follow the trend and short the stock by a large amount at a certain price, creating the illusion of a decline and inducing retail investors and followers to sell; the other happens when a certain stock market maker After completing the purpose of making a bank, when the stock price is quite high, the banker achieves the purpose of escaping by selling a large amount of stocks to hit the market.
For example, the current price of the stock price is 9 yuan, and buyers and sellers are competing at this price. Suddenly 5,000 lots are traded at 8 yuan and 30 cents. This phenomenon is called a smash.
To use another analogy, a stock has been falling for a long time. It seems that it has fallen toThe market has bottomed out, but the market makers have taken advantage of external factors such as the market's plunge and the economic downturn to use their existing stocks to desperately suppress the market. Due to the long-term decline of the stock, ordinary retail investors have been scared out of their wits by buying and selling the stock repeatedly, and almost no one dares to buy it again. Retail investors holding the stock will mistakenly think that the stock has started a new round of decline, and they will cut each other off and run for their lives. At this time, the dealer happened to fall into the trap. While the dealer was smashing the market, it was also quietly absorbing it.

⑧ How to use bad news to wash out market makers

Currently, the A-share market is dominated by retail investors. Everyone should understand that retail investors are leaderless, just like a group of stragglers. So is there any force in the market that can fight wherever it is directed like the regular army? must have! In fact, it is the "main force" that everyone often talks about. Next, let us analyze the behavior of the main force! Before you start, you might as well receive a wave of benefits first - the list of bull stocks selected by institutions is newly released, don't miss it if you pass by: [Top Secret] The list of bull stocks recommended by institutions has been leaked, get it as soon as possible for a limited time! ! !
1. What are the main activities? How to identify judgment?
The main force actually refers to buying one or more stock chips individually or jointly in the securities market. On the premise of not exceeding the scope permitted by law, on the one hand, it can achieve greater financial benefits through market operations. On the other hand, institutions or individuals with capital base, let's put it this way, have money or stock chips that are larger than the circulating market. The scope of main force is very wide, generally referring to the capital power that can guide the operation of the market or stock price in the short term. In terms of its characteristics, there is simply no comparison between ordinary retail investors and major players in terms of capital, information, technology, etc. The main actions include "buying goods", "washing the market", "pushing up", "shipping", etc. At the same time, the main actions are very secretive. In fact, we can also analyze some of them based on the K-line and chip distribution chart. Clues:
(1) Buying goods
The main force buying goods means that the main force intervenes in a certain stock in the stock market and continuously buys (opens or increases positions) in a certain stage. The purpose is to prevent retail investors from competing for low-level chips. The main attraction of goods is very concealed, and the large-scale purchase behavior cannot be invisible:
① From low-level multi-peak intensive to single-peak intensive: the main force's slow bull style Opening a position

The behavior of the main force is not obvious, but also varied. The above just mentioned a few common techniques. Investors should summarize them based on specific investment practices. I hope everyone goes well with their investment! The stock market is complex. If you don’t know how to analyze a stock, click on the link below and enter the stock code you are interested in to see if the stock is suitable for buying. The latest market news will allow you to easily seize the opportunity. : [Free] Test the current valuation position of your stock?

Response time: 2021-08-27. The latest business changes are subject to the data displayed in the link in the article. Please click to view

⑨ If the stock market continues to decline, What to do as a retail investor

How investors can detect the main trends in the stock market and follow them into the market

The main forces in the market generally operate stocks based on the following rules: ① Market sentiment determines the rise and fall of stock prices. ② Changes in supply and demand are the root cause of stock price changes. ③The operation of stock price must be flexible and cannot blindly go long or short. ④ Must be able to control the chips. ⑤The operation must be rational and the psychology of retail investors must be thoroughly understood.

Investors must not ignore a complete bottom graphic, let alone its power. Those who mock or distrust perfect graphics are tantamount to going against the market trend. If you operate against the trend, you will be hit hard.

⑩ What is the negative news in the currency circle?

Negative news: news that causes the currency price to fall, such as Bitcoin technical problems, central bank suppression, etc.

本文来源: 网络 文章作者: 网络投稿
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