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    Yu Ming'S Interpretation Of Stock Market: Ups And Downs Reveal The Determination Of Capital

    2015/10/20 21:31:00 19

    Stock MarketA ShareMarket Quotation

    The index opened in early trading, then dropped to 3357 points, then rebounded quickly after midday, then broke through 3400 points again, then fell back, and the tail plate quickly pulled up again to get higher and higher. Between the ups and downs, the intention of steady and more funds was revealed. Stocks also returned to a state of rising or falling, though the index did not want to break through sharply in the first week after the holiday. After all, the continuous accumulation of holding chips and profit taking plates frequently poured out, but due to the stability of the heavyweight stocks,

    capital

    Focusing on the hype of the theme stocks and changing the chips actively, the situation is that the money making effect is good.

    After the festival, the new market keeps rising, and the hot spots continue to maintain a trend of virtuous circle.

    In September, stock index fluctuated at a narrow interval of 3000-3250.

    Main board Market

    Trading volume continued to shrink, showing a strong wait-and-see atmosphere.

    Compared with the main board market, the growth enterprise market is relatively active.

    However, the rebound in the previous period has been an important aspect that restricts the strength of the market. At present, the overall volume is significantly higher than before, but the total amount of energy does not return to high position.

    As of October 15th,

    Shanghai Stock Exchange

    The balance of financing was 600 billion 862 million yuan, an increase of 5 billion 396 million yuan compared with the previous day. It was also the first time to break through the 600 billion mark in nearly a month. The balance of the Shenzhen Stock Exchange's financing was 365 billion 224 million yuan, an increase of 5 billion 832 million yuan.

    The total financing balance of the two cities has reached 966 billion 87 million yuan, an increase of 11 billion 229 million yuan, which has achieved six liters.

    From the disk, the stock index is running on the 5, 10, and 20 day moving average, while the average moving lines are divergent, which is a typical trend of multi - row alignment.

    With the recent QFII running in, overseas funds have been flowing into Chinese stocks for 12 consecutive weeks, so the stock split will intensify as the index enters densely locked areas. The real funds will continue to strengthen, and those who follow suit will take the lead.

    The weak rebound is characterized by a long-term decline in exchange for a short rebound, which is essentially the failure of the market selling power to form a reluctant sale.

    In the weak market operation, first of all, we must be patient and wait for a medium and long term down cycle to be completed.

    If the market is just beginning to fall, it will be difficult to get back to the market even if the market continues to make up the stock market, because the high point of weak market rebound is going down.

    Once the market becomes stronger and enters the rebound mode, the breakthrough is the sign.

    Yu believes that from the market performance of this rebound, the gem is the biggest decline in the short term, so the rebound is also the largest, and the main board, including blue chips, basically does not rise, which provides a lot of space for the active theme stocks, including the market this week. In fact, it is also seen at the 3370 point. This is precisely the post diving position after last week's high index, but this does not hinder the activity of stocks.

    On the whole, Yu believes that investors must divide the plate style at the same time, separate the index from the hot spots, and the overall quantity can be relatively limited. But when the limited funds are concentrated on the hot spot, it will cause enough local capital liquidity to push the local hot spots and the earning effect continue to strengthen. After the repeated dive and pull movements in the last 3-4 trading days, investors should see the determination of the hot spot of funds and see the large scale differentiation of stocks.

    On the strategy, we must strengthen the confidence in holding stocks with capital operation (the simplest judgement is that there is a clear volume and quick pull up) in the process of pulling the index back up, with the three quarterly quarterly increase in stocks, the policy benefit from overtaking stocks and the ST cap picking stock, giving up the weaker varieties and actively grasping the "eating quotes".


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