As for the direction and position, those who like to do short-term themes can operate repeatedly in the Internet, AI, digital currency and cross-border e-commerce, while the medium and long-term lines firmly hold the brokerage, insurance, medical care and consumer segmentation sectors.As for the direction and position, those who like to do short-term themes can operate repeatedly in the Internet, AI, digital currency and cross-border e-commerce, while the medium and long-term lines firmly hold the brokerage, insurance, medical care and consumer segmentation sectors.As for the direction and position, those who like to do short-term themes can operate repeatedly in the Internet, AI, digital currency and cross-border e-commerce, while the medium and long-term lines firmly hold the brokerage, insurance, medical care and consumer segmentation sectors.
Everyone should remember this clearly. Before the National Day holiday, foreign investors bought a large number of call options, and then, after the National Day holiday, they bought short and smashed the market. In the end, the market opened higher and went lower, and they earned both ends! Therefore, after the results of next week's meeting come out, everyone should pay attention at any time and run away with buckets!Again, the A-share market is always speculating on expectations. In the short term, the market is mainly expecting the meeting. When the meeting is over, regardless of the outcome, the market will usher in adjustment. It is nothing more than a question of whether to choose high opening and low walking or low opening and low walking, but this does not affect the improvement of the central line.When the market broke through the 20-day moving average, I shared several key nodes with you. At present, it has broken through two key nodes, 3378 and 3402. Next, the most important resistance level is only 3477 points. Before this, the market will not fluctuate too much. Still the same sentence: step on the rhythm, rise and sell, fall and buy.
Although the market has now broken through 3400 points, according to normal logic, there should be a wave of pull-up, and the target point is 3509 points. The main force should try it. But I'm not sure whether to take the second wave of rising waves now. Because the end of the year is coming, the liquidity of funds is tight, and everyone is more cautious.In addition, foreign investors have suddenly bought a large number of call options, mainly because the results of next week's meeting will be favorable. Once it is good, these call options will definitely make a big profit; Even if they don't exceed expectations, they will buy short on the futures index or other options. Anyway, they are T+0, whatever.In addition, foreign investors have suddenly bought a large number of call options, mainly because the results of next week's meeting will be favorable. Once it is good, these call options will definitely make a big profit; Even if they don't exceed expectations, they will buy short on the futures index or other options. Anyway, they are T+0, whatever.
Strategy guide
12-13
Strategy guide 12-13
Strategy guide
12-13
Strategy guide 12-13