at presentgold震荡修正为主,周四在ADP数据大幅利空的情况下,行情也仅仅只是跌了4美金,并且是快速的下探回升,最后大涨刷新高点。如此走势按照常理我们可以解读为修正结束多头强势回归,但周五的行情告诉我们实际情况并不是这么简单。非农数据大幅利多,但上涨后继乏力,冲高止步1323转跌回落,再加上资金控盘的影响,杀跌一波行情重回区间整理。利空不跌,利多不涨,同时夹杂着资金量砸盘,这也是本周行情难做的原因。反复诱空再诱多,实际只是大区间震荡,没有看明白这一点,当成趋势行情来操作,那么结果注定是做不好的。
1Long term unwinding. Investors who have identified a major trend (such as a bullish market) and placed their orders in a minor trend (a downward trend in the market) can first stop losing and then enter at a lower price to earn a price difference. This can also earn profits from the major trend and reduce the risk of short positions caused by the minor trend.
2Short line unwinding. If investors make a complete mistake in their judgment of the market, they should decisively close their positions to avoid further unilateral price fluctuations and greater losses. The longer short-term investors hold in a unilateral market, the greater the losses they will incur.
3Light position unwinding (also applicable to investors with large funds). That is, as the decline in the price increases, it increases the buying price and uses idle funds to lower costs, waiting for the price to rebound. Its advantage is that no matter how deep it is nested, as long as it is operated properly, it can be unlocked once there is a rebound.