升咗[需要download&放大]
投資分享及大市趨勢, 以Bible作為後盾 and 4 basic stock option strategies (賣出認估/買入認購或賣出認購/買入認估期權四招): Short put/Long call V.S. Short Call/Long put
2013年2月22日星期五
上證指數 V.S. Candle Stick-Dinner
原來利用sina.com.cn的5分鐘圖,是很容易預測到[全部]AB股轉升或轉跌的,心得就是利用WVAD:
http://finance.sina.com.cn/realstock/company/sh000001/nc.shtml
Bull: approx -1000 to -300 in Red Candlestick; Bear: Approx -300 to -1000 in Green Candlestick
http://finance.sina.com.cn/realstock/company/sh000001/nc.shtml
Bull: approx -1000 to -300 in Red Candlestick; Bear: Approx -300 to -1000 in Green Candlestick
2013年2月7日星期四
Bull V.S. Bear
The Bull only wants to go up and trade like minicing (the data before) but bear is directly related to the bad news and interrelated among several markets (EU, US, HKSAR and RPC).
As a result, due to the previous data and trending style (ups and downs and ups are higher than the first ups), we always move up (due to the last high )and try to go against the last peak. Thus, technical only works on Bull Market, and do not have a substantial effect to the bear.
By trading the bad news(easy), cos you do not have to worry about people are worry when they heard the bad news (protect their capital). Indeed, the only thing you need to know is the last high will be the resisance to the stock market and they tend not to penetrate (but bulls will)that and you would rather buy short call.
Bull: Long call (next month) and put for (same month)
Bear: Long put (next month) and call for (same month)
As a result, due to the previous data and trending style (ups and downs and ups are higher than the first ups), we always move up (due to the last high )and try to go against the last peak. Thus, technical only works on Bull Market, and do not have a substantial effect to the bear.
By trading the bad news(easy), cos you do not have to worry about people are worry when they heard the bad news (protect their capital). Indeed, the only thing you need to know is the last high will be the resisance to the stock market and they tend not to penetrate (but bulls will)that and you would rather buy short call.
Bull: Long call (next month) and put for (same month)
Bear: Long put (next month) and call for (same month)
2013年2月1日星期五
Future Option Procedure
Do not look the color of the indicator.
Real-time quoting is a vital progress, but, unnecessary in decision-making. I.e. you do not simply base on the quote, but God will advise you to look at the hints.
平安和供應。
Option Price=100,Capital=100*50=$5,000
Future Trading(not speculating)= Long(Call)/Short(Put)=seller
If the index future is trading higher before the market opens, it generally means that the actual index will trade up in the early part of the day. This is because the index futures are closely tied to the actual indexes. These futures contracts mirror the underlying index and act as a precursor of the actual exchange index's direction.
Major events and breaking news can occur during this one-hour window before the stock market opens; this news usually gets priced into the futures contracts, fluctuating like a normal index. This allows investors to use the futures prices to get a generalized view of market sentiment, and may help to position certain trading strategies before equity markets open.
15:30pm-9:15am
[you estimate]1 day(1/2), [God want you to]2 days(4-5/2), [With the estimation that God has been renewed]6 days(6-8/2; [With What He wants me expect]14-15,18/2), [Do not panic]2 days(19-20/2), [Pass the days and receive glory]1 day(21/2)= 12 days;
[OE]8 days remaining: (22,25-28/2)5 days + [SDE](1,4-5/3)3 days
We trade 20 days for a cycle and 1 day off(21 days). Trading Hour

[you estimate]1 day(1/2), [God want you to]2 days(4-5/2), [With the estimation that God has been renewed]6 days(6-8/2; [With What He wants me expect]14-15,18/2), [Do not panic]2 days(19-20/2), [Pass the days and receive glory]1 day(21/2)= 12 days;
[OE]8 days remaining: (22,25-28/2)5 days + [SDE](1,4-5/3)3 days
We trade 20 days for a cycle and 1 day off(21 days). Trading Hour

Day Trading (即日鮮): 公牛V.S.夢熊
Day trading (not necessary 24-hrs)refers to the practice of speculation in securities, specifically buying and selling financial instruments within the same trading day,⋯⋯Traders who trade in this capacity with the motive of profit, assume the capital markets role of speculator.
嚴格來說,兩至三個工作天並不是即日鮮,很多時候在先高後低的一年時間裏面(時間長並不代表風險低,相反在適當的轉勢區(About to Change Zone)作出適當的部署才是低風險部署)投資反而無著落,就算無賺無蝕都需要俾手續費。
實用技巧:Stop-loss, 即日高位後,再Short Call,即日低位再生Short put,然後升穿咗Short call就係高位,跌穿咗就係低位,最後升上去全日高位就是公牛日(Bull), 最後跌下去全日低位就是夢熊日(Bear)。
http://en.wikipedia.org/wiki/Day_trading
2013年1月29日星期二
上次農行(1288)高位啟示,是由於....
再無力上升(最多0.5)
半新股
美歐無力再上
再戰25000點風險大過穩賺(漸近24000offset)
新年業績期後到炒美債(Trillion Debt)
預計本年的最高位在4月(first week)出現,即2個新低,多一個新高(其他高低升跌並不重要)
approximately hsi 24532 (-1500點) -- 23032; 後升24000高多200點水平後倒跌(一浪低於一浪),即每次高位都比對上一次高位略低
半新股
美歐無力再上
再戰25000點風險大過穩賺(漸近24000offset)
新年業績期後到炒美債(Trillion Debt)
預計本年的最高位在4月(first week)出現,即2個新低,多一個新高(其他高低升跌並不重要)
approximately hsi 24532 (-1500點) -- 23032; 後升24000高多200點水平後倒跌(一浪低於一浪),即每次高位都比對上一次高位略低
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