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Thread: 操盘准则*实例(转贴)

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    Default 操盘准则*实例(转贴)

    我老说我的操盘准则是安全第一,要做好操作易止损的单子。
    而做盘该重操作轻分析
    有朋友问我怎么区别,分析不好怎么做盘,我在此举个实例。
    我有个客户5.1时对我说要开户做铜。
    这家伙还是个急性子,非要12日一回来就干,问我怎么做 Lme收1627(9日)
    大家都知道我客户手里当时有2000手以上的多单,那我会怎么建议他呢?
    我让他12日抛 为什么呢?

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    我的判断如下:
    1。我客户非要做单,他可以做两个方向: 买 抛
    2。分析一下,止损怎么设,是否容易操作
    买,lme1627,支撑在1620,可1600也是强支撑,1570的意义我不说大家也知道,
    1550是阶段低点,可1550如果破估计因止损盘的原因收盘可能是1525,那价还值得
    去砍吗? 毕竟绝对价位太低了啊。 止损极难设,不知道怎么操作好。
    抛,lme1627,1640--1650的压力大家也应该都能看出来的吧,止损就是这
    操作简单,止损很紧,可行性很高。
    于是,虽然我当时分析后认为上涨可能在75%以上,但还是让他抛了。
    为什么?因为这价位买无法止损,只要有25%的情况发生,他就可能死了。
    那就是说,做4次,他就错一次,就可能死了。太危险了。

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    总结,分析看多,操作做空,这就是我说的重操作而轻分析。
    要找最简单,最容易设止损,损失最小的单子做。
    结果,12日集合竟价9月16790抛,第二天集合竟价16920平,输130元
    虽然输了,但再给一次机会,我还会让他抛,绝不犹豫。

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    看到这,大家能理解吗?

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    只要人还在 ,机会总是有的.

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