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Thread: 战略空欧日

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    Default 战略空欧日

    战略上说,欧日空仓应该持有,但短线看,日本地震,贸易盈余大幅度下降,这是不怎么样的信号。因此别忘了我那句名言:建长仓,做短线,不对就得跑。比如昨天空英镑的仓位,跌下来了,大多数人不舍得走,后来返身向上尤其是在英国央行公布了比预期强硬的会议纪要之后,突破我们设置的买点,此时就应该跑了。如果不跑,也不用止损,因为那个位置一定是震荡的中轨区域,是不用太担心的。

    我们做欧日,一定要汲取昨天做英镑的教训。什么是战略性建仓?就是不轻易止损的建仓。我们每天发出的短信为什么都要跟非常小的止损,那是给那些炒短线的投资者预备的,给战术投资者预备的。而我所说的战略性建仓,可是中长线,一般都有几百点。因此,从盈亏比算,被套200点,不怕

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    一谈到战略,我就想到长线,一想到长线,我就想到我的重仓,一想到重仓,我就头疼,哈

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    Quote Originally Posted by zgrxyuming2008 View Post
    战略上说,欧日空仓应该持有,但短线看,日本地震,贸易盈余大幅度下降,这是不怎么样的信号。因此别忘了我那句名言:建长仓,做短线,不对就得跑。比如昨天空英镑的仓位,跌下来了,大多数人不舍得走,后来返身向上尤其是在英国央行公布了比预期强硬的会议纪要之后,突破我们设置的买点,此时就应该跑了。如果不跑,也不用止损,因为那个位置一定是震荡的中轨区域,是不用太担心的。

    我们做欧日,一定要汲取昨天做英镑的教训。什么是战略性建仓?就是不轻易止损的建仓。我们每天发出的短信为什么都要跟非常小的止损,那是给那些炒短线的投资者预备的,给战术投资者预备的。而我所说的战略性建仓,可是中长线,一般都有几百点。因此,从盈亏比算,被套200点,不怕
    照你的意思是说EJ要跌了,我还持有空仓,如果到170我再加仓空。

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    两个贸易体经济情况都不怎么样,感觉还是短线为主,就象矮子里面挑高个一样,能短就短

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    根据仓位决定做长线、中线还是超短线。反正感觉做超短线还是有利就跑,细水长流最好

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    现在做空是个最好的时机

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    但两个经济体的数据出来后都不好,只能是比哪个更差

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    Quote Originally Posted by zgrxyuming2008 View Post
    现在做空是个最好的时机
    现在做空?没看到任何做空的指示来,过170已成定局,多大的资金能抗住做空的危险?

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