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What are the operating points of suspending the K-line group?
1. What are the operating points of suspending the K-line group?
K-line group refers to some K-line combinations with close opening price and closing price. There are many K-lines, similar to the K-lines in the sideways, but today we are going to explain the hanging K-line group, that is, the trend of the K-line in mid-air. What are the characteristics and operation skills of suspending K-line group?
The basic form is similar to the sideways K-line, but the difference is that the suspended K-line group is suspended in the middle of rising, and there is downward pressure without rising support. Its operation points can be divided into four points:
1, which generally appears in the trend of stocks that resume trading after suspension, and there are many factors of daily limit in the early stage to raise the stock price;
2. The corresponding transaction volume is constantly enlarged, with a huge amount of forms;
3. After the stock price breaks through the trend of suspending the K-group platform, the daily limit or gap appears;
4. On the day of resumption of trading, it is a good place to intervene that the stock rises and breaks through the suspension platform;
Second, where is the K-line hanging?
The rapid decline of the stock index for three consecutive days last week has approached the 2400-point mark, falling below the 5 10, 20, 30 and 60 lines continuously. At the same time, the 5-week line and the 10-week line have also been broken one after another. Faced with this trend, many investors have expressed their support. The breakdown of several important support lines has seriously deteriorated short-term technical indicators, and it is no wonder that investors are pessimistic. Let's look at this wave of rebound from 2307 to 2536. In the process of rebound, the stock index did not appear decent washing, and accumulated a lot of profit chips after continuous upswing. At the same time, the short-term technical indicators are also high. In the process of this wave of rebound, the financial sector rose first and then fell, which led to the speculation of theme stocks. After financial stocks reached the band high point, the adjustment followed, especially after foreign investment banks such as Goldman Sachs shorted financial stocks, they also intensified the adjustment of financial stocks, dragging down the stock index rapidly. However, after the centralized bearish release, we found that after last week's adjustment, it is unlikely that bank stocks will fall again after their valuation and technical indicators are adjusted in place. The adjustment of heavyweights to the current adjustment in advance is completely conducive to the stabilization of the market. So where can the stock index stop falling next week after falling below the support of several important moving averages?
Let's talk about the golden section first. Generally, when the adjustment range is slightly larger, we usually use the golden section point of 0.6 18 to calculate. This round of stock index bottomed out in 2307 and rebounded to the highest point of 2536, so the gold position is 2536-((2536-2307) * 0.618) = 2394. In other words, breaking 2400 points can cause a rebound.
Secondly, the K-line has an upward gap at 2388-2389 in 30-60 minutes, and it will not be replenished. Attracted by this gap, the callback of the stock index has the requirement of covering this gap. The number of points is similar to 0.6 18 of the golden section. Is this a coincidence? We can confirm that.
The third is that the daily KDJ indicator is oversold, which also increases the reliability of the technical rebound.
Fourth, according to the news over the weekend, the relevant person in charge of the CSRC said on June 5438+08 that it would promote the unification of the bond market system norms and regulatory review; Take a multi-pronged approach to gradually change the situation of issuing stocks with high P/E ratio; Improve the delisting system, resolutely curb the speculation of companies with poor performance, and first explore the trial delisting system reform on the GEM; Will start the non-public issuance of bonds by listed companies on the GEM; Unswervingly crack down on insider trading; Under the leadership of * *, coordinate relevant parties to clean up and rectify all kinds of trading places. This should be good for the stock market in the medium and long term. And only subscribing for two new shares next week can also reduce the market burden. On the weekend, US stocks rose slightly in the peripheral market, and the decline in Europe also narrowed. Now it is the embryonic form of stopping the decline. It can reduce the psychological pressure of domestic investors.
On the whole, the downward trend of the stock index since it was blocked at 3067 points and the decline after it went online at 2536 points should be regarded as a callback to this round of rise. From the technical and news point of view, there is no possibility of falling below 2307 points continuously, and don't panic to cut meat after continuous decline. From last Friday's futures index, an important message appeared on the disk, that is, there was a rare change in the 65438+February contract of stock index futures, and its position difference broke through 13: 15 after a continuous surge. Behind this rare change, it shows that there are serious differences between the long and short sides in the market at present, and both sides have invested a lot of troops in confrontation. The long-short deviation shows that there is no one-sided phenomenon, and many parties have also seen that the space for stock index decline is limited. For this reason, after covering the gap of 2388-2389 points on the 30-60-minute indicator K-line chart, the stock index can rebound with a little bait, that is, the bottom line of stock index adjustment is around 2350-238 points. The operation is not to cut the meat and leave the market, but to buy on dips. * * Growth stocks of big consumption and emerging industries.
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