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How to avoid the wrong increase in holdings through Gann theory?

There are many schools of investment market, or stock market, but only a few are recognized by everyone, and Gann is one of them. Let's talk about how to avoid the wrong increase in holdings through Gann theory.

"Gann Investment Rule 20" mentioned-"Be careful to overweight at the wrong time, wait for the stock to actively break through the resistance level, and then overweight to buy. After the stock falls below the main distribution area, it will be overweight and short. "

This law tells us two things:

1, "Buy more when the stock actively breaks through the resistance level". Three questions, what do you mean by active stock? Break through what resistance level? How much more? I think: first, the sign of stock activity is that its average turnover rate on the 5th or 10 day is obviously improved; Second, the resistance level should refer to the high point that I wanted to cross in the early stage but never crossed; Third, how much to add. Gann investment law has long made it clear that each transaction does not exceed 10% of the total investment, and the purchase amount of each stock does not exceed 20% or 25% of the total investment.

2. "After the stock falls below the main distribution area, it will be overweight and short." Two questions, how to judge that the stock falls below the main distribution area? What is the appropriate amount of overweight and emptying? I think: first, the "main distribution area" should follow the relevant principles of Gann's investment law on stock selling signals, otherwise the MA line will form a dead fork on the 5th, 10 and 30th, and the stock price will fall below the 90MA line. How much is overweight and short? Vent in two or three times, each time from 1/2 to 1/3.