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nasdaq震荡,当下+0.54%,白天一直在一个微小区间震荡,主要原因还是估值高位,回调不充分。早盘十分买入,有盈利后加仓,傍晚看外盘走势整体比较稳,于是再度加仓,获利后没有达到预期盈利,平仓止盈。

日经早盘微弱高开,考虑到日经惯常的剧烈震荡,在-0.3%时开多单,之后一路下跌到-0.9%,中间夹过一次仓,但是继续下跌,之后止损平仓,看4h线认为日经还有上涨空间,再次多单买入,因为日内没有明显上涨趋势,没有加仓而是选择一直持有,晚上盈利平仓。

今日表现最突出的是a50,在开盘上涨0.3%时买入,在顺海上涨到达+0.9%时卖出大部分仓位,只保留底仓,而后a50顺势上涨并最终收盘+2%以上,盘后有分析称特朗普团队有关于关税的政策,实际上市场是在为上涨找理由,看北证50的涨幅应该是有游资介入,擅长拉小盘股,但是汽车、通信设备、券商也都是大涨,所以更有可能就是跌多了,跌多了反弹一下也正常,也不用以为就反转了。

hk跟涨,站在当下这个位置,港股的性价比开始凸显显。


 
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