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今日上证指数以-0.2%开盘,盘中一度超过+0.38%,最终收盘-0.4%。然而A50却录得+0.62%的涨幅,这是尾盘跳水之后的涨幅,盘中高点一度1.2%+。

由于前期在这个方向有埋伏,持仓的0.17手A50在盘中高位运行时选择平仓大部分,只留有0.05手底仓,不是因为预见到了要下跌,而是上涨过多超过早盘资金的50%,同时因为前几天数字币损失较大,所以落袋为安,先让账户有个喘息机会。

hk50也因为提前布局清掉了1|2的仓位,后便找机会再加回来。

卖空不是因为看空,而是因为及时收手落袋为安,对于a50和hk50,我觉得这波走势刚刚开始,从现有点位再上涨50%也只是时间问题。

今日的跳水有人说归因于万科200亿债务可能会落空,但是我看起来就是获利盘太多,需要洗盘,洗盘之后才能迎来更高的上涨,而这个吸盘周期,不会太久,可能一周也可能就是一两天而已,之后继续震荡上涨。

因为,港股和a股的逻辑变了!

nasdaq早盘开盘做空,之后震荡上扬扫损平仓,傍晚又有跌势,减仓后继续下跌,顺势加仓。nasdaq的回调随时发生,然而不要期望太多,持续性的回调很难,剧烈震荡中下跌可能会是主旋律。

数字币趋势不明朗,小仓位多仓持有,看走势再判断。


 
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