The standard is: 3500, yesterday's high point.Do you think more investors will choose to sell if they encounter a high opening next time?Suppose it breaks 3380-3390, I will consider controlling my position and wait for the next variable.
Only a few people know how much it costs to liberate the high position.When is the best chance to choose the trading opportunity?Roughly in the range of 3380-3390 (why is it effective here? Because the on-site funds were bought at a high price).
It is best to give the funds bought at yesterday's high point a chance to unwind, and market confidence will increase again.Who is wrong?Fortunately, the empty side did not take the opportunity to hit a person when he was down. Today, it gave a repair K-line, and most stocks were weak and red.
Strategy guide 12-14
Strategy guide 12-14
Strategy guide
12-14
Strategy guide 12-14
Strategy guide
12-14