週三盤後分析 周四计划

nepean_01

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週三盤後分析(抄的)
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週三美國股市收盤大跌。由於經濟數據不佳,以及歐洲領導人在解決歐元區國家債務困局方面意見相左,投資者信心受到打擊,股市收盤大跌結束了三連陽走勢。截至收盤,道瓊斯指數下跌180點(-1.61%),收於11011點,標準普爾500指數下跌24點(-2.07%),收於1151點,納斯達克綜合指下跌55點(-2.17%),收於2492點。美元指數上漲0.41點(+0.53%)報78.44,原油期貨下跌3.24美元(-3.8%)報收于81.21美元,黃金期貨下跌34.40美元(-2.1%)報收于1618.10美元。

經濟數據方面: 8月耐用品訂單月環比-0.1%,預期為+0.1%,前值為+4.1%。 8月耐用品訂單(除運輸)月環比-0.2%,預期為-0.2%,前值修正至為+0.7%。上周能源部原油庫存+1.9M,預期為+0.8M, 汽油庫存+0.8M,預期為+1.0M, 餾分油庫存+0.1M,預期為-0.2M, 精煉利用率周比-0.5%,預期為-0.3%。

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周四计划
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1. 我觉得最近涨三天,跌三天,大盘应该再跌150-200就可买了,我还买POT,CF!

2. 如果跳空低开100点(我觉得很有可能),然后恐慌跌倒200点,可少量买入POT,CF,
SLV等等。如果快速反弹,就坚决卖出,一般反弹一小时,当天交易的高手们都要跑
了。然后下午再几波杀跌完,加倍买回POT,CF,SLV。呵呵。我做美梦吧? 呵呵。

3. 银子可能会在当前位置盘整,然后看看是往上还是向下,我觉得如果3天没跌下来,可做多。 金子也慢慢到重要支撑了。ZSL明天应该要获利了结了(今天已赚15%了)。
 

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When is ths range going to resolve? This action is frustrating a lot of traders as the only strategy that seems to be working is buying or selling the extremes of this lower range. If you are a longer-term swing-type trader, it is prudent to stay in Tier 1 maximum in this lower range. The range is wide, but continue taking trades and playing the extremes until the market proves otherwise. This range will resolve soon giving us more conviction on a trade, but at this time, continue to stay light and keep positions tight. The 3rd Quarter ends this Friday, which may provide some "window dressing" for investors. Also, we enter earnings season next week with the bulk of earnings starting the week of October 17th. This range may not resolve until then.
 

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The QQQ's closed the day down 1.48%. This sector is holding up better compared to the SPY. This had a stronger bouce compared to the SPY, but take note that it is trading in a steep ascending channel, which is typically bearish. $53.50/$53 should be your stop on the QQQ's if you are long, and this will provide a better entry once the market finds its footing. The QQQ's are showing relative strength to the SPY.
 

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OIH sold off

The OIH sold off yesterday at $117, which was outlined as Resistance 1 for the oversold bounce trade that was outlined previously. This ETF can not find much traction to the upside. The trend remains down in this ETF. The OIH is trading below the key moving averages and closed the day down 5.18%. The OIH's were one of the worst performing sectors today.
 

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XLF mosre downside likely

The XLF, the financials ETF, can not put together more than 3 up days before it is met by sellers. The momentum is to the downside in this ETF. This is an avoid on the longside as the XLF is showing relative weakness to the SPY.
 

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GLD 离支撑近了

Since GLD broke the accelerated uptrend line and support of $173/$172, it has been liquidated. The GLD provided a minor oversold bounce falling just short of the first resistance that was outlined at $164/$165, proving the weakness in GLD for now. Can GLD continue to hold above the previous breakout area of $154/$153, or is there more downside to come with GLD? There is also a longterm trendline that comes into play around $154/$153.
 

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POT 看前期低点44。50能不能撑住。

POT看前期低点44。50能不能撑住。
 

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周三机构买卖

周三机构买卖:
基本都是卖出! 高盛继续大空头。如果明天 高盛大举买入是,就是我们可放手做多时!
 

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如果没有消息,大幅低开成定居!

要看明天欧洲的盘面。德国别给大家惊喜!!!!! 要不然低开200点!
 
我第一仓CF的位置是139! 小仓先上,方向对了再加仓!

不过还要看油的走势。就是觉得很想买CF和POT。呵呵。真得很想买。
 
CF第二仓应该在134附近,130是很强的支撑。
 
You sound like a professional !

Talking is cheap and doing is the key.

Wish you share some insights from time to time ... Personally, I prefer events that may cause high volatility....
 
[9/29/2011 10:10:58 AM EST] 股票當日交易提醒: MM Remove
機構共賣出1200口!!!!!!!!!!!!!

I am following ALL in SHORT!!!!!!!!!!!!

Be careful!
 
I suggest you should sell most of the stocks to lock the profit!

I, myself, is on the SHORT side.

这盘看着别扭啊,会不会一会儿又咕咚掉下来啊?
 
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