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楼主: elvingan

欢迎看跌的朋友来,讨论3月马股这次熊市小涨潮结束前的散户心理~

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发表于 20-4-2009 09:36 AM | 显示全部楼层
好期待跌一个礼拜。。。
又可以在进场了。。。
真为你们"大户"可以出场感到高兴。。。
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 楼主| 发表于 20-4-2009 09:37 AM | 显示全部楼层
[quote]原帖由 elvingan 于 18-4-2009 12:36 PM 发表
从大起到大跌总是会有个过程的,就是

兴奋==〉少许兴奋==〉冷淡==〉心痛==〉悲泣
=〉 =======〉 ==〉 =〉

~今天下一级处于从少许兴奋跌至冷淡与少许心痛了。。。
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发表于 20-4-2009 09:46 AM | 显示全部楼层
牛市踩牛屎
熊市踩熊屎
牛市采牛屎
熊市采熊屎
牛市踩熊屎
熊市踩牛屎
牛市采熊屎
熊市采牛屎
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发表于 20-4-2009 09:48 AM | 显示全部楼层

回复 62# elvingan 的帖子

少许心痛......
心痛买不够多。。。
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 楼主| 发表于 20-4-2009 09:58 AM | 显示全部楼层
买盘32%,惨咯。。。
这星期里,还有更可怕的在后头。。。
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发表于 20-4-2009 10:00 AM | 显示全部楼层
讨论下, 四月尾马股大熊OR小熊重现的散户心理!!!

这是我的心情:   +    +
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发表于 20-4-2009 10:02 AM | 显示全部楼层

回复 65# elvingan 的帖子

买盘32%哪里看的到
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发表于 20-4-2009 10:03 AM | 显示全部楼层
好了,跌了,买
好了,再跌,再买
漂亮,再跌,再买
疑!?!?好象跌不停的
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 楼主| 发表于 20-4-2009 10:07 AM | 显示全部楼层

回复 66# gekgek 的帖子

变回熊市,为何你心情会那么好?
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 楼主| 发表于 20-4-2009 10:08 AM | 显示全部楼层
原帖由 密码侦探 于 20-4-2009 10:03 AM 发表
好了,跌了,买
好了,再跌,再买
漂亮,再跌,再买
疑!?!?好象跌不停的


最好一招坎了它,输完了,以后不玩了。。。
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 楼主| 发表于 20-4-2009 10:10 AM | 显示全部楼层

回复 67# luck6123 的帖子

你有网络交易就看得到咯~
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发表于 20-4-2009 10:19 AM | 显示全部楼层
原帖由 elvingan 于 20-4-2009 10:07 AM 发表
变回熊市,为何你心情会那么好?


我长颈盼了整整两个星期, 当然开心咯, 虽说并非100%卖光手中票, 但

正如侦探所言吧!!!

"好了,跌了,买
好了,再跌,再买
漂亮,再跌,再买"
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 楼主| 发表于 20-4-2009 10:21 AM | 显示全部楼层

回复 72# gekgek 的帖子

你预测会大跌了,为何不卖光它呢??
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发表于 20-4-2009 10:45 AM | 显示全部楼层

回复 73# elvingan 的帖子

都是被这两星期来的疯狂股市影响咯, 让我选择放一些持一些, 但也好, 就顺它的风我的盈利才能高挂...

说回来, 已经卖出80%鸟
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发表于 20-4-2009 11:00 AM | 显示全部楼层
不是说要找麻烦。
在股市里,经过一番大涨潮后,出现一些小调整是理所当然的事。
因为有很多像你们酱的人在套利。
这非常正常。
但为什么你们这么肯定这会维持几个星期呢?
甚至有些说会跌到800。

请拿出一些比较有用的数据来讨论讨论。
一直胡乱猜测,到底有什么居心。
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发表于 20-4-2009 11:06 AM | 显示全部楼层

回复 75# 开往春天的地铁 的帖子

在等股价跌少过他们卖的价钱再进场。。。。。
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 楼主| 发表于 20-4-2009 11:24 AM | 显示全部楼层

回复 75# 开往春天的地铁 的帖子

我看是看涨的人应该哪些数据出来吧!!
现在外围经济还是很烂,这次大涨根本没有什么利好支掌,
所有看跌那时当然的。。。
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发表于 20-4-2009 11:40 AM | 显示全部楼层

回复 77# elvingan 的帖子

看涨是因为信心的建立所在。。
外围的因素也只不过在影响着信心而已。。
就算外围因素再坏,
你有信心会好回。。。 就是在看涨。。。不需要太悲观。。。

就是因为没有信心了。。才会一直在等跌。。。
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发表于 20-4-2009 02:00 PM | 显示全部楼层
在一个网站看到的。。

Analyst Ratings Decoded
These days, it seems that every Wall Street analyst has his or her own code for communicating when to buy, sell or hold stocks. With help from Mick Shmlup at Swushshlip & Schlupp Capital Management, we provide this special report to help explain the ratings and what they mean.

Buy: This means that the analyst has already bought the stock and wants your purchase to help drive his investment higher.

Buy (OPM): Buy the stock, but not with your own money.

Buy and hold: Analysts often issue this recommendation in order to encourage you to stay with a stock even if it fluctuates, say, losing 80% of its value.

Kiss and tell: How analysts work with companies during an IPO.

Buy don't hold: This is what the analysts do after they purchase stock.

Buy and hold with ten-foot barge pole: This is reserved for new stock issues when the analyst is pressured to make a buy recommendation but knows the company has spent more on Aeron chairs than on Engineering.

Strong Buy: This means you should really buy the stock as opposed to a regular "buy" which generally means you should sell.

Long Term Buy: The analyst is sure that the price will change in the future, but is not sure whether its going to go up or down. May recommend dollar-cost averaging as a way to avoid looking stupid.

Short Term Buy: The company may not be in business too much longer.

Accumulate: Similar to buy, but may also be used to recommend buying de-listed stock certificates on eBay as gag gifts for former clients.

Hold: Rather than say "Sell", analysts will sometimes use a more subtle recommendation indicating you should dump this sucker faster than a beach-front rental in Afghanistan.

Source of funds: This is code again indicating if you need short term liquidity, say to buy groceries, you should dump this stock.

Neutral: How the analyst feels about this week's football pool.

Above Average: The analyst's salary and bonus.

Below Average: The analyst's IQ.

Attractive: What the analyst thinks of his new assistant.

Speculative hold: What the analyst hopes to do with his new assistant.

Avoid: What the assistant thinks of her boss.

Market Outperform: Indicates that the stock should do better than the other losers previously recommended.

Market Underperformer: The analyst has already started shorting the stock.

Market Out to Lunch: Indicates the analyst cannot figure out what is going on and starts drinking heavily.

Market Undertaker: Best outcome is liquidation either of the company or of the CEO.

Market Nervous: The analyst is liquidating in his shorts.

No coverage: The analyst has lost his job.

Sell: No such recommendation.
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发表于 20-4-2009 02:09 PM | 显示全部楼层

回复 78# maoli 的帖子

信心要建立在客观利好环境上才会牢固,这次的涨潮仅靠大众投资情绪支撑,没有明显有力的利好因素扶持,再加上金融风暴后满地垃圾都还没收拾干净。。。
还是那句,见好就收
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