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http://www.google.com/finance?q=INDEXNASDAQ%3A.IXIC&hl=en#

市场的天平向熊熊倾倒。
以2688为起点,2520为中线的话,目标是2352。

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从2688/2695开始算,跌到2441的中位是2564/2568,而2564/2568处于18-21日缺口区。所以从波段角度看,2441不可能是此波底点,我依然看好真底在2350附近。
今天大概要出现大跌以来的第一次象点样的反弹,2688-1441=247的1/3在2523,2523会是个看点。
http://stockcharts.com/def/servl ... 393449&cmd=show[s185055197]&disp=O

刚刚看见老蛇图集里RSP有个P-Bar,大约比上周五收盘还要再跌2.5%。对应NASDAQ从2441再跌3%的话,正好到2360。

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更新11/23日的贴:
当时“2520为中线”说服力还小一点,若今天NASDAQ能持续盘于252X,252X变成中线的说服力就大了。
http://www.reuters.com/article/2 ... USTRE7AR0P320111129

“(Reuters) - Euro zone finance ministers are to agree on Tuesday the details of bolstering their bailout fund to help prevent contagion in bond markets, under pressure from the United States and ratings agencies to staunch a two-year-old debt crisis.”

财长会议能拍板决定突破性的好事情(股价到现在还没反映出来的)?总理首相为什么不抢着上镜头? 我怀疑如此好事不会是决定性的,以后难免反复。
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http://international.caixun.com/content/20111124/NE0322si.html

“欧元区三个最大经济体德法意领导人承诺,12月9日欧盟领导人峰会上将提出修改欧盟条约的计划,以加强经济政策整合,重筑市场和公众对欧洲的信心。”

昨天特意搜索了一下欧盟会议,这才知道12月9日的峰会,这样的峰会做出大的决策才合理。
为了让领导上镜,之前作出危机四伏之状,然后领导人力挽狂澜,多出彩。若搞成sell on news就没面子了。
http://finance.yahoo.com/news/wo ... ease-131058888.html

“The world's major central banks unleashed coordinated action Wednesday to ease the increasing strains on the global financial system, a move that sent stock markets up sharply.

The European Central Bank, U.S. Federal Reserve, the Bank of England and the central banks of Canada, Japan and Switzerland are all taking part in the operation, which is designed to "enhance their capacity to provide liquidity support to the global financial system." ”

这个消息太厉害了,难道是全球范围的QE?
猜底在2350是判断错误,NASDAQ在28/29日盘于252X,支持昨天一天内走成2441+179=2620(中点2530,理想回调能补大部缺口,若今天没新高的话)。
12月一般是股市的好日子,经过11月后半月的3个MDD/2个MAD,另外殴债危机的信息轰炸,现在恐惧/贪婪比率也许太不平衡,到明年3月的中期我倾向于牛牛会有一段好日子。
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http://stockcharts.com/def/servl ... rvlet?obj=ID3400916

大走势似乎也能用波段想法说明:
第一个紫色圈里,市场预先于6月做好中线,然后7月拉起,8月直接跌过中线完成波段。
第二个紫色圈里也是市场先做好中线,然后波动。
现在可能在做第三个类似的波动,目标是今年股市新高。
这种走势的一个特点是,一旦中线前期做好的话,后期穿越中线会很迅速,不再拖泥带水。

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仔细看图的话,发现前2次波动转折都是W顶或底,而这次转折so far是V底。
所以补周三的缺口同时做成W底也不无可能,9日的欧盟峰会也算出动荡的借口。

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http://www.gold-eagle.com/editorials_08/petch120111.html

“ S&P 500 Index 。。。So again, everything is pointing towards a bottom no earlier than the end of December (Orthodox low (higher low)) and no later than mid-February...it all depends how everything pans out.”
“ When the %K in stochastic 2 crosses above the %D in 3, it will generate a buy signal on the weekly chart...this is not likely to occur before mid to late January.”
“a top is not likely to be put in place until late 2012/early 2013”
“This would take the S&P into late January/early February before bottoming.”
“Once wave (XX) completes, then wave (Z) should carry the S&P 500 Index up to at least the 1500-1550 level, potentially even to 1600-1650 in late 2012/early 2013...all based on the US Dollar Index set to decline for most of 2012 and into early 2013. Once a top is put in place for the broad stock market indices, the correction from 2013 into early/mid 2014 will be brutal, with a MINIMUM of a 40-50% correction. The Contracting Fibonacci Spiral the markets are trapped in at the moment has had every signature date have at least a 40-50% correction...the length of corrections that follow are not determined by this Cycle ”
“ a top of 1700 would see a low near 800-850 at some point in late 2013/early 2014.”
“a true bottom will not be put in place until at least the 2nd or 3rd week of December. Note that the lows may have been put in place, but sideways price action should persist until at least mid-December, potentially until near the end of the month.”

David Petch认为至少本月SP500牛不起来,可能明年1月/2月才见底,之后可以大涨到15XX甚至1700于2012年底,2013再跌去40-50%。
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http://www.google.com/finance?q=INDEXNASDAQ%3A.IXIC&hl=en#

股市该跌吗?我的波段计算so far不认同要跌。
假设2674是这波的顶,2674-2441=233的1/2在2558,可是2558根本就在前期的缺口内,没有条件做中位。
252X本来有条件做中线,但涨破2620也否定了它。
若中位线提到2600以上的话,本波的顶要到2760以上,2800才理想。
当然波段计算只是一个指标,它也可能出错。

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若跌的话,也许之前的252X和2600是为如下2小波下跌做预备的:
(1)2674-2526=148,1/2在2600,理想反弹到位点2590。
(2)2590-2450=140,1/2在2520。
http://www.bloomberg.com/news/20 ... -with-destiny-.html

ECB减息对股市是好消息。
看来SP500和NASDAQ站上200天线问题不大,DOW早已经站上去了。
下一步是日图的BB上轨。
站上200天线应该没戏了。
德法股市已经跌入上周三的弹跳区,而且是光头光脚大阴线,于是美国股市跟着跌入跳空区可能性越来越大。
如此欧盟峰会救不了股市的话,牛牛难道期待FED或O8这时候出手吗?
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