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从大败到大胜的戏剧

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今天开局做空英镑,一上来就开个重单,主力利用英国失业率拉升了二十多点,其实那时我不慌,因为经历太多利用数据拉最后的疯狂的行情。行情的确回到我的买入点,我觉得依然会有一波跌势,直到第二波创新高,看成交量有量,bias创新高,价格回调难创新低,时间又到下午6点,我有个习惯,持仓到下午6点亏损,会考虑换方向,形势也对自己不利,今天金银在涨,油跌,全砍换方向,换了方向,令人尴尬的是,又是一路盘跌,好了处于两面挨打,没斩仓,因为盘面依然有利,欧元强势,技术面依然能反转,所以看了下股票去缓解颓废的情绪。1.2366,一根大阳线,cpi数据狂欢,金,银,油,股指,外汇全在涨,平仓了。今天只是运气好而巳,资管太差,其实在失业率后15分钟到30分钟利用短单去贴身肉博,根本不会导致大亏。将仓位一次上满,是大忌,连调兵遣将的能力都丧失了.欧盘盘整过多,换方向时间过急,仓位 

从大败到大胜的戏剧

 
从大败到大胜的戏剧

 
从大败到大胜的戏剧

 
从大败到大胜的戏剧

过大。

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