认错,认输,代价很大。基于逻辑上的操作,依然需要资金做保障、仓位和止损做风控,当然这种操作方式本身可能就是错的。半个月来,给了很多次机会,侥幸心理作祟,臆想一些事件给出的拐点。看空A50,出来早了,错失了机会;品种杂,一致性品种过多,放大了持仓风险。最近半个月,一直有朋友提醒,过年期间的醉生梦死和偶尔的资金回升麻痹了自己的风险申请,而后期行情的突破没有及时认赔。回顾半个多月的行情和操作,高估了自己,轻视了市场,越没有畏惧心的品种亏得更惨。教训很深刻,很痛,路还长着,继续走。
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