以上有好多變數因人而異 因市況而變
牛市止蝕位可以拎盡點 Pull back buy成功較高
熊市就止蝕位要保守點 等等
但概念都係贏就谷 輸就縮;密食當三番;不斷de-risk
:^(
:^(
:^(
:^(
Ads
carlam
2022-8-17 12:39:03
Date 2022-8-16
Advanced stock(day) 2790
Declined stock(day) 3585
New High 841
New Low 255
Stock above its 50-DMA > 150-DMA > 200-DMA 6.855 %
Stock above its 50-DMA 76 %
Stock that its 20-DMA > 50-DMA 70.824 %
Stock that its 50-DMA > 200-DMA 21.255 %
Stock that its 50 > 150 > 200-DMA 12.314 %
Stock that its 200-DMA is rising 25.035 %
Number of Stock that fit condition 292
Number of Stock that fit condition(%) 4.58
carlam
2022-8-18 15:46:06
Date 2022-8-17
Advanced stock(day) 1346
Declined stock(day) 5024
New High 783
New Low 352
Stock above its 50-DMA > 150-DMA > 200-DMA 6.797 %
Stock above its 50-DMA 72.873 %
Stock that its 20-DMA > 50-DMA 71.727 %
Stock that its 50-DMA > 200-DMA 21.444 %
Stock that its 50 > 150 > 200-DMA 12.308 %
Stock that its 200-DMA is rising 25.196 %
Number of Stock that fit condition 289
Number of Stock that fit condition(%) 4.537
假設你有$10000 本金 每次願意用1% 做Risk
每次最大輸係$100
好 當依家搵到一隻股 突破買入點為 $20 止蝕當你係$18 (一般見MM都係以近期最低位作參考)
咁你應該要買 $100/($20-$18) = 50 股
一開始 股價係$20 時 SL 係 $18 咁你既 Risk 係 50股 x 2 蚊 = $100
假設股價升到$22時 你將一半股賣出 SL 保持$18咁你既Risk 係 25股 x 2蚊 = $ 50
如果計埋 Profit 你已經係打和 無蝕無爛 risk free
假設股價升到$26時 當你將餘下股賣出
你已經係有 $50 + 25股 x $6= $200
咁你下次可以risk 既就會係 $200
你下次可以係 2 個 $100 落兩隻股 或者係一隻用$200 做risk
以上有好多變數因人而異 因市況而變
牛市止蝕位可以拎盡點 Pull back buy成功較高
熊市就止蝕位要保守點 等等
但概念都係贏就谷 輸就縮;密食當三番;不斷de-risk