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发表于 2010-2-11 03:49 PM
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From another point of view. MM used Greek crisis to dump the market one day after another but failed to break down further. Now that such uncertainty is off table for a few weeks, the market has nowhere to go but up. Many indicators say the bottom is probably in. I think the long risk is much smaller than short risk. My time frame is not that long (predicting too long is way too hard and would easily trap you into a bias) - just a few days to a few weeks. I see a great chance the market bounce from here. Today's action is pretty encouraging, the market will retest 1100-1120 in a the next few days.
大家还是应该好好看一下这个图,(蓝框框)希腊的消息被用了3次了,一次比一次效果差,从上面的ROC(4) + 越来越小的up volume就可以看出来了。现在牛熊都还有希望,就看牛牛那边能不能再拿一颗炸弹出来,那熊熊就彻底 ...
Cobra 发表于 2010-2-11 14:26  |
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