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$NVIDIA(NVDA.US$
Reason 1. The moving average is in a bullish arrangement
Currently, the stock price is >ma5>ma10>ma20> medium- to long-term moving average, and all moving averages are upward.
Reason 2. The price has not fallen below the key support level of 860-870 and will not trigger a stop loss.
Reason 3. There is currently no selling pressure. Judging from the distribution of chips, the stock price has already crossed the mountain. There are very few top positions, and there is not much pressure. As long as it doesn't fall back below the peak, it won't trigger a stop-loss sale. The current potential sellers are instead the lower 450-600 chips. They have already made a lot of profit and have a motive to take profit. However, since it is still bullish, there is no need to sell even if it has already made a lot of money.
So I keep holding it.
$Taiwan Semiconductor(TSM.US$ It also continues to be held.
However, in view of the increase in CPI uncertainty due to PPI exceeding expectations, I partially reduced my positions in some other technology stocks and had the least protection for long-term bonds.
Reason 1. The moving average is in a bullish arrangement
Currently, the stock price is >ma5>ma10>ma20> medium- to long-term moving average, and all moving averages are upward.
Reason 2. The price has not fallen below the key support level of 860-870 and will not trigger a stop loss.
Reason 3. There is currently no selling pressure. Judging from the distribution of chips, the stock price has already crossed the mountain. There are very few top positions, and there is not much pressure. As long as it doesn't fall back below the peak, it won't trigger a stop-loss sale. The current potential sellers are instead the lower 450-600 chips. They have already made a lot of profit and have a motive to take profit. However, since it is still bullish, there is no need to sell even if it has already made a lot of money.
So I keep holding it.
$Taiwan Semiconductor(TSM.US$ It also continues to be held.
However, in view of the increase in CPI uncertainty due to PPI exceeding expectations, I partially reduced my positions in some other technology stocks and had the least protection for long-term bonds.
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$Tesla(TSLA.US$
Tesla shares are mainly based on medium- to long-term investments to build positions and improve and become stronger.
Stock prices have risen: they have already held long positions, and their holdings have risen. - Use 60% of positions for long-term investments (unswerving), and 40% of positions for short-term or even short-term competitive games.
Stock prices fall: There is a capital protection battle sequence to carry out tactical vigilance and strategic counterattack duty - the capital is split in half, 60% is used for investment transactions, and 40% is used for position protection.
The principle of increasing long positions: the profit chip ratio is less than 21%, and the investment transaction enters the air defense identification zone; the market meets the following four conditions and automatically starts the investment transaction combat mode -- the profit chip ratio is lower than the single-digit percentage; the stock price approaches the downside of the downward channel in each cycle; at least 9-10 of the 15 commonly used technical indicators are oversold or seriously oversold; at least 2-3 technical indicators show a bottom-up divergence.
Reinforce some of your habits and strengths:
1. In the midst of weakness, if you have long positions, an unexpected increase, or a slight increase in profit, you must reduce your position. Regardless of whether the package is lifted or not, you must not miss this upward opportunity. Promising varieties can be taken back after the stock price falls back down and stops stabilizing.
2. At the right time, if your capital is large enough, you should learn active investment methods to find Tesla stock prices...
Tesla shares are mainly based on medium- to long-term investments to build positions and improve and become stronger.
Stock prices have risen: they have already held long positions, and their holdings have risen. - Use 60% of positions for long-term investments (unswerving), and 40% of positions for short-term or even short-term competitive games.
Stock prices fall: There is a capital protection battle sequence to carry out tactical vigilance and strategic counterattack duty - the capital is split in half, 60% is used for investment transactions, and 40% is used for position protection.
The principle of increasing long positions: the profit chip ratio is less than 21%, and the investment transaction enters the air defense identification zone; the market meets the following four conditions and automatically starts the investment transaction combat mode -- the profit chip ratio is lower than the single-digit percentage; the stock price approaches the downside of the downward channel in each cycle; at least 9-10 of the 15 commonly used technical indicators are oversold or seriously oversold; at least 2-3 technical indicators show a bottom-up divergence.
Reinforce some of your habits and strengths:
1. In the midst of weakness, if you have long positions, an unexpected increase, or a slight increase in profit, you must reduce your position. Regardless of whether the package is lifted or not, you must not miss this upward opportunity. Promising varieties can be taken back after the stock price falls back down and stops stabilizing.
2. At the right time, if your capital is large enough, you should learn active investment methods to find Tesla stock prices...
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$NVIDIA(NVDA.US$ Keep watching TSMC earning report . 👊🏼
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$NVIDIA(NVDA.US$ Tonight Zenkura Kandako
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$Tesla(TSLA.US$ Will hit 333 before 8th August!
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