mangobanana
讚了
mangobanana
讚了
5
mangobanana
讚了
The four truths of a trader
1. Anything can happen.
2. You dont need to know whats going to happen next to make money.
3. Having an edge over the market is defined as having more wins than losses.
4. Every moment in the market is unique.
There are four levels of traders
1. The unsuccessful trader- they cannot face their failures due to irrational beliefs that it makes them less deserving than others. They dedicate no time or effort into learning market metrics. Never DD. Piggybacks on other traders.
2. The regular trader- Learns minimal metrics, RSI’s, price actions, or resistance and support. They try to make sense out of nonsense. See correlations that dont exist. Eager to enter and exit a trade. Holding is seldom used or learned.
3. Elite Trader- know what they are doing. Make the safest investments. Patient. Loses money on trades by doing to much and over complicating them.
4. The Holy Grail Trader- has zero greed. High morals. Self Respect. Makes trades using wisdom and experience. Knows all the reasons to invest in the market and all the reasons not to invest. Makes most of their money on high risk, high reward trades.
A traders everyday checklist
1. I will objectively identify my advantages.
2. I will predefine the risk of every trade.
3. I will accept the risk i am taking.
4. I will act with no hesitation.
5. I will pay myself as I profit.
6. I will monitor my errors.
7. I will never violate these principles.
The market is manipulated using price movements to exploit an emotional decision so traders will make mistakes. Enter a trade only when you have planned the entry and the exit prices with a stop loss. A trading edge is being able to predict the unpredictable. No one has access to all market factors that affect a trade so dont expect anyone to be able to predict with any degree of accuracy what will happen next. Investing is not about right or wrong but trying to get it as close as possible to right. Trading can be a very painful process so never add to anyone else’s pain. You are here to protect your capital. Grow your capital. And to learn from each trade then improve on it. Have a nice day! Hope you get Rich!
1. Anything can happen.
2. You dont need to know whats going to happen next to make money.
3. Having an edge over the market is defined as having more wins than losses.
4. Every moment in the market is unique.
There are four levels of traders
1. The unsuccessful trader- they cannot face their failures due to irrational beliefs that it makes them less deserving than others. They dedicate no time or effort into learning market metrics. Never DD. Piggybacks on other traders.
2. The regular trader- Learns minimal metrics, RSI’s, price actions, or resistance and support. They try to make sense out of nonsense. See correlations that dont exist. Eager to enter and exit a trade. Holding is seldom used or learned.
3. Elite Trader- know what they are doing. Make the safest investments. Patient. Loses money on trades by doing to much and over complicating them.
4. The Holy Grail Trader- has zero greed. High morals. Self Respect. Makes trades using wisdom and experience. Knows all the reasons to invest in the market and all the reasons not to invest. Makes most of their money on high risk, high reward trades.
A traders everyday checklist
1. I will objectively identify my advantages.
2. I will predefine the risk of every trade.
3. I will accept the risk i am taking.
4. I will act with no hesitation.
5. I will pay myself as I profit.
6. I will monitor my errors.
7. I will never violate these principles.
The market is manipulated using price movements to exploit an emotional decision so traders will make mistakes. Enter a trade only when you have planned the entry and the exit prices with a stop loss. A trading edge is being able to predict the unpredictable. No one has access to all market factors that affect a trade so dont expect anyone to be able to predict with any degree of accuracy what will happen next. Investing is not about right or wrong but trying to get it as close as possible to right. Trading can be a very painful process so never add to anyone else’s pain. You are here to protect your capital. Grow your capital. And to learn from each trade then improve on it. Have a nice day! Hope you get Rich!
59
4
mangobanana
讚了
13F filings are filed if an institutional investment manager that uses the U.S. mail (or other means or instrumentality of interstate commerce) in the course of its business, and exercises investment discretion over $100 million or more in Section 13(f)securities (explained below) must report its holdings quarterly on Form 13F with the Securities and Exchange Commission (SEC).
Now lets start with the disadvantages of the 13F. The first thing to note is that these filings can be up to 45 days old, which is a little late for an advantage. The second thing is these filings only tell you what they bought. Not how they are using them. They could have bought the shares to use them to short sell the stock. The third thing is they also file 13F’s to sell their stock. Any information the SEC gives out for free is going to be one of two things: difficult to understand or of no use to you.
The only advantage of 13F filings is that the more you know the better.
Now a Walk Street Broker knows the way to tell what stocks some of the hedges or institutions are buying or selling. All the big institutions have as a crucial part of their investment strategy a group that they rely on for sound investment advice-stock analyst. They have in-depth knowledge of all accounts they are responsible for and every week they turn in a report that list each of those stocks with a rating of strong buy, buy, hold, or sell. And these reports are released in the news sections. 90% of the time this is what they are buying or selling or short selling. You also have to remember that just because they are buying doesnt mean others arent selling it. Plus when they buy a stock its going to be held for more than week.
Now lets start with the disadvantages of the 13F. The first thing to note is that these filings can be up to 45 days old, which is a little late for an advantage. The second thing is these filings only tell you what they bought. Not how they are using them. They could have bought the shares to use them to short sell the stock. The third thing is they also file 13F’s to sell their stock. Any information the SEC gives out for free is going to be one of two things: difficult to understand or of no use to you.
The only advantage of 13F filings is that the more you know the better.
Now a Walk Street Broker knows the way to tell what stocks some of the hedges or institutions are buying or selling. All the big institutions have as a crucial part of their investment strategy a group that they rely on for sound investment advice-stock analyst. They have in-depth knowledge of all accounts they are responsible for and every week they turn in a report that list each of those stocks with a rating of strong buy, buy, hold, or sell. And these reports are released in the news sections. 90% of the time this is what they are buying or selling or short selling. You also have to remember that just because they are buying doesnt mean others arent selling it. Plus when they buy a stock its going to be held for more than week.
27
11
mangobanana
讚了
讓我們希望糾正不會變成另一個可怕的 C 字。一個主要股票指數收盤較高,而另一個主要股指較低的交易變得越來越頻繁,這並不反映出健康的市場。雖然最近的分歧並不像 2000 年 3 月所見的那樣極端,但它們卻遠遠高於常態。現在的分歧是在 1% 的點差。在二零零零年,它處於 2%。
市場崩潰信號:
1.如果強勁的早期反彈在一天結束前扭轉方向。
2.買入下滑策略失敗。
3.價格下跌是未來幾週發生的第一次崩潰的最後一個指標。催化劑可能類似於中國除牌公司。美聯儲停止購買債券。
通貨膨脹太高。或以上全部。
4.加密貨幣開始隨著市場下跌而發展。
如何從市場暴跌中獲利:
1. 賣出多頭頭寸並轉入現金,直到風暴過去為止。
2.買入看跌期權在標普 500。
3. 買入反向 ETF。
4.個別股票做空。
您還必須知道您可以接受多少痛苦(即風險承受能力)。如果您可以處理 30% 或 40% 的低迷,那麼請保持課程。如果沒有,移動到場邊。
市場崩潰不一定不好,但應該被視為購買機會。除了中國股票,因為美國現在對它們施加法規,而中國可能會繼續進行更多。自 2 月以來,他們已經損失了 1 萬億美元的價值。目前沒有上漲或理由購買中國股票。
市場崩潰信號:
1.如果強勁的早期反彈在一天結束前扭轉方向。
2.買入下滑策略失敗。
3.價格下跌是未來幾週發生的第一次崩潰的最後一個指標。催化劑可能類似於中國除牌公司。美聯儲停止購買債券。
通貨膨脹太高。或以上全部。
4.加密貨幣開始隨著市場下跌而發展。
如何從市場暴跌中獲利:
1. 賣出多頭頭寸並轉入現金,直到風暴過去為止。
2.買入看跌期權在標普 500。
3. 買入反向 ETF。
4.個別股票做空。
您還必須知道您可以接受多少痛苦(即風險承受能力)。如果您可以處理 30% 或 40% 的低迷,那麼請保持課程。如果沒有,移動到場邊。
市場崩潰不一定不好,但應該被視為購買機會。除了中國股票,因為美國現在對它們施加法規,而中國可能會繼續進行更多。自 2 月以來,他們已經損失了 1 萬億美元的價值。目前沒有上漲或理由購買中國股票。
已翻譯
43
11
mangobanana
讚了
如果你開始想知道市場怎麼能持續下跌,只需要四處看看或聽聽新聞。這是有史以來最昂貴的假日季節。當面臨保留投資或用它們購買禮物和食物來慶祝時,大多數人選擇後者。
不要聽那些失業報告。他們發布的報告是扭曲和調整的數據,聽起來好像失業率在下降,經濟狀況良好。但事實上,情況比他們報告的糟糕得多。首先,它不應該是一份失業報告,那並不會讓你知道經濟情況如何。這是一份胡說八道的報告。要獲得真實的數字,他們應該發布工時報告。當工時增加時,你才能真正了解情況。如果失業報告下降了10萬,又怎樣?如果這10萬的減少是因為填補了10萬個兼職(每周工作12小時)的工作,那與填補全職工作相比幫助不大。120萬工時與400萬工時的差異很大。工時減少會導致工作時間不夠的人(通常是社會上年齡較大且是股市投資的重要一部分的人)兌現IRA和他們的長期股票。
12月的一個已知事實是,購買量最少。
因此,當您將所有這些因素放在一起時,您會得到什麼?股票趨向下跌或橫盤震蕩,無法保持收益。以下是12月的最佳投資方式:
1. 不要出售任何股票。保持並期待市場反彈,通常市場都會反彈。
2. 各處都有股票優惠。停止購買連續上漲2天或更多天的股票,否則您可能被困住。
3. 只有在股票接近或達到52周低位時才買入。這個月平均成本下跌法將成為您最好的朋友。遠離因新聞發布而上漲的股票。
4. 將日內交易、揮舞交易、看漲期權買入從桌上拿掉。把這個月視為集股份的月份。
12月份購買的大多數股票,您需要至少持有50天。50天後會發放IRS退稅支票,人們希望用這些錢重新投資市場,以替換他們在12月份賣掉的股票。如果您在12月份擁有大量低價股,利潤可能超過500%。
最後,不要使用本月來彌補之前的虧損。如果本月的成交量是所有月份中最低的,您認為這樣做的概率有多大?您知道哪個月份的成交量最高嗎?是一月。
不要聽那些失業報告。他們發布的報告是扭曲和調整的數據,聽起來好像失業率在下降,經濟狀況良好。但事實上,情況比他們報告的糟糕得多。首先,它不應該是一份失業報告,那並不會讓你知道經濟情況如何。這是一份胡說八道的報告。要獲得真實的數字,他們應該發布工時報告。當工時增加時,你才能真正了解情況。如果失業報告下降了10萬,又怎樣?如果這10萬的減少是因為填補了10萬個兼職(每周工作12小時)的工作,那與填補全職工作相比幫助不大。120萬工時與400萬工時的差異很大。工時減少會導致工作時間不夠的人(通常是社會上年齡較大且是股市投資的重要一部分的人)兌現IRA和他們的長期股票。
12月的一個已知事實是,購買量最少。
因此,當您將所有這些因素放在一起時,您會得到什麼?股票趨向下跌或橫盤震蕩,無法保持收益。以下是12月的最佳投資方式:
1. 不要出售任何股票。保持並期待市場反彈,通常市場都會反彈。
2. 各處都有股票優惠。停止購買連續上漲2天或更多天的股票,否則您可能被困住。
3. 只有在股票接近或達到52周低位時才買入。這個月平均成本下跌法將成為您最好的朋友。遠離因新聞發布而上漲的股票。
4. 將日內交易、揮舞交易、看漲期權買入從桌上拿掉。把這個月視為集股份的月份。
12月份購買的大多數股票,您需要至少持有50天。50天後會發放IRS退稅支票,人們希望用這些錢重新投資市場,以替換他們在12月份賣掉的股票。如果您在12月份擁有大量低價股,利潤可能超過500%。
最後,不要使用本月來彌補之前的虧損。如果本月的成交量是所有月份中最低的,您認為這樣做的概率有多大?您知道哪個月份的成交量最高嗎?是一月。
已翻譯
37
13
mangobanana
讚了
$Camber Energy (CEI.US)$ 今天讓我們將其推到 2。接下週為 4.8 位。
已翻譯
6
2
mangobanana
評論了
1. $InMed Pharmaceuticals (INM.US)$
買入 1.35
二. $Athenex (ATNX.US)$
購買時間 2.08
三. $Can-Fite BioPharma (CANF.US)$
售價 1.37
4. $Biofrontera (BFRA.US)$
購買時間 4.37
五. $Heritage Global (HGBL.US)$
售價 1.76
六. $先驅電氣 (PPSI.US)$
購買時間 7.26
七. $Cidara Therapeutics (CDTX.US)$
買入 1.64
八. $AppHarvest (APPH.US)$
售價 5.78
買入 1.35
二. $Athenex (ATNX.US)$
購買時間 2.08
三. $Can-Fite BioPharma (CANF.US)$
售價 1.37
4. $Biofrontera (BFRA.US)$
購買時間 4.37
五. $Heritage Global (HGBL.US)$
售價 1.76
六. $先驅電氣 (PPSI.US)$
購買時間 7.26
七. $Cidara Therapeutics (CDTX.US)$
買入 1.64
八. $AppHarvest (APPH.US)$
售價 5.78
已翻譯
40
59
mangobanana
讚並評論了
$Stran & Company (STRN.US)$因為他們及其合夥人參與其中。 $Cenntro Electric (NAKD.US)$ $Meta Materials (MMAT.US)$因為他們和他們的合夥人參與其中。
已翻譯
53
98