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各位好
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今天的市场有几个原因
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探底回升了一点
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上午盘呢是探到4101
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以1月20号的4080探到了第二只脚
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第二个原因呢成交量呢还是放到了不到3万亿
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第三个原因呢市场虽然是涨的10.06分
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但是4500家待涨
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一度还接近五五千家待涨
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第四个原因是上证五零
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沪深300是上行
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中证2000
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微盘股一度呢特别是微盘股
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微盘股一度下跌接近3%
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中证2000呢超过2%
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这个下行
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第五个原因是恒生指数是出现了上行
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横科呢也出现了上行
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这个是一个很好的走向
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第六个原因是银行涨了
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非银也回升了
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特别是保险回升的还比较多的
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2.86
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券商是拖了一点后腿啊
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但是整个非银是涨的
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今天的银行是对指数的上行功不可没
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这就达到了调整的目的
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这就起码上午盘是达到了调整的目的
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指数还涨
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但是接近5000家的待涨风险就会在
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如果维持的这个时间越长啊
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风险就会慢慢的释放啊
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不至于一下子就释放那么严重
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如果每天都是这样
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时间长了啊
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也能化解一部分的风险
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这样就会使到市值不会涨太多啊
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差的跌好的涨
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当听到这个散户朋友可能会不太高兴
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但是事实就是这样
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上涨的比例越小
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它的风险积累的就会没那么大
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待涨的比例越大
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特别是靠近5000家
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也就是调整的可能也就直线了
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因为5000加啦
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你还跌太多
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比例呢也不太合适
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差不多就行了啊
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也不要太过机制
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就是也给那些股票留一点留一点空间
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如果5500代涨呢
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可能就不好
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不太合适啊
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5000家待涨
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就说明市场有可能会出现一点复盘呐
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今天的涨幅榜的第一位是4%
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跌幅榜的第一位呢是2%
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那这种极致的分化
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跟昨天的7%跟5%额收缩了
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也就是说那种极端的分化呢有所收窄
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成交量也收窄了
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而且港股是涨了
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我觉得这个情况是好的
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龙一龙二也是奋力上行
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那就说明这个市场调控的目的
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是为了释放一些风险
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不让风险积累的太多
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但是调控的目的呢也不是让这个市场逆转
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起码指数是挺好的呀
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还是涨的怒涨两个指数点11.13分
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这就很好了
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昨天跌三个点
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今天涨两个点
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这样能够两天不涨不跌啊
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那如果长时间能够维持这个
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那风险就会慢慢的化解一些
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我们一定要充分理解这样的一个目的
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还是要化解风险的
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但是不要跌太多啊
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呃也不要比例过于大
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接近5000就差不多了
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不能太过扩大
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成交呢也不要太过多了
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3万亿也多了
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我们一定要充分理解
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现在仍然还是在一个调控的过程里面
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那好股票呢
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你看银行不就涨了吗
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这不能推荐啊
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银行不是说谁都可以买的
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买银行的人不是一般人
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再见