做價差的問題 - 股票

By Daniel
at 2020-06-30T20:20
at 2020-06-30T20:20
Table of Contents
假設觀察一檔股票
這段時間內在9~11元之間浮動
並且認為這檔股票長期(約半年)價格會來到15元
於是做了9元買, 11元賣的策略
(簡單舉例 所以10%漲跌停的限制暫不考慮)
如願9元買入後, 未來的可能性有
1. 9元跌至8元, 且跌勢看似不止
朋友是跟我說都知道股票繼續跌的可能性很大了, 為何不賣
想想也是我就停損賣掉了
結果隔天果然跌到7元
正在覺得果然停損是正確的時候
下一個隔天股票就從7元衝回9元 囧
目前總結我的停損策略幾乎都是錯誤的
最久最差的小放一個月都能無損甚至小賺出場
2. 9元如期漲至11元
這時候的煩惱點就是要不要賣
不賣, 有可能隔天就回到區間底9元, 等於少賺這段價差
賣了, 也有可能直接股票一路向北達到長期目標價15元
目前總結這種賺法我了不起賺個2~3次股價就一路向北
(比如原本是9~11浮動 就會變成是12~14浮動
要繼續作價差 持有成本提高 風險也提高)
想知道有甚麼方法可以改善這種玩股方式
目前總結選股能力還算OK,
但主要就敗在這兩點上
--
Tags:
股票
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