 鲜花( 0)  鸡蛋( 0)
|

楼主 |
发表于 2009-9-18 12:16
|
显示全部楼层
i developed a formula showing that it's much more profitable when you sell +15% and catch it back at a lower price, then sell again...
/ S- w6 |- f9 K$ e/ S @: t m# b' _: p& T* n. x4 X: j q U6 B
i am focusing on short-term frequent tradings, usually never hold for more than 3 days.% j, y& c n \" q# l8 B9 @2 K* W9 o; ^" C
3 Z" l- W6 P+ M; u% G9 x# U: v
i think it's a good strategy on large capitial finanical groups, since the current econmic condition is quite unstable. of course, small capitials, pharam industry, and energy industry all have their own theories.1 ` z4 D8 c d3 y
2 l+ c Q3 y: ~6 P& C9 s$ K; Y
anyways, as long was making profit after commission fee and tax, i am happy:)# ]; H' m$ a) n V# N( g0 s
! k3 ~+ t! h" R( R) g$ i- l& j+ L! y/ Q8 f/ K8 k+ O& ]8 q
I deal with options more often. Anything that goes up/down over 10-15% in short run could make you over 100%。 If you implement good strategy, it may help maximizing your profit in short run.... my in ...! s4 c/ i9 K( r- i
精打细算 发表于 2009-9-18 09:47  |
|