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一、基本面三大要素及主力应变策略其一是年报和中报。根据以往经验,每年年报和中报公布期间,市场主力和投资者出于对上市公司业绩滑坡的担忧,往往不敢轻易大规模建仓,倒是在年报公布完毕和中报即将推出的时间间隙和业绩题材真空期,容易发生补炒年报和预炒中报的业绩上升行情,这个时间正好处于每年5—6月份,今年情况是否发生重大变化,投资者可以拭目以待。笔者认为98年年报和99年中报
First, the three major elements of the fundamentals and the main contingency strategies One is the annual report and mid-year report. According to past experience, during the annual report and mid-year report, market leaders and investors are often afraid to easily open large positions because of concerns about the decline in the performance of listed companies. However, they are not able to easily open their positions after the announcement of the annual report and the mid-year report of upcoming time slots and performance Under the theme of vacuum, prone to speculation in the annual report and pre-speculative performance of the rising market, this time is exactly in May-June each year, the situation has changed significantly this year, investors can wait and see. I think the 98 annual report and 99 mid-year report