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受券商事件频发、加息预期增强等多重利空打击,本周大盘极度疲弱,周一至周三连续三天放量下跌。日均跌幅超过1.5%。在周四收出十字星后,周五在宏观经济指标明显改善、加息压力有所降低预期下,大盘在开盘半小时内上涨近31点,涨幅近2%,但下午开盘后民生银行的再次跳水,带动大盘急速下跌,全天以倒“T”型 K 钱收盘。化工股板块中,农药股本
Brokerage by frequent brokerage events, expected interest rate increases and other negative blows, the market this week, extremely weak, Monday to Wednesday for three consecutive days of heavy volume down. Average daily decline of more than 1.5%. After the Cross Star was withdrawn on Thursday, the broader market rose nearly 31 points, or nearly 2%, in the first half-hour of the opening hour on the macro-economic indicators improved markedly on Friday with the pressure of interest rate hike lower. However, after the opening bell of the afternoon, Minsheng Bank Diving again, led the rapid decline in the broader market, all day to pour “T ” type K money closing. Chemical stocks in the plate, pesticide shares