From the data, the liquidation positions seem fine, but I think there's a misconception in this kind of interval analysis——most people treat support and resistance as predictions, but in reality, once the macro environment shifts, these levels become useless instantly. Risk control is indeed correct, but the phrase "守住底线" has been heard too many times, so I need to clarify that most losses happen precisely during what one considers stable swing trading.
最近盤面受宏觀消息面帶動,呈現向上運行態勢,均線持續上移。从技術面看,幾個關鍵位置需要重點關注:
**上方壓力**不容忽視——95800-96500區間是第一道清算密集區,突破後還要盯緊97300-98000這片強清算帶。這裡是做多頭寸的風險控制位。
**下方支撐**同樣重要——94300-93800附近有一定承接力,但真正的密集清算集中在93500-92500,再往下92000-91000形成比較強勢的支撐。
交易建議別盲目追高,宏觀面雖然有利好但不代表一直漲。最好的辦法還是在區間波動內尋找機會,有利潤就及時落袋。風控防守永遠是第一位,只要守住底線,波段操作積累小利潤反而更穩定。