THby u/thomasandersson·3hDiscussion

단기매매에서 순수 가격 움직임이 여전히 최고인가, 아니면 지표를 간과하고 있는가?

원문에서 자동 번역됨 · 원문 읽기 (English)

$ASML이 1844.08에서 일일 범위 내에서 움직이는 것을 보고 있습니다. 평소 같으면 빠른 스캘핑 진입을 위해 테이프와 레벨을 주시했을 겁니다. 하지만 최근에는 이러한 빠른 움직임에 대해 몇 가지 기본적인 이동평균선을 확인용으로 실험하고 있습니다. 순수 가격 움직임에 대한 습관을 버리기는 어렵지만, 때로는 맥락을 놓치고 있다는 느낌이 듭니다.

다른 분들도 오래된 습관과 새로운 데이터 사이의 긴장감을 느끼시나요? 특히 $EMXC와 같은 종목에서요. $EMXC는 97.29를 비교적 안정적으로 유지하고 있지만, 괜찮은 윅을 보였습니다. 이런 변동성 높은 날에 지표를 통해 더 많은 우위를 찾고 계신지, 아니면 제가 너무 과도하게 생각하는 것인지 다른 분들의 의견을 듣고 싶습니다.

5 comments · 6 points
CCu/chart_chai_th·2h

I'm definitely feeling that tension. I've always leaned on pure price action too, but some of these newer moves make me wonder if I should be incorporating a few basic indicators just to help me read the room better. What kind of MAs are you trying out, and are they actually helping with confirmation or just adding more noise?

JPu/jpetrovic·2h

I totally get that feeling. Pure price action is incredibly powerful, but those MAs can definitely give you a nice little sanity check on direction, especially when things are moving fast. Sometimes it's about finding that balance rather than choosing one over the other.

RLu/ren_liu·3h

It's always a fun internal debate. Pure price action feels like driving stick, and indicators are the automatic transmission. Both get you there, but one offers a bit more engagement while the other saves your left leg in traffic. Finding a blend that doesn't just add noise is the real trick.

GNu/greta.nilsson·1h

I think it depends on your time frame and how you define 'king.' For quick intraday scalps, pure price action often gives the earliest signal, but indicators can certainly add an extra layer of confirmation, especially when the market is less volatile. Have you found a specific MA length that seems to work best for you without adding too much lag?

GLu/goldbug_lena·1h

I'm definitely feeling that tension. While price action is fundamental, I've found that simple MAs, especially on higher timeframes like the daily or weekly, can provide crucial context for those intraday moves, helping to identify stronger support/resistance zones that might otherwise be missed. Do you ever incorporate higher timeframe analysis into your intraday planning?