choppiness
简明释义
n. 波浪翻滚
英英释义
单词用法
市场的波动性 | |
经历波动 | |
高波动性 | |
低波动性 |
同义词
反义词
平滑 | 表面的平滑使得滑动变得容易。 | ||
稳定性 | 经济的稳定性对增长至关重要。 |
例句
1.A long-term graph of the Vix hints at cyclicality, with periods of great choppiness in the early and late 1990s book-ending an era of relative calm in the middle of the decade.
Vix的长期图像也暗示着周期性,1990s的早期和末期呈现大量的波浪,夹在中间的90年代中期却是一段相对平静的时期。
2.A long-term graph of the Vix hints at cyclicality, with periods of great choppiness in the early and late 1990s book-ending an era of relative calm in the middle of the decade.
Vix的长期图像也暗示着周期性,1990s的早期和末期呈现大量的波浪,夹在中间的90年代中期却是一段相对平静的时期。
3.Macroeconomic choppiness is holding back more dramatic market euphoria.
宏观经济时好时坏,抑制了更乐观的市场情绪。
4.This will start FluidSynth with 10,000 audio buffers each of size 10,000 — plenty of space to use to reduce the choppiness.
这将启动有10,000个音频缓冲区且每个缓冲区大小为10,000的FluidSynth——这个空间很大,足以减少波动。
5.During the meeting, the discussion was marked by a certain choppiness that made it hard to follow.
在会议期间,讨论表现出一定的不连贯性,使得很难跟上。
6.The ocean's choppiness made sailing conditions quite dangerous for the inexperienced crew.
海洋的波涛汹涌使得对缺乏经验的船员来说航行条件相当危险。
7.Her speech had a certain choppiness that detracted from her overall message.
她的演讲有些不流畅,影响了她整体的信息传达。
8.The video game had some choppiness in its graphics, leading to a less immersive experience.
这款视频游戏的图形存在一些卡顿现象,导致沉浸感降低。
9.The stock market experienced significant choppiness this week, making it difficult for investors to predict trends.
本周股市经历了显著的波动性,使得投资者难以预测趋势。
作文
In the world of finance, one often encounters the term choppiness, which refers to the erratic and unpredictable movements in the price of financial instruments. This phenomenon can be particularly challenging for traders and investors who seek to make informed decisions based on market trends. The choppiness of a market can lead to increased volatility, making it difficult to predict future price movements. Understanding the causes and implications of choppiness is essential for anyone involved in trading or investing.One of the primary factors contributing to choppiness is the reaction of investors to news and events. For instance, when significant economic data is released, such as employment figures or inflation rates, the market can react sharply. If the data is better or worse than expected, it can cause rapid buying or selling, leading to a choppiness in prices. This unpredictability can create opportunities for short-term traders but can also pose risks for long-term investors.Another factor that can lead to choppiness is market sentiment. When investors are uncertain about the future direction of the market, they may buy and sell frequently, contributing to the overall choppiness. This behavior can be exacerbated by external factors such as geopolitical tensions or changes in government policy. For example, during times of political instability, investors may react emotionally, leading to a significant increase in choppiness as they attempt to navigate their fears and uncertainties.Technical analysis can also play a role in understanding choppiness. Traders often use various indicators to gauge market conditions, and when these indicators signal conflicting information, it can result in erratic price movements. For instance, if a stock is showing signs of both bullish and bearish trends simultaneously, it may experience heightened choppiness as traders react to these mixed signals.To manage choppiness, traders often employ specific strategies. One common approach is to use stop-loss orders, which can help limit potential losses during periods of high volatility. Additionally, some traders may choose to wait for clearer market signals before entering or exiting positions, thereby avoiding the pitfalls of choppiness. Furthermore, understanding the broader economic context can also provide valuable insights into potential market movements, helping traders make more informed decisions.In conclusion, choppiness is a significant characteristic of financial markets that can impact trading strategies and investment decisions. By recognizing the factors that contribute to choppiness and employing effective risk management techniques, traders and investors can navigate these turbulent waters more effectively. Ultimately, a thorough understanding of choppiness can enhance one's ability to thrive in the dynamic world of finance, allowing individuals to make better choices in their investment endeavors.
在金融世界中,人们经常会遇到“choppiness”这个术语,它指的是金融工具价格的变化不规律和不可预测的运动。这种现象对于寻求根据市场趋势做出明智决策的交易者和投资者来说,尤其具有挑战性。市场的choppiness可能导致波动性增加,使得预测未来价格走势变得困难。理解choppiness的原因和影响对于任何参与交易或投资的人来说都是至关重要的。导致choppiness的主要因素之一是投资者对新闻和事件的反应。例如,当发布重要的经济数据时,如就业数字或通货膨胀率,市场可能会迅速反应。如果数据好于或差于预期,可能会导致快速的买入或卖出,从而导致价格的choppiness。这种不可预测性可以为短期交易者创造机会,但也可能对长期投资者构成风险。市场情绪也是导致choppiness的一个因素。当投资者对市场未来方向感到不确定时,他们可能会频繁买卖,从而增加整体的choppiness。这种行为可能会因地缘政治紧张局势或政府政策变化等外部因素而加剧。例如,在政治不稳定时期,投资者可能会情绪化反应,导致choppiness显著增加,因为他们试图应对恐惧和不确定性。技术分析也可以在理解choppiness中发挥作用。交易者通常使用各种指标来评估市场状况,当这些指标发出相互矛盾的信息时,可能会导致价格的无序波动。例如,如果一只股票同时显示出看涨和看跌的迹象,可能会经历更高的choppiness,因为交易者对这些混合信号作出反应。为了管理choppiness,交易者通常采用特定策略。一种常见的方法是使用止损单,这可以帮助限制在高波动时期的潜在损失。此外,一些交易者可能选择在进入或退出头寸之前等待更清晰的市场信号,从而避免choppiness的陷阱。此外,理解更广泛的经济背景也可以提供有关潜在市场走势的宝贵见解,帮助交易者做出更明智的决策。总之,choppiness是金融市场的一个重要特征,它会影响交易策略和投资决策。通过识别导致choppiness的因素并采用有效的风险管理技术,交易者和投资者可以更有效地驾驭这些动荡的水域。最终,对choppiness的透彻理解可以增强个人在动态金融世界中蓬勃发展的能力,使他们能够在投资事业中做出更好的选择。