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$Nasdaq Composite Index (.IXIC.US)$$Tesla (TSLA.US)$$NVIDIA ...

$Nasdaq Composite Index(.IXIC.US)$ $Tesla(TSLA.US)$ $NVIDIA(NVDA.US)$
If there is a downside, it should fall or not. If the advantage comes out, it will immediately begin to pull out, proving that the bottom of US stocks has reached the bottom. Institutions have minimum position requirements, and they cannot sell out all of their short positions like retail investors

The only thunder in the market right now is financial reports. Interest rate hikes are no longer considered thunder. The market has fully consumed the estimate of 100 basis points of interest rate hikes, and the market expects the Fed to increase higher to reduce inflation. Long pain is not as bad as short pain, directly adding the harshest, rather than slowing down the bulls. What use is the use of adding 50 or 75 each time? The market also has to bear the risk of high inflation

Friends with strong risk tolerance can already start opening positions; any pullback is a buying point. Those who bear the risk of being pressured can wait until the financial report is issued to start opening a position

Don't expect the rise to start right away; instead, your holdings will rise. No one can say for sure when the market will rise, but at least it won't fall again; just expect it to be good
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