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Now it is around 10% below the high of SP500.nasdaq.

If you are predicting a drop of more than 30% from the average of the previous major declines, which are expected to occur from the high point that is said to happen about once a year, it means that there is still more than 20% room for further decline from here. Do you all think that this will happen based on the comprehensive judgment of the current economic data and corporate earnings in the United States?
If despite the tremendous increase since the beginning of the year, the index stabilizes and reverses at around -10%, I judge that it means the continuation of a bullish market. It is also a situation where various indicators, personal data, and knowledge are combined to test individual rational judgments, so I think it is good to observe the market movement and determine whether it is an opportunity or a crisis. I think those who are watching can understand which perspective I hold. It may be a common sense story that is not even worth mentioning as a reference, but please face it without adopting an overly extreme way of thinking.
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    SOXL、TSLL、マイニング株で中長期でまずは資産1億目指しているものです┏○ペコッ 鋼のメンタルは客観的データに基づくもの
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