$TRIP.COM-S(09961.HK$ Today is another day of opening low and moving low. US stocks fell yesterday; Hong Kong stocks should also be affected today $MEITUAN-W(03690.HK$ $TENCENT(00700.HK$
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$Apple(AAPL.US$ The US stock index surged higher and retreated last week, and there was no very obvious exit signal for the instrument itself. However, the trend due to oil prices is not optimistic. From a safety point of view, it may take 2-3 weeks earlier than expected to arrive when the bag is settled. Furthermore, the “non-standard” risk asset Web3's performance has been extremely sluggish in the past two weeks, which also gave negative expectations.
S&P reached a high of 4,000 last week and did not complete the small target of testing trend lines and weekly pressure of 4100. As far as the pattern itself is concerned, you can continue to wait for a more clear signal to appear before leaving the market. As you can clearly see in the image below, there is still some room for the stronger suppression areas. Even choosing to lock in profits now does not rule out the possibility of further shortfalls. However, after considering the comparative indicators and the price/performance ratio of continuing to hold multiple orders, the better option might be to look forward to the market. $NVIDIA(NVDA.US$ $Tesla(TSLA.US$
S&P reached a high of 4,000 last week and did not complete the small target of testing trend lines and weekly pressure of 4100. As far as the pattern itself is concerned, you can continue to wait for a more clear signal to appear before leaving the market. As you can clearly see in the image below, there is still some room for the stronger suppression areas. Even choosing to lock in profits now does not rule out the possibility of further shortfalls. However, after considering the comparative indicators and the price/performance ratio of continuing to hold multiple orders, the better option might be to look forward to the market. $NVIDIA(NVDA.US$ $Tesla(TSLA.US$
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$MEITUAN-W(03690.HK$ It is still in a volatile downward trend today. The magnitude may not be very large. Specifically, it depends on the strength of the pull-up at the end of the session $TRIP.COM-S(09961.HK$ $TENCENT(00700.HK$
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$E-mini NASDAQ 100 Futures(SEP4)(NQmain.US$ 1、美十年期国债收益率期指:短期:破位下行,18日收3.837,+1.53%,连涨两天。长期:处于高位值。
2、美元指数:短期:破位趋势,18日收106.97点,+0.28%。长期:处于强势位值。
3、美元离岸人民币汇率:短线破位下行,空头趋势,18日收7.1225,+0.37%,反弹2个交易日。长期:处于强势位值。
4:WTI原油期货。短期:日线空头趋势,18日收80.26点,-1.40%。长期:位于高位。
5、Vix期指:横盘偏弱趋势。18日收24.5点,-1.05%。目前情况下,个人认为盘中异动隔几天就会有密切关注。持续走弱,市场情绪稳定。
6、明星股表现:苹果+0.38%、微软-0.19%、谷歌-0.95%、亚马逊-0.75%、Meta+0.54%,特斯拉-1.63%、英伟达-1.71%。
四、周五走势预判
下周走势预判:Vix空头走势,连续3日收盘在5日均线下,但跌不下去,周四深跌,很快就拉回来,说明市场很强。技术上周线底背离水下金叉,在此位置上已调整3天,...
2、美元指数:短期:破位趋势,18日收106.97点,+0.28%。长期:处于强势位值。
3、美元离岸人民币汇率:短线破位下行,空头趋势,18日收7.1225,+0.37%,反弹2个交易日。长期:处于强势位值。
4:WTI原油期货。短期:日线空头趋势,18日收80.26点,-1.40%。长期:位于高位。
5、Vix期指:横盘偏弱趋势。18日收24.5点,-1.05%。目前情况下,个人认为盘中异动隔几天就会有密切关注。持续走弱,市场情绪稳定。
6、明星股表现:苹果+0.38%、微软-0.19%、谷歌-0.95%、亚马逊-0.75%、Meta+0.54%,特斯拉-1.63%、英伟达-1.71%。
四、周五走势预判
下周走势预判:Vix空头走势,连续3日收盘在5日均线下,但跌不下去,周四深跌,很快就拉回来,说明市场很强。技术上周线底背离水下金叉,在此位置上已调整3天,...
$Apple(AAPL.US$ I heard my friends from Huajie say last night that there will be a rebound next week, and I don't know if it's true. What are their opinions? $Meta Platforms(META.US$ $Tesla(TSLA.US$
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