My 1.49 squirrel is still stuck, but the position is not large, and I don't plan to cut losses. I'm preparing to wait for an opportunity.
The current situation I see is:
1. There was no increase in volume during the high position drop.
2. The low position drop actually started to increase in volume.
The reasons may be two:
1. Retail investors with profits can't hold on and start to exit;
2. The main force is building a bottom, increasing volume to create local panic.