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Funds continue to fluctuate by one-fifth or two,,,,, trading volume has also reached a low point,,,, now institutions are also bullish on a rebound of 69800-71800 and a further decline of 68000-68500,,,,, I feel that this trading volume,,, is a bit too low.,,,,,, mainly because the market will observe the trend on Monday,,,, and face the uncertainty of CPI later,,,, to be honest,,, this fluctuation on Monday is really not good,,,, because the US stock market is uncertain,,,,, I hope that the US stock market can fall sharply for two days,,,, which is conducive to Powell's dovish stance,,,,, funds have been fluctuating like this,,,, I feel that if it does not actively rebound today,,,, tomorrow it is likely to fall to 68000-69000 first and then rebound back. . . . . . It is hard to say how high the rebound will be if the selling pressure suppresses it. . . . . Until the CPI is announced, institutions will not enter the market a lot. . . . . The best market outcome is to hold 67500-68500 and rebound to 70500. . . .
As long as there is no special news, the probability of these two days, Monday and Tuesday, is this route. . . . . You can refer to this for operation. . . . . . There is a chance to reach 68000-68500 in these two days. . . It is just a decline first and then rebound, or a rebound first and then decline. . . . After the short-term shock, we will see the situation of the US stock market. . . . . $Ether $ If 3500-3600 feels good, we will talk about the rest tomorrow. . . . If there is any situation, I will post it in the comment area. . . . . The main force is optimistic about rebounding to 70000-70700 first and then falling. . . . But I feel it is hard to say, because the trading volume has dropped too much. . . . . If the rebound is today... Tomorrow it is likely to fall first and then rebound... This is generally the situation...
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