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Let's talk about the issue of interest rate cuts and market conditions. You can review the past few market conditions. If you want to judge from a macro and long-term perspective, Dong Ge is basically rarely wrong. There are three fundamental reasons for this: one is the right cycle, and the second is the judgment of good and bad news at least three months in advance, as well as execution and patience. For example, after falling for more than a year, production will be reduced, and the interest rate hike is over, it is judged that the bottom of the box at the end of 2022. When the production cut and interest rate hike are over, it is definitely wrong to operate again. For example, ETFs may pass, and it must be reflected in the market a few months before it is passed. Entering the market at that time may also be wrong, because you can't stand the dog dealer's inducement to short. For example, the future market will inevitably be speculated once before the interest rate cut. Then when the interest rate is cut is very critical. Two months before the interest rate cut, this expectation will definitely be digested in advance. When the interest rate is cut, this good news may be digested in the short term, which will be a risk. When will the interest rate be cut? Previously, the market bet on June, and now the market bets more on September, but no matter which one, the time for the interest rate cut will only get closer, not farther. In this case, everyone will know what to do. Although it is difficult to predict the future of investment, there are certain conservation laws. 🦶⑥q1un崴:1742540051 Master this skill, then focus on execution and market research, be reasonable, and leave the rest to fate. How to refuse to miss the opportunity, do you understand?#AI板块强势进击 #灰度GBTC资金流出趋势结束了吗? #5月市场关键事件 #BTC走势分析 #BTC

Let's talk about the issue of interest rate cuts and market conditions. You can review the past few market conditions. If you want to judge from a macro and long-term perspective, Dong Ge is basically rarely wrong. There are three fundamental reasons for this: one is the right cycle, and the second is the judgment of good and bad news at least three months in advance, as well as execution and patience.

For example, after falling for more than a year, production will be reduced, and the interest rate hike is over, it is judged that the bottom of the box at the end of 2022. When the production cut and interest rate hike are over, it is definitely wrong to operate again. For example, ETFs may pass, and it must be reflected in the market a few months before it is passed. Entering the market at that time may also be wrong, because you can't stand the dog dealer's inducement to short. For example, the future market will inevitably be speculated once before the interest rate cut. Then when the interest rate is cut is very critical. Two months before the interest rate cut, this expectation will definitely be digested in advance. When the interest rate is cut, this good news may be digested in the short term, which will be a risk. When will the interest rate be cut? Previously, the market bet on June, and now the market bets more on September, but no matter which one, the time for the interest rate cut will only get closer, not farther.

In this case, everyone will know what to do.

Although it is difficult to predict the future of investment, there are certain conservation laws. 🦶⑥q1un崴:1742540051 Master this skill, then focus on execution and market research, be reasonable, and leave the rest to fate. How to refuse to miss the opportunity, do you understand?#AI板块强势进击 #灰度GBTC资金流出趋势结束了吗? #5月市场关键事件 #BTC走势分析 #BTC

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