Let's talk about the current market situation. The main force is cultivating the retail investors' thinking that "rebound means short". At present, all aspects of the favorable factors are still bullish.

Once successful, it is a signal to pull the market. Even if you make money by shorting 10 or 20 times, you will return it to the market in one go in the end.

Because contract players are addicted, as the number of profitable times increases, the greed increases.

As for spot, two groups of people are currently the most painful: one group is various borrowings and loans for investment, and every repayment date is the time to cut losses.

The other group has already filled their warehouses early, and their fate is no longer controlled by themselves, and they have to look at the market every day.

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