I mentioned before that the US stock market fell last week, and there is a need for a rebound this week, but this reason is not sufficient. The main risk points this week are the volatility in the market before the release of the non-farm payroll and CPI data, and the K-line has also reached a short-term resistance level, so there is a possibility of a pullback. I feel that it is very likely to pull back tomorrow, which will be much better for the performance in the future.