The Federal Reserve’s interest rate cut in September means that the U.S. has completely lost the financial war, and the price of losing the financial war is the collapse of U.S. hegemony!
In the next two months, we will witness an unprecedented shock in the US stock market. Why did I say that the US hegemony will collapse, but later I said that it was a shock instead of a rapid decline or a sudden collapse? Because only when it is volatile and downward, there is room for capital to escape. Even short hedging requires a counterparty, so shock is the main theme. It will not be until the news of interest rate cuts comes out that there will be a sudden collapse. Within two months, the flight of US domestic capital can be completed. In one sentence, it can be described as: tight time, heavy tasks, large volume, high risks, and a careless operation will be severely harvested. Therefore, I advise all friends who buy overseas ETFs to start considering withdrawal. It is better to buy government bonds and earn interest than to leave them abroad.
At present, the global stock market, except for A-shares, has almost hit new highs. The interest rate hike of the United States has reached a point where it can no longer be sustained. The national debt has exceeded 35 trillion, which means that the average debt of the American people exceeds 100,000 US dollars. So where will these funds fleeing from the United States go? That's right, it is A-shares. Didn't you notice that the United States has been touting the A-shares as having great investment significance a few months ago? This and that are all at historical lows.
Many friends should be happy by now. Don't worry, friends. It's too early to be happy. I think A-shares will usher in a two-month suppression period. Yes, A-shares will also be suppressed, not just rising like this. Think about it, if A-shares are not suppressed, can funds get low-priced chips? Besides, it's not just the usual buyers who are eyeing A-shares now. So there will be a suppression period before September, and September will be a period of grabbing chips, because the transfer and financing will end in September. Combined with a series of information, a real slow bull will start after September, and it will be a comprehensive slow bull, a super slow bull for ten years.
We need to know what these funds represent and why they came to China. The United States, which has lost its hegemony, has no ability to protect them, let alone make them money. Did they come to China out of kindness? No, their purpose is the same - to make money, and profit-seeking is the nature of businessmen. In the past, they often shorted A-shares and harvested A-share investors, but now it is different, and they have to take the main battlefield. Why can the United States have a bull market for decades? Because this is their place, and the place can be smashed but not destroyed. Now that the U.S. stock market has no carrying capacity, A-shares have become their only choice, so I judge that it will be a slow bull market, and it will be a comprehensive bull market, not a structural bull market.
Of course, what I said above are my personal predictions. The situation in the next two months is very critical. It has been a long time since I tasted the taste of beef. My fellow, are you still there? #美联储何时降息? #BTC