Why am I so confident that the market will gradually improve after mid-September? Because: The indicators have already suggested that the daily line has bottomed out. Although we cannot rule out the possibility of a breakout spike, a spike is an opportunity! At the same time, I believe in the law of cycles, trust past experiences, and have faith in the sustained benefits of interest rate cuts. Reminder: There have been many policy-related messages in the past week, and the volatility will cause repeated spikes up and down. Trust the trend, and don't panic or worry!
Next week, there will be a lot of news with significant impact, and the market adjustment should yield results at the latest within the next week! As I have mentioned multiple times, there will be adjustments and fluctuations in early to mid-September, and a true bottom will emerge during this fluctuation. Starting interest rate cuts after mid-September will be a good beginning. As for concerns about an economic recession, I believe the Americans will consider this more; currently, the U.S. economy is still growing positively, and a soft landing is more likely. At the same time, although there have been adjustments in September in the past, most of them are not significant, and they tend to recover before the end of the month. If that's the case, what is there to worry about...
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