Second, the short-term repair around the interval of 3400-3500 points is good, and the characteristics of theme singing are expected to continue;The more optimistic everyone is about the market outlook and the more highly consistent their emotions are, the less easily the top funds will be sold. On the contrary, the market calmly looks at the ups and downs and the funds begin to sell more.Is this also to let everyone keep a normal attitude towards ups and downs? It doesn't want everyone's operation to be influenced by emotions?
Today, funds keep expecting more from the market, and the high probability is to see more favorable expectations.First, the expectation value of the index should not be too high, and the big gains are not allowed to rise. Now it is necessary to maintain the rhythm of slow rise;Typically, the index rises steadily and slightly, and the number of daily limit and rising is not bad at all.
After the closing of A shares, there are two phenomena:Yesterday, everyone was very confident and bullish. Basically, they were all paying attention to these sectors, and it was not so easy for the main force to get the goods.A-share: the volume has shrunk, but the increase is better than the volume. What is the reason? Shareholders: Are there still big benefits?
Strategy guide 12-14
Strategy guide 12-14