Second, the offshore RMB suddenly depreciated and once fell below the 7.28 mark;First, the funds in the venue today are generally rational, which is conducive to some funds;Now there is an obvious feature in the market. The funds just don't want to bring most retail investors to play, and they don't want to make the market so excited.
For tomorrow's market, I think we should pay attention to the following points:Second, banks still have insurance adjustments, brokers stabilize their emotions, the index will not rise sharply, and the profit-making effect of individual stocks will pick up;
After the closing of A shares, there are two phenomena:Second, banks still have insurance adjustments, brokers stabilize their emotions, the index will not rise sharply, and the profit-making effect of individual stocks will pick up;For today's market, there are big differences in stability. What do you think of the market outlook? Talk about your own point of view:
Strategy guide
12-14
Strategy guide
12-14