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2024-12-13 19:34:43

It can be predicted that the A-share market outlook will be a downward trend. Judging from the current heat of speculation on these theme stocks, another one will be made, but the rising time and space will be far less than the first three. Look at the picture below:A-shares: After the emotional recovery, the drama is about to start. What will be sung in the market on Thursday?After 2 pm, the A50 futures index began to rebound, and the A-share market also rebounded immediately. If we look closely, the A50 futures index rose sharply the day before yesterday, and there was no heavy volume. Yesterday's sharp drop released a huge amount, which shows that these overseas indexes are still quite satisfactory. Unlimited increase and volume decrease are clearly ship pulled, and A shares are no exception.


First, the three sisters of A shares are divided today, which is worrying.Second, judging from the technical analysis, the short-term A-share market has peaked, that is to say, 3494 points yesterday was the recent high point.My prediction yesterday was wrong: there will be a compensatory decline trend in the A-share market tomorrow, and we can observe the support level around 3380 points. If this position is supported, the market will be a slow decline trend, and if it is not, it will be a rapid decline trend.


Today, the trend of A shares is very similar to the K-line combination on November 8 and 11. Looking closely at the K-line of the A-share market, the three high points on October 8, November 8 and December 10 have the same effect, three gravestones? This is basically consistent with my previous judgment that the main funds will continue to make long traps. I completed the first one on November 8 and another one yesterday.We can't ignore the degree of connection between these three indexes. The short-term differentiation doesn't mean that we have to break the connection. If the main A-shares don't support the market today, A-shares will plummet, so that the main ones will not be able to ship for the New Year. This is not for retail investors, but for themselves.Personally, I judge that after adjustment, the main funds will still be a bull trap at the end of the year, and this rebound high point will probably appear on December 30 and 31. This is because the main funds will use holidays, cooperate through the disk, and some of them will be higher, mainly foreign capital, increase publicity and give off-site funds a tour, which is in line with my judgment. In the past two years, the main A-share companies have always borrowed weekends, holidays and other closed days. Look at the picture below:

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