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Hexun Asesor de Inversiones Chen Zelei: Las acciones de Hong Kong arrastran a las A-shares en una corrección, ¿podrá haber un rebote fuerte mañana viernes?
Tomorrow is Friday, will the market continue to fall?
What should retail investors do?
Should they leave the market quickly or stay calm and plan?
According to He Xun’s consultant Chen Zelei,
after continuing the rebound yesterday,
today the A-shares briefly rose in the early session,
only to suddenly plunge,
experiencing a water drop,
continuing weak fluctuations at noon,
followed by the main force boosting energy to stabilize,
but ultimately failed to turn positive.
It is evident that today’s sudden drop is definitely not simple,
why do I say this?
Because there was a collective sell-off,
with significant drops in solar power stocks,
making everyone feel the risks are coming.
After everyone cut losses, the main force stepped in to protect,
narrowing the drop significantly,
giving everyone a glimmer of hope.
However, when hope arose, the bulls again lost momentum,
today the market changed dramatically,
why did the A-shares suddenly drop?
Does this wave of decline mean the end of the market?
Friday coincides with a critical time window,
the market continues to release panic emotions,
entering a deep correction,
is it going to stage a comeback to regain confidence?
Now there’s no need to guess,
if you have no confidence,
here’s a straightforward piece of advice from Lei:
the market seems to be in a low mood,
but in reality, a golden pit is quietly forming.
The real reason dragging down the market today
is that Hong Kong stocks have shown obvious adjustments,
so today A-shares in related technology sectors also weakened.
This is the core reason for today’s correction in A-shares,
but strangely, the familiar script is replaying,
oil suddenly surged at noon,
but the market failed to stop the decline and warm up.
Facing such a trend,
is it that tomorrow, Friday, A-shares will drop again?
Next, I will use three key points to help answer all questions.
First, clarify the viewpoint:
today’s adjustment from the short-term emotional cycle,
is the main force using bad news to accumulate shares,
tomorrow A-shares will stage a fluctuating rise,
don’t ask why, there are three main reasons.
First, although the three major indices adjusted today,
the trading volume shrank significantly,
indicating that the incremental funds that entered in the past two days did not flee.
Second, from a technical perspective,
the market is currently facing the dual key points of 3900 and 3800,
the probability of the bulls losing again is not high.
Analyzing from the core drivers of this round of market,
the core main lines of power and energy storage remain very strong,
and the logic aligns well with the aesthetics and long-term layout of the main force.
Therefore, in summary,
tomorrow A-shares are likely to stop falling and continue to rise.