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As October approaches, market sentiment is becoming increasingly optimistic. Analyzing from multiple dimensions such as the macro environment, technical aspects, and hot sectors, the A-share market is likely to experience a significant rise in October.
First of all, from a global perspective, major stock market indices in the United States, Europe, Japan, and South Korea have all shown a trend of breaking new highs. This global bull market is mainly driven by ample liquidity, which has propelled the rise of various markets. Against this backdrop, the three major indices of A-shares are expected to continue their strong momentum, and it is reasonable to believe that new highs will be achieved.
Technical analysis shows that since the beginning of April this year, the Shanghai Composite Index has exhibited a distinct upward channel. The index's periodic high points have gradually risen from 3417 points to 3899 points, while the pullback low points have also increased from 3347 points to 3732 points. This pattern of continuously breaking through high points and consistently raising low points is a typical characteristic of a bull market. It is worth noting that the gains of the Shenzhen Component Index and the ChiNext Index are even more remarkable, demonstrating stronger upward momentum.
Looking ahead to October, the market is expected to continue focusing on the high-tech sector. Chips and semiconductors, new energy, gaming, non-ferrous metals, and the gold sector may become the main forces leading the market. In addition, sectors such as securities, rare earths, and petrochemicals may also provide good buying opportunities during pullbacks.
For investors, closely following the major market indices during this wave of rising prices may be a relatively stable strategy. In particular, the Shenzhen Component Index and the ChiNext Index, which include more emerging industries and high-growth enterprises, may perform better.
Overall, the A-share market is expected to maintain a strong performance in October, driven by multiple favorable factors. While seizing opportunities, investors should also remain rational and manage risks effectively.