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From the trading volume data, the recent turnover rate has clearly increased. Combined with the distribution of holdings, institutional investors in Asia are turning cautious towards risk assets, showing signs of reducing their positions. However, it is worth noting that the current selling activity is mainly driven by short-term traders, with selling pressure primarily concentrated around the $95,000 cost zone. Selling pressure at other price levels can be relatively ignored.
From the current chip structure, it still appears relatively normal, with no signs of panic selling. Most investors remain fairly stable in their mindset, but the situation after the US stock market opens could change, and a new wave of selling may occur at any time.