Market sentiment fluctuates repeatedly, with increased long and short battles. On the macro front, influenced by geopolitical situations and interest rate expectations, capital inflows and outflows are frequent, and short-term volatility is significantly amplified. The current price rally is accompanied by high leverage risks, and caution is needed against a quick pullback after a false breakout. In terms of operations, it is recommended to control positions, patiently wait for key support and resistance levels to be confirmed, and avoid emotional chasing of gains or panic selling.

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