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U.S. stocks have recently experienced significant gains, and there is a short-term technical correction demand.
In the context of potential market volatility rebound, consider appropriately allocating to VIX-related products as risk hedging tools.
For investors seeking to enhance defensive attributes, focus on volatility ETFs such as $VIXY and $UVXY . If the market enters a correction phase, rising volatility may provide some buffer for the portfolio. However, it should be noted that these products, due to futures roll costs and leverage effects, are more suitable for short-term tactical allocation rather than long-term holding.
Current strategy: Maintain a cautious optimism, control positions, and hedge potential drawdown risks through volatility tools.