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2024-12-13 05:34:21

After today's adjustment, the trend differentiation of the technology growth sector may intensify tomorrow. Some leading enterprises with real core technology competitiveness and clear performance growth expectations may attract funds to bargain-hunting after adjustment, take the lead in stabilizing and rebounding, and drive the overall popularity of the science and technology sector to rebound; And some small and medium-sized technology stocks that lack performance support and rely only on concept speculation may continue to face downward pressure. In addition, as a long-term stable force in the A-share market, the consumer sector is often more defensive when the market fluctuates greatly. If the overall market sentiment is still cautious tomorrow, the food and beverage, medicine and biology sub-sectors in the consumer sector are expected to continue to gain the favor of funds and maintain a relatively stable trend, which will play a certain supporting role in the index.On December 10, 2024, the A-share market showed a remarkable feature of high opening and low going. At the opening of the morning session, affected by various factors, the three major indexes all opened sharply higher, which once brought more optimistic expectations to market participants. However, in the following trading hours, the market momentum could not be sustained, and the index gradually fluctuated downwards, and finally closed at a relatively low level. After the Shanghai Composite Index opened higher, the upward trend was blocked and the upper shadow line was longer, indicating that the upper pressure was obvious. The Shenzhen Stock Exchange Index and the Growth Enterprise Market Index also experienced the process of falling back after opening higher, and the volume of transactions was enlarged to a certain extent in the process of falling, reflecting that the long and short differences in the market were intensified in the trading process.Considering the current situation of market segmentation today, tomorrow's plate rotation will play a key role in the market trend. Although the financial sector changed in early trading today, it failed to continuously lead the market to rise. If the financial sector, especially the banking and securities sector, can rise again tomorrow under the impetus of favorable policies or expected improvement of its own performance, it is expected to stabilize the market index and drive the market sentiment to rebound. For example, if there are positive signals such as the improvement of net interest margin and the improvement of asset quality in the banking sector, it will attract capital inflows and provide solid support for the upward movement of the index.


At the same time, changes in news at home and abroad will also have an important impact on A shares. Internationally, the results of monetary policy meetings in major economies and the latest progress in international trade negotiations may trigger global market fluctuations, which will then be transmitted to the A-share market. For example, if the Fed releases a dove signal, it will help global funds to return to emerging markets, including the A-share market, and provide external assistance for the index to go up. In China, industry-level policy news, such as the adjustment of centralized purchasing policy in pharmaceutical industry and the continuation or optimization of subsidy policy in new energy automobile industry, will directly affect the trend of related industry sectors, and then have a chain reaction to the pattern of the whole A-share market.Second, the analysis of the reasons for high opening and low walking


From the internal structure of the market, the phenomenon of plate differentiation is more prominent. The weighting sectors such as finance in early trading once drove the index to open higher, but the follow-up of other sectors was weak. On the one hand, science and technology growth sectors, such as artificial intelligence and semiconductors, which had a large increase in the previous period, are facing profit-taking pressure. With the recent gradual increase in the valuation of related sectors, some investors choose to lock in profits, and funds flow out of these high-valuation sectors, which has a certain impact on the overall popularity of the market. On the other hand, the traditional cyclical sectors, such as steel and coal, are relatively depressed due to multiple factors such as overcapacity, environmental protection policies and fluctuation of downstream demand, and failed to form effective support after the index opened higher, resulting in the lack of core driving force for sustained growth in the market, and finally moved towards a low trend.From the perspective of capital flow, if the market as a whole shows a rebound trend tomorrow, it is expected that some off-exchange funds will gradually flow in, especially the institutional funds that have been waiting and seeing in the early stage may increase the allocation of high-quality blue-chip stocks and leading enterprises in growth stocks. In the process of market decline, funds may flow from the high valuation plate to the low valuation defensive plate or the early oversold plate to seek hedging and arbitrage opportunities.(B) the internal structure of the market differentiation

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