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After Two Weeks, The Market Will Have A Big Probability At The Bottom.

2010/7/2 16:38:00 30

Finance

   US stock Overnight, a new adjustment has been made, but the rally has left a longer shadow line, and the short-term rebound has gradually emerged. Stock index futures in July, the main contract shorting positions reduced, the main force of the empty camp increased more single, arbitrage space has shrunk dramatically, mature trend conducive to systemic risk reduction, which for short-term A shares breeds rebound opportunities. In the early morning, after a slight opening, the number of green plate companies was relatively large, but the activity of stocks increased significantly. The plate saw that educational media, brokerage, railway infrastructure, digital TV and futures rose earlier.


Today is the last week of this week. Trading day On the weekly line, the trend of growth is basically fixed. Accelerating or downgrading will be the focus of next week's trend. As a closing month for the first half of the year, the trend of the gradual contraction of the 3 successive Yin indicates that the adjustment is expected to end. The method of judgement can be reduced to the lowest level in a few months or when it suddenly drops, and it will usher in a short-term bottom. The 120 month moving average in the 2200 area will form a strong support, with a forecast drop of about 200 points. According to the magnitude of the previous 3 and monthly lines, if the same trend is adopted, it will take 2 weeks to reach the supporting area, which coincides with the market pressure after the listing of the agricultural bank. probability Great, so next week we still need to be cautious about the market.

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