Why did the market choose to accelerate the pull-up again, instead of choosing to cover the gap between the gaps on December 10?My thinking is that there is a high probability that the market will interpret the first market. After all, the sector, index and capital are all conducive to the market stabilizing and strengthening again.Then, after the weight support and the strengthening of some theme concepts, although the market is hesitant, it is difficult to change the process of further strengthening of the index.
Write it at the endBased on the above information, I predict that there are two evolving trends in the current market.After the gap opened higher on December 10, the lowest gap was at 3406.45 points, and the low point of this round index on Wednesday was at 3416.09 points. Obviously, the gap has not been fully covered.
Today's market has entered a stage where individual stocks are mixed. This means that the differences in the market still exist. After the early opening at 3,494.87 points, a lot of funds entered the market, but the market fell further. It can be seen that there are a lot of selling orders above A shares, which has great resistance to the breakthrough process of 3,500 points.The insurance and brokerage sectors have increased again, and the market has returned to the stage of active theme concept since the early financial period.
Strategy guide 12-14
Strategy guide 12-14
Strategy guide 12-14