As important economic meetings approach, market risk aversion sentiment is clearly rising. This trend has been particularly noticeable in recent days, as investors seem to be preparing for potential severe fluctuations.



Some analyses suggest that if the market rebounds before the meeting, it may trigger larger fluctuations regardless of the meeting's outcome. Therefore, some investors choose to take action in advance to avoid potential risks.

Interestingly, some investors actually hope to see the market adjust before the meeting. They believe that if the market can hit the bottom before the meeting, the subsequent downside potential may be limited. The logic behind this viewpoint is that reaching the bottom in advance may mean that the market has already digested most of the negative expectations.

However, it is worth noting that the direction of interest rate policy remains a key factor influencing the market. Regardless of the final outcome, investors need to closely monitor the results of the meeting and adjust their investment strategies in a timely manner based on new information.

In this uncertain market environment, it is especially important to remain calm and rational. For long-term investors, the short-term 波动 of the market may actually create some potential investment opportunities. However, it is also necessary to be vigilant about risks, and to be well-prepared and manage risks.
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Web3ExplorerLinvip
· 5h ago
hypothesis: market dynamics mirror quantum superposition rn... fascinating tbh
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AllInDaddyvip
· 08-20 01:18
enter a position 梭了
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OffchainOraclevip
· 08-19 04:47
The real institutions are getting ready to Rug Pull.
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pumpamentalistvip
· 08-19 04:46
Hehe, the conclusion is a Short Position, guaranteed profit.
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RektRecordervip
· 08-19 04:38
Relying on integrity, buying the dip will always lead to being hit.
View OriginalReply0
MemeEchoervip
· 08-19 04:24
Everyone is waiting for the bottom, who would really play people for suckers?
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