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    Big Volume Plunge, Truth Find Out &Nbsp, Tomorrow Strategy

    2011/8/8 18:14:00 29

    Market Volume Dropped The Truth

    S & P lowers

    American stock

    Ratings and the external stock market crash, the two cities' stock index jumped sharply, and after a slight rebound, the heavyweights collectively fell, and the market plunged 129 points, breaking 2500 points.

    In the afternoon, the stock index narrowed down, gold stocks suddenly sprung up, and stocks rose sharply.

    At the close, the two cities suffered heavy losses and panic in the market.


    On the plate:

    gold

    Stocks have been volatile, and hang Bang shares have been closed. Shandong gold has risen more than 8%, making it the only market concept for today's market. Recently, the pricing of solar photovoltaic power generation has been finalized, cable stocks have surged in recent days, the super cable has become the leader in the market, and the solar cable has risen by more than 7%.

    In contrast, the other block block fell across the board, stocks fell sharply, financial, coal, nonferrous metals and other weight plate overall decline in more than five points, the deepest decline in shipbuilding sector.


    News: the S & P has lowered the US sovereign credit rating to AA+, and the rating outlook is negative. This is the first time that the AAA sovereign credit rating has been lost in the US history. It is clear tomorrow that the CPI turning point will appear in July. The first time the Commission has clearly defined the backdoor listing to support the merger and reorganization supporting financing; the local state-owned assets reduction is hard to exceed two hundred billion; the A shares are limited; the liquor industry ranks first in the strong industry for two consecutive weeks; the Dow index rises 0.54% points to 0.94%; the New York crude oil futures closed up 0.3% at a barrel of 86.88 US dollars.


    According to Hua Xun finance, the US government did not take more active measures to stimulate the economy after the debt ceiling was raised, so the simple increase in the debt ceiling simply delayed the problem rather than solving it.

    Global

    Finance

    The market has responded to this content last week, but the downgrade may still affect market confidence; as the price of pork has begun to stabilize gradually and the influence of the tail factor is gradually weakening, the CPI increase in July is unlikely to continue to rise significantly, which means that the turning point of the current price increase has loomed.


    Outlook: from a technical point of view, today's market volume heavy setbacks, weight plate fell across the board, the intraday fell below 2500 points.

    On the big day, the K-line receives a large volume of Yin line, bruising the market to make more confidence, and deteriorating the technological form. In the short term, if there is no capacity to match, it will take a long time to repair a number of technical indicators.

    A shares are facing internal and external troubles in recent years: high CPI data has led to tight monetary policy of the central bank, and the frequency and quantity of market financing exceeds the scope of market acceptance; foreign aggression: the US economy is weak, investors are not confident about the US economic prospects, the European debt crisis is spreading again, and the global stock market has caught a cold.

    In this period of internal and external troubles, A shares want to be independent and can only hope that the state will introduce economic stimulus policies and resist the unfavorable situation of internal and external troubles, so as to give capital market confidence. "Policy bottom" is the real signal that the market can reverse.

    It is suggested that investors should focus on recent wait-and-see positions and control positions within 2 percentage points, so it is not appropriate to blindly copy the bottom.


     

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