Market Divergence Began To Increase &Nbsp, Rebound Into The Second Half.
Market growth momentum weakened
From the market level, the first round of the rally began with the self rescue of capital overruns in the field, and then the capital of industry, household savings and QFII and other funds moved into the market. However, the A shares did not show obvious signs of improvement. After the market broke through 2400 points, the fund and other institutions showed significant signs of reducing their positions. Some of the funds also suffered redemption, and some of the funds in the field were weakened. In addition, bank stocks that used to be market stabilizers began to adjust to the market, and one after another sought support.
It is noteworthy that this instability did not rapidly change the direction of the market, but only intensified the flow of funds among the plates. Since March, small and medium-sized stocks represented by technology stocks, large consumer stocks represented by liquor beverages have been sought after by funds, and the traditional cyclical companies are rapidly being indifferent. This also shows that over the past two weeks, the market lateral arrangement is mainly the switch of hot spots. But what we are worried about is that the stock market speculation began last week. There is a suspicion that the various funds involved will soon finish the speculation. Does this mean that the second half of the rally will end in the short term? This is something that investors need to pay close attention to.
Second support points should be sought in the medium term.
From a technical point of view, we have always stressed that the market since the 2132 point is all over the rebound, so the future market still needs to prove the safety and reliability of the location. According to the logic of the second half of the rally, after the market has gone up, it still needs to fall once. Some of the indexes have a high inflation process. Some indexes are directly adjusted into the market after adjustment. As the Shanghai composite index did not break through 2500 points, the 2132 point is only the middle term of relative significance. To sum up, if we want to go further in the future market, we need at least to form a fulcrum to confirm the reliability of the 2132 points.
Stocks are in chaos and security is supreme.
In addition, some stock financing hype plates and stocks based on liquidity loosening anticipate that once the release of basic performance is difficult to keep up with the share price, we need to be vigilant against the risk of catching up again. For companies with margin trading conditions, we can pay attention to the behavior of increasing or reducing the funds in the field.
In the second half of the rally, the transformation of market hot spots will be quicker and more often seen as a chaotic battle of stocks. During this period, it seems to be bustling, actually hidden risks, and the strategy needs to pay more attention to safety. In the future, relatively safe investment targets need to take into account both value and growth. Value is easy to find the margin of safety, while growth factors can bring a certain speculative premium.
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