I feel that the market in the past few days has been complicated. Whether going long or short, I think the cost-performance ratio is not high, and the odds are not good. If going long, the range resistance is still there, and there are dense data releases next week. On January 15, there will also be an event related to MicroStrategy's index, so it’s better to avoid risks before that. If going short, the bullish strength is obviously very strong. It has been oscillating at high levels, and I might wake up to a surprise. I choose to take a break for now and wait for a good opportunity.
How do I remember who said there would be a lot of data next week?
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