Derivatives

29
May
Derivatives: New high formed
Short-term risks may increase as caution rises and liquidity declines. Therefore, traders should remain prudent, monitor the market closely, and wait for the next clear signal before opening new positions.

28
May
Derivatives: Caution returns
Short-term risk may increase as liquidity declines. Traders should remain cautious, monitor the market closely, and wait for the next clear signal before opening new positions.

27
May
Derivatives: Unusual movement
Short-term risks increased, indicated by the candlestick with a long lower shadow in the previous session. Therefore, investors should stay cautious, monitor the market closely, and wait for the next...

26
May
Derivatives: Liquidity declined
Short-term risks may increase as upward momentum pauses and volume stays low. Traders should stay cautious, monitor the market closely, and wait for the next signal before opening new positions.

23
May
Derivatives: Retesting the 1,400 zone
Although a correction occurred, the uptrend has not been reversed, even though risks are beginning to rise. Therefore, traders should remain cautious, monitor the market closely, and wait for further...

22
May
Derivatives: Uptrend maintained
With the second consecutive gaining session, the contract has reaffirmed the uptrend after breaking the Mar 2025 high. Therefore, traders may consider reopening long positions.

21
May
Derivatives: Breakout session
The contract has reconfirmed the uptrend after breaking through the March 2025 peak. Therefore, investors may consider reopening long positions.

20
May
Derivatives: Caution increases
Sustained high liquidity suggests that short-term correction risks may emerge. Therefore, traders should remain cautious, monitor the market closely, and wait for further confirmation signals.

19
May
Derivatives: Profit-taking pressure
Short-term risks may increase amid rising selling pressure; therefore, investors should remain cautious, closely observe market developments, and wait for further signals.