Derivative
15
December
Derivatives: Correction below 1,900 points
The short-term downtrend receives confirmation with volume sustained at high levels. Therefore, traders should exercise caution and may consider opening short positions.
12
December
Derivatives: A downtrend
The short-term downtrend receives confirmation with increasing volume. Therefore, traders should exercise caution and may consider opening short positions.
11
December
Derivatives: A sell signal?
The downtrend receives confirmation with increasing volume. Therefore, traders should exercise caution in the short term and may consider opening short positions.
10
December
Derivatives: Selling pressure emerges
Although the market remains within an upward trend, risks have gradually increased with the sudden surge in liquidity. Therefore, investors should exercise caution and wait for clearer signals before reopening...
09
December
Derivatives: Hesitation emerges
Although the upward momentum has slowed, the market continues to confirm an upward trend. Therefore, investors may consider reopening long positions and capitalizing on corrective pullbacks to optimize profits.
08
December
Covered warrant: Capital inflows maintained their upward momentum
Over the past week, the covered warrant market continued to show improving liquidity, while gaining warrants remained dominant. This indicates gradually improving investor sentiment and a tendency for capital to...
08
December
Derivatives: Growth momentum pauses
Although growth momentum has paused, the market still confirms an upward trend. Therefore, traders may consider reopening Long positions and capitalize on correction periods to optimize profits.
05
December
Derivatives: Uptrend sustained
The market continues to confirm an upward trend. Therefore, traders may consider reopening long positions and capitalizing on corrective pullbacks to optimize profits.
04
December
Derivatives: Breaking through previous peak
The market continues to confirm an upward trend. Therefore, traders may consider reopening long positions and capitalizing on corrective pullbacks to optimize profits.



