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The reason is very simple, many people are bearish on A-shares now, and its logic is that according to the self-trend of the A** field for a long period of time in the past, it is basically maintained below 3200 points. Looking at the period from 2015 to May 2020, the range of A-shares has always remained at a low level, and it is uncertain how long this ** level will be maintained. And now affected by the external environment, then more or less will have a certain negative impact on the trend of the A** market, especially if the U.S. stock market appears systematically in the future, it will have a greater negative impact on the global capital trading market, and A-shares will inevitably **.
However, if we look at the current A** market itself in a relatively low range, its ** space is always limited, unlike the current U.S. stocks, which show a large bubble. And the real estate market, which currently acts as a reservoir of social funds, can only act as a stabilizer for a long time in the future, and will gradually release a part of the social funds to enter other real economies and capital investment markets, and the logic of entering the capital investment market is to provide new financing methods for these real economies.
And from the perspective of the 2025 Made in China plan, the future technology stocks are likely to lead the A** field out of a wave of large-scale bull market cycle, and from the perspective of the A** field in the past two years for technology stocks, including the science and technology innovation board and the change of the registration system, these are a kind of foreshadowing for the long-term bull market in the future of the A** market. Therefore, in the short term, the best space for A-shares is always limited, and the extent to which it is affected by U.S. stocks is relatively small.
We can't blindly be bearish, the a** field in the large range, if it acts as a reservoir of funds in the future, then it is far from enough in terms of its current volume, so the future a** field will definitely form a large bull market cycle, and this bull market cycle will appear before 2025, or before 2025 to form a wave of a larger range of bull market, the probability is relatively high.
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Because most of the A-shares are concept stocks, there are many A-shares that have not been converted into technology, so some people are bearish on A-shares.
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Because the current performance of the first field is not good, and a lot of money has gone into other countries.
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Because this year, due to the raging epidemic, the economic development of major countries around the world is not good, and the pressure on China's internal economic development is also very high, so many people are not optimistic about A-shares.
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I'm not the one who understands, let me give you an analysis of my personal opinion, the reason why I am bearish on A shares is because the development of A shares is not good, so many people will not look down on him.
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Because I think A-shares are ** with no speculative value, I think there are too many junk stocks.
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The benefit of losing money is obvious, and it is the most correct to wait and see!
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Very few of China's A-shares themselves are like this, and some ** will not rise all year round.
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The weight has been sideways this year**, which is hedged to prevent the stock market crash in the second half of the year!
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I am optimistic about A-shares, and A-shares will rise sharply.
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Short: refers to the fact that although the current stock price is relatively high, investors are not optimistic about the prospects, and expect the stock price to be, so they sell when it is relatively high, and then wait for it to fall to a certain price, so as to obtain the difference income. The "bearish" in "bearish" indicates the investor's judgment on the future development of the market, while the "long" and "short" represent the investor's assessment of the systemic risk posed by the "**" or "selling" behavior.
Therefore, in a nutshell, "long" and "short" are investors' subjective judgments on the risk of the market system, while "long" and "short" are rational choices based on market operation behaviors (buying and selling) based on this judgment. This kind of term is commonly used in finance, not only in the foreign exchange market, bond market, options market, etc. Bearish means not optimistic about a certain branch or industry, if it is aimed at **, it means that you are not optimistic about ****.
Short means actually reverse shorting, there are two main ways to short in **, one is short borrowing and lending, which needs to open the margin and securities lending function to complete, and now it can only be shorted for more than 900 **. The other is the stock index**, which is shorted directly by opening the short.
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Bearish means to think that the future **will**; Correspondingly, bullish is to think that the future will be**.
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The meaning of bearish is as follows:
Not optimistic about a certain branch or a certain industry, if it is for **, it means that you are not optimistic about ****.
The meaning of going short is as follows:
In fact, there are two main ways to short in the **:
Short selling of securities borrowing and lending, which can only be completed by opening the margin trading function, can only be shorted for more than 900 branches**.
The other is the stock index**, which is shorted directly by opening the short.
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The reason why someone is short is because someone is bearish. Just as someone is bullish.
Shorting is a kind of investment term such as ****: for example, when you expect a certain ** to fall in the future, sell what you have when the current price is high, and then buy it when the stock price falls to a certain extent, so that the difference is your profit. Shorting refers to the expectation of the future, the hand will be sold according to the current, and the price difference will be bought after the fall.
It is characterized by the trading behavior of selling first and then buying.
Shorting is a mode of operation in markets such as ** and **. It is the opposite of long, theoretically borrowing and selling first, and then buying and returning. Generally, the formal short market is a platform that provides borrowing from a neutral warehouse.
It's actually a bit like the open money trading model in business. This model can make a profit in the **** band, that is, borrow the goods at a high level to sell first, and then buy and return after the fall. In this way, the buy is still low, and the sell is still high, but the operation procedure is reversed.
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What does it mean for the company to short.
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**There are ups and downs! Recently, the market is not good, and it has fallen a lot, but there are good times, and the price limit is not the same?
No matter what goes up or down, borrowing ** is interested! Generally, brokerages are qualified, and not all ** can be borrowed, and the target ** is a small number of ** stocks with good performance.
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Just kidding, why can't you go short, don't you see that many ** now have the word "melt"? It means "margin trading".
Securities borrowing is shorting! A large number of such **, but at present, the transition is not allowed to be shorted. Because ** is a platform that is mainly financing, if you transition to short to make money, no one will play, and you will no longer be able to raise funds.
Therefore, ** has been cracking down on malicious shorting. There is a bit of regulation on shorting.
Well, but it's far from there.
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