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$E-mini NASDAQ 100 Futures (JUN6) (NQmain.US)$ The current situation is that after such a significant decline this year, further negative news would be required to trigger a major breakdown. However, the earnings reports are clearly making investors uneasy, so there isn’t much upward momentum either. Therefore, moving sideways is the most probable scenario. If leading companies report decent earnings, a small rebound might occur; otherwise, a breakdown and continued drop remains possible. Avoid chasing gains or panic selling, and focus on selling high and buying low — this strategy can likely last until the end of the month when key leading companies finish releasing their earnings reports.
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