After recent rallies, some investors are booking profits. Others with heavy leverage are forced to unwind positions, accelerating downward momentum. There isn’t a single smoking gun. rather, a confluence of macroeconomic stress, regulation concerns, and technical dynamics seems to be applying pressure. If macro conditions stabilize or fed interest rate fall , we might see a rebound. Conversely, deeper economic concerns or negative policy headlines could prolong the downturn. Buckle up & monitor your portfolio.
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