There will definitely be major volatility after the 12/10 rate decision.



Currently, my thinking is that if there’s a rapid surge, I’ll look for points to continue shorting.

But I just woke up and found that the market has actually taken off.

I opened a small initial short position.

My view remains unchanged: there won’t be a bull market before April next year.

This month, I’ll stick to my view and short when the price goes up.

I was just playing around, and it actually hit 30,000.
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