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1月31日整体符合预期,利率决议当晚起来刷了几单,都是依托2050助力位作为压制空下来的,因考虑到鲍威尔讲话的不确定性,有利润就跑了,后面睡觉前进行了清仓操作,没想到暴跌到了30-32这个区域。那么由此看出不出大的消息面刺激的情况下,依然是2050-2030这个区间震荡。高抛低吸为主。昨天鲍威尔讲话多次提到说美国经济整体向好,表现强劲,但是技术面来说还是偏多的,那么为什么我不做多呢?因为从缠论角度来说上涨即将结束,也许哪天就做到了

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