$INTCB #INTC After the momentum heats up, you prepare to enter—more importantly, you need to first evaluate the position. The current 1-hour change is -0.29%, and the 24-hour change is +1.44%. The space that has already been covered can’t simply be treated as the next segment’s replicable room.

$INTCB #INTC A clear one-sided trend has not yet formed; the 1-hour and 24-hour rhythms are still in contention. At this stage, focus your attention on the boundaries of the range rather than the color of every single candlestick.

In a weak phase, it’s easiest to mistake a rebound for a reversal. Until 109.66 is reclaimed, first observe the repair. If it breaks again below 108.43, it indicates that there is still insufficient effective support underneath.

For the next path, there are three ways to handle it: If it moves up and holds effectively at 110.89, wait for a pullback that does not break, then reassess whether the move can continue. If it breaks down below 108.43, prioritize risk control and wait for new support. If it continues to oscillate around 109.66, treat it as range turnover and don’t chase direction repeatedly in the middle.

Existing positions can be handled in segments according to key levels, so you don’t make all decisions at once. Those in cash should wait for breakout confirmation or for a pullback to stabilize. For U.S. stock instruments, also be mindful of volatility caused by trading session transitions. Your plan should be based on price conditions; don’t let emotions replace execution.

Missing a segment of the market doesn’t directly cause losses. Only chasing at the end of volatility without a plan will make your position passive. Risk control still comes before conclusions: execute only when conditions are met, and promptly reassess if the price action becomes invalid. The larger the volatility, the more restrained each single position should be.

The above is scenario forecasting based on the current 1-hour and 24-hour data; it does not constitute a promise of returns.

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