Let me talk about my views on the market in the next two months. The rebound in inflation data has increased the possibility of raising interest rates. The U.S. dollar index has rebounded higher, causing risk assets to fall. The U.S. dollars have flowed to U.S. bonds, resulting in reduced market liquidity. It increases the possibility of risk assets falling. I am more bearish on the future market. Follow the chart. Everything should be based on the chart. If this wave of pie rebound does not exceed 27,400, then it will wait until it breaks 25,000.