The Middle East situation continues to escalate, geopolitical risks are imminent, market risk aversion sentiment is rapidly spreading, funds are accelerating to flee, and the market is volume-down and declining accordingly.
Long before the situation fully fermented, At repeatedly warned that risks were accumulating, and a weak rebound was a signal to exit. It’s not about waiting for the decline to realize, but about positioning in advance before sentiment shifts. This pullback has unfolded as expected, once again confirming that true foresight is not about post-event summaries, but about early
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