
Today, I was chatting with friends about the A-share market, and there are several macro factors: 1) Trump might cause trouble later; 2) The market has risen a lot, but retail investors are actually few. Such a rapid rise only widens the wealth gap; 3) As the year-end approaches, if you earned 200,000 in salary and 300,000 in the stock market, more and more people are cashing out, especially after yesterday when Advisor Yan was told by her financial advisor that bond funds with a 1%+ return were disappointing and was advised to buy equity funds—this seems quite risky.
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