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Tomorrow's A-share market will also be significantly affected by macro policies and news. From a policy perspective, the recent fine-tuning trend of monetary policy and fiscal policy has attracted much attention. If the central bank releases further loose signals in the open market operation or monetary policy report, such as the expected increase in RRR cut and interest rate cut, it is expected to inject liquidity into the market, enhance market confidence, and thus promote the rebound of the index. In terms of fiscal policy, if specific policies and measures such as increasing investment in infrastructure construction and supporting the development of emerging industries are introduced, the relevant beneficiary sectors will hopefully drive the market sentiment to rebound.At the same time, changes in news at home and abroad will also have an important impact on A shares. Internationally, the results of monetary policy meetings in major economies and the latest progress in international trade negotiations may trigger global market fluctuations, which will then be transmitted to the A-share market. For example, if the Fed releases a dove signal, it will help global funds to return to emerging markets, including the A-share market, and provide external assistance for the index to go up. In China, industry-level policy news, such as the adjustment of centralized purchasing policy in pharmaceutical industry and the continuation or optimization of subsidy policy in new energy automobile industry, will directly affect the trend of related industry sectors, and then have a chain reaction to the pattern of the whole A-share market.(A) the perspective of technical analysis


(B) Macro policies and news expectations(A) the perspective of technical analysisSecond, the analysis of the reasons for high opening and low walking


Third, tomorrow's A-share market inferenceConsidering the current situation of market segmentation today, tomorrow's plate rotation will play a key role in the market trend. Although the financial sector changed in early trading today, it failed to continuously lead the market to rise. If the financial sector, especially the banking and securities sector, can rise again tomorrow under the impetus of favorable policies or expected improvement of its own performance, it is expected to stabilize the market index and drive the market sentiment to rebound. For example, if there are positive signals such as the improvement of net interest margin and the improvement of asset quality in the banking sector, it will attract capital inflows and provide solid support for the upward movement of the index.The tightness of funds has a key impact on the trend of A-share market. Recently, the overall market liquidity is in a relatively stable but not loose state, and the entry speed of incremental funds is relatively slow. After opening higher in early trading, due to the lack of sufficient follow-up funds, it is difficult for the market to maintain a high increase. At the same time, investors' mood changed greatly in the process of opening higher and then going lower in the morning. When the market opened higher, the optimism of the market briefly warmed up, but with the decline of the index, pessimism gradually gained the upper hand, which further aggravated the selling pressure of the market and formed a vicious circle, making it difficult for the index to obtain effective support and rebound during the decline.

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