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There's nothing to fear about a decline. Here's a heartfelt truth—this year's market isn't designed for short-term traders at all. The macro environment is shifting, liquidity is tightening and loosening unpredictably, and market narratives are fragmented. In plain terms, the long-term cycle is undergoing a complete restructuring.
Retail investors, instead of being worn down by daily K-line fluctuations, should look further ahead. Focusing on the big picture is more valuable. The US dollar cycle is already in its latter half, and a round of asset re-pricing is inevitable. During this process, those who can withstand the volatility will be the ones who can seize the opportunity.
Being able to endure is the key.
I'm optimistic about the wave after the major cycle restructuring.