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$CSOP SK Hynix Daily (2x) Leveraged Product (07709.HK)$ It's over—next Monday it'll plunge straight into a circuit breaker
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A correction is healthy and necessary, but a Black Friday-style selloff where the Nasdaq drops almost 5% and the S&P 500 falls nearly 3% is extremely aggressive.
My guess is that the 24-hour market may continue to drop drastically on Monday, especially if the Korean market hit another Downward Circuit Breaker. If that happens, we could see another wave of panic selling before a potential V-shaped recovery. Even if...
My guess is that the 24-hour market may continue to drop drastically on Monday, especially if the Korean market hit another Downward Circuit Breaker. If that happens, we could see another wave of panic selling before a potential V-shaped recovery. Even if...
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$Micron Technology (MU.US)$ Falling below a trillion-dollar market cap—does that make sense? I’m really baffled.
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$Nokia Oyj (NOK.US)$ Could any experienced traders share their insights—will the market surge sharply on Monday?
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$Nasdaq Composite Index (.IXIC.US)$ Those who don’t recognize when risk is approaching and don’t know when to retreat will never become wealthy. Have you ever seen banks, institutions, billionaires, capitalists, or major players stubbornly holding through risks? I liquidated all my positions the day before yesterday—I only figured it out yesterday. Today, I asked a major player, and he told me he’d already exited several days ago, saying a sharp downturn was coming. When I asked him how he knew the market would drop sharply, he refused to say anything—probably due to commercial confidentiality. Some people argue you should hold on and buy the dip instead of running away. But have you ever considered this: if the market drops 30%, why not exit early and re-enter after the -30% decline? You’d be buying at a 30% discount. Many keep promoting ‘hold your positions’ based on index narratives—that’s just human nature. I’ve never seen anyone who fails to exit when risk arrives become truly wealthy.
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$Nokia Oyj (NOK.US)$ It really did drop again...
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$Micron Technology (MU.US)$ bought some at 870, let's see how things goes next week Monday
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$Nasdaq Composite Index (.IXIC.US)$ Insane—Is this a stock market crash?
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$Micron Technology (MU.US)$ Everyone, remember yesterday's lesson—institutional investors dumped shares in the final minutes; it was outrageous
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$Micron Technology (MU.US)$ See you at 780 on Monday![]()
Lost everything in two days—wasted a whole month of effort...
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Vikiii :![undefined [undefined]](https://static.moomoo.com/nnq/emoji/static/image/default/default-black.png?imageMogr2/thumbnail/36x36)
It's normal—mentally prepare yourself; at the very least, Monday and Tuesday will see declines.