The new energy sector led the decline again today, which is in line with my previous judgment. The sector comments a few days ago clearly stated that the adjustment has not been completed yet, and the adjustment time has been enough, but there is not enough space. The second wave

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new energy sector led the decline again today, which is in line with my previous judgment. The sector comments a few days ago clearly stated that the adjustment has not been in place yet. The adjustment time has been enough, but there is not enough space. The second wave of pullback is usually the first wave of 0.5-0.618, and today's decline is already 0.5, but it is still a long way from the most ideal position increase point 0.618. The

weekly line has already shown a low 7 this week, and the time for a low 9 is the second week after the holiday. The probability of a second wave low point is very high, because the weekly line sequence is not common, it encounters once a few months, and the accuracy rate is relatively high from the recent performance. The weekly line sequence is high 9 at the end of June, which is exactly the highest point of the rebound. I also specifically reminded of the risks at the time (I would like to remind everyone that new energy should pay attention to short-term risks).

There is no problem with the general direction of new energy, and it is still bullish in the medium and long term. Although it is judged that the adjustment has not ended yet, from the perspective of time, space, sequence, etc., it is already at the end of the second wave adjustment. There is no need to cut off your losses here. If you have a position, , you can consider setting up a low point. Don’t pursue the lowest point at once. It is unrealistic to buy to the lowest point at once. It also has the risk of missing the opportunity. It is a relatively safe strategy to slowly lay out in the area close to the bottom.