Tonight the market is not lacking volatility, only rhythm.


At 20:30, US retail data will be released first, as the first hard data recently, directly related to the market's assessment of the economy's strength or weakness, with both positive and negative signals being amplified and interpreted;
Immediately after, Trump will speak, combined with Iran topics, and market sentiment could be ignited at any moment;
At 22:00, the WASH hearing will take place, another re-pricing of expectations for monetary policy.
The overlay of these three events is a typical "message-intensive bombardment period."

This kind of market movement should not be used to bet on direction, nor should you pre-allocate heavy positions in advance, as it is easy to be swept back and forth.
The rhythm should follow "data release → sentiment release → follow the trend," patiently waiting for the first wave of volatility to pass before entering based on structure.
Short-term opportunities definitely exist, but the premise is controlling position size and timing precisely; otherwise, even large fluctuations are just reasons for others to harvest your gains.
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