The second exploration of the market is unpredictable, the manipulation of the banker is unpredictable, and the trend is often against the public opinion. If you are in the position of the banker, you may induce retail investors to chase high and sell low, and manipulate emotions. The bottom rebound theory is doubtful, the market is unpredictable, and it is better to be cautious and ensure flexible position response. The rebound of the crypto market is to be seen, the timing of the Fed's interest rate cut is difficult to determine, and the Ronin vulnerability warns of cross-chain security. What do you think of the current market strategy and risks?

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