
U.S. stocks are set to hit new highs, but investors are in a "dilemma": should they chase the rally or wait for a pullback?

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On the surface, tariffs and the risk of a U.S. recession are decreasing; however, the S&P 500 seems to encounter short-term resistance at 6,000 points. Some tail risks still exist: the recent escalation of the Russia-Ukraine conflict, the uncertainty of Section 899... Aside from the factor of Trump tariffs, no one can point out the catalyst for deleveraging
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