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First Trust S&P Intl Dividend Aristocrats
FID.US
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Morning Trend | FE HORIZON (3360.HK) Volume Recovery, Is the Main Force Ready to Break Through?

FE HORIZON (3360.HK) experienced unusual activity in the market yesterday, with continuous capital inflow in the morning and a noticeable increase in buying momentum by the afternoon close, indicating a gradual strengthening of market bullish sentiment. The news of the company obtaining a new financial license stimulated market expectations for performance expansion, becoming a core factor interpreted by the main players as a future growth engine. In terms of policy, the improvement in the real financing environment and significant regulatory support have effectively enhanced FE HORIZON's overall defensive attributes and capital attention. On the market, prices achieved a steady rebound, with significant signs of main player control on the intraday chart. However, the release of trading volume cannot yet be described as explosive, indicating that most large funds are still primarily in observation and testing mode. In the short term, bullish funds are brewing the next wave of concentrated efforts, and if the thematic sector heat further resonates, a main upward trend is expected to commence. Observing the main player behavior, whether subsequent policy news can continue to materialize is key to determining the initiation of the trend. If new news aligns with expectations, there is still room for strengthening on the technical side with MACD and moving average systems. Conversely, if there is a sudden change in regulatory direction or financing environment, main funds may easily retreat early, causing rapid changes in the market. Therefore, short-term chasing highs or building positions should closely monitor intraday volume changes and dynamically set stop-loss points to manage risks. Considering market inertia, as long as volume and price are synchronized and the main logic is not overturned, FE HORIZON still possesses the inherent momentum for continued recovery. It is recommended that aggressive funds pay attention to intraday fluctuations, while defensive funds should primarily adopt a follow-up strategy and prepare for unexpected variable risk plans

Technical Forecast·
Technical Forecast·