An exhausting market, but the logic remains the same: after the fall, the rebound.

As already pointed out, after such a drop, a rebound is expected on Monday and Tuesday. This is not a certainty, but a recurring dynamic. Our operational decisions will therefore depend on the strength of this rebound.

🎢 The market has been experiencing a real roller coaster for two months: extreme volatility, increased tensions, and a palpable nervousness across all channels.

🔍 The significant event of yesterday? A drop in volumes in the OTC market. Translation: no one really dares to "buy the dip", and those who might have capitulated... did not. Fewer panic sales, but more waiting.

🎯 In this climate, market manipulators are taking advantage: they are picking up stocks at low prices, while the bulls are cooling down. All of this points to a major rebound in the short term.

🧠 The watchword: keep a cool head, observe the signals, and act based on the real momentum, not emotion.