According to artificial intelligence for
the amount of portfolios that lost from month 1 to mid month 3
their portfolios were compensated by only 13%
which means we are talking about a loss of portfolios exceeding 60%, making it very difficult for the market to face a new shake
However, a strong warning is that these portfolios are exposed to a debt crisis
This means that the owners of the losing portfolios at the end of month 3 will initiate selling operations
Due to the fact that the owners of the portfolios will pay different installments
Therefore, in buying, wait until the end of month 3
As for selling, wait for some positive news that might adjust the market, but in general, the market is in a state of very great frustration.