Barclays Bank believes that a rebound market will emerge by the end of the year.

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8 hours ago

Barclays Bank anticipates a rebound in the market by the end of the year

Barclays Bank expects the stock market to experience an upward trend by the end of the year, citing reasons such as a clearer market structure, favorable seasonal factors, strong profitability, the resumption of stock buyback plans, and the potential early end of quantitative tightening policies.

Analyst Emmanuel Cau stated that after the pullback in October, stock exposure has been reset to neutral, creating a healthier pattern. The strong inflow of funds into the U.S. is expected to continue, while market sentiment in the EU and the UK is also likely to improve.

Barclays Bank believes that the trend of chasing performance by the end of the year may benefit cyclical stocks, with the overall situation "favorable for further gains."

Interpretation: My consistent view is that the correlation between $BTC and U.S. stocks, especially tech stocks, remains high; if U.S. stocks perform well, BTC will at least not perform poorly.

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