The outlook for energy demand has gradually dimmed, and the two oil companies have followed the risk asset plunge and returned to a two-and-a-half-year low. With multiple red flags flashing, can they still adopt an oversold rebound strategy?
The outlook for energy demand is gradually dimming, the two oil companies follow the risk asset plunge and return to the two-and-a-half-year low, and multiple danger signals flash, can they still adopt an oversold rebound strategy? > > < br > < img src = "https://img.jin10.com/news/25/03/tpefBn_Jsdy38dsJrVonB.jpg/lite" referrerpolicy = "no-referrer" >
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