1. Short-term market pullback is anticipated due to low trading volume on upward days and signs of buyer exhaustion; 2. Intermediate-term bullish outlook remains with expectations of challenging all-time highs, though risk management is heightened and position sizes reduced; 3. Selective stocks (e.g., PRCH, AEVA) show strength, while Bitcoin and Gold require consolidation; macro risks persist but ongoing monetary easing supports asset prices.