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ترجمة
###⚠️MARKETS BLEEDING RED… ⚡Triggers for August 1 Sell-Off ???** - **Tariff Deadline Implementation**: President Trump enforced long-threatened tariffs (10% baseline on most imports, with higher rates for the EU, China, etc.), causing panic after repeated deadline extensions fueled complacency. Markets had priced in another "TACO" (Trump Always Chickens Out) scenario, but the firm stance triggered global risk-off moves . - **Earnings Weakness & Macro Signals**: Poor results from key companies (Alphabet, UPS, Intel) signaled economic softening. The BoJ's surprise rate hike (July 25) and weak U.S. labor data (July 26) exacerbated fears . - **Technical Overextension**: Pre-deadline rallies left indices overbought (S&P 500 RSI at 76), making them vulnerable to correction . - **Inflation-Recession Dilemma**: Tariffs could spike U.S. inflation (CPI already at 2.7% YoY), reducing Fed rate-cut odds. Higher consumer prices may squeeze spending, while supply-chain disruptions risk stagflation . - **Bond Market Instability**: "Bond vigilantism" emerged as Treasury yields initially fell then spiked due to fiscal concerns. The Genius Act's requirement for stablecoins to hold Treasuries added pressure . - **Global Contagion**: Asian and European markets (e.g., Nikkei -7%, STOXX 600 -8.4% weekly) led declines. Commodities like oil (Brent at $63.15) and copper fell on demand fears . #### 📅 **Key Near-Term Catalysts** - **Fed Response (Aug 1–7)**: Emergency rate cuts possible if markets deteriorate further . - **Earnings Reports (Aug 1–2)**: Results from Apple, Amazon, and Exxon Mobil could sway tech/energy sentiment . - **Trade Negotiations**: U.S.-EU talks (ongoing) and G7 emergency meetings expected . ### 💎 Conclusion Markets face heightened volatility through August, driven by tariff fallout and central bank responses. While structural risks are elevated. Monitor Fed rhetoric, EU negotiations, and the yield curve for directional signals . Investors should prioritize diversification and avoid panic selling.
###⚠️MARKETS BLEEDING RED… ⚡Triggers for August 1 Sell-Off ???**

- **Tariff Deadline Implementation**: President Trump enforced long-threatened tariffs (10% baseline on most imports, with higher rates for the EU, China, etc.), causing panic after repeated deadline extensions fueled complacency. Markets had priced in another "TACO" (Trump Always Chickens Out) scenario, but the firm stance triggered global risk-off moves .
- **Earnings Weakness & Macro Signals**: Poor results from key companies (Alphabet, UPS, Intel) signaled economic softening. The BoJ's surprise rate hike (July 25) and weak U.S. labor data (July 26) exacerbated fears .
- **Technical Overextension**: Pre-deadline rallies left indices overbought (S&P 500 RSI at 76), making them vulnerable to correction .

- **Inflation-Recession Dilemma**: Tariffs could spike U.S. inflation (CPI already at 2.7% YoY), reducing Fed rate-cut odds. Higher consumer prices may squeeze spending, while supply-chain disruptions risk stagflation .
- **Bond Market Instability**: "Bond vigilantism" emerged as Treasury yields initially fell then spiked due to fiscal concerns. The Genius Act's requirement for stablecoins to hold Treasuries added pressure .
- **Global Contagion**: Asian and European markets (e.g., Nikkei -7%, STOXX 600 -8.4% weekly) led declines. Commodities like oil (Brent at $63.15) and copper fell on demand fears .

#### 📅 **Key Near-Term Catalysts**
- **Fed Response (Aug 1–7)**: Emergency rate cuts possible if markets deteriorate further .
- **Earnings Reports (Aug 1–2)**: Results from Apple, Amazon, and Exxon Mobil could sway tech/energy sentiment .
- **Trade Negotiations**: U.S.-EU talks (ongoing) and G7 emergency meetings expected .

### 💎 Conclusion
Markets face heightened volatility through August, driven by tariff fallout and central bank responses. While structural risks are elevated. Monitor Fed rhetoric, EU negotiations, and the yield curve for directional signals . Investors should prioritize diversification and avoid panic selling.
ترجمة
### ⚠️ Unlikely XRP to Hit $5 in August **😔 - **Current Price Action**: XRP is consolidating near **$3.10–$3.16** (as of July 30), needing a **+60% rally** in ~30 days. - **Volume Decline**: Trading volume crashed **60%+** since mid-July, indicating weakening momentum. - **Whale Dumping Risk**: Co-founder Chris Larsen sold **$200M XRP** in July, sparking fears of further sell-offs. - **Technical Warnings**: Failure to hold **$3.00** could trigger a drop to **$2.60–$2.95**. A $5 target would require **unprecedented bullish catalysts** (e.g., spot ETF approval, major banking adoption) and a market-wide altcoin surge. While technically feasible, the **60% rally needed** in 30 days faces headwinds from low volume, regulatory lingering risks, and profit-taking pressure. More realistic timelines place **$5 by late 2025**. For now, monitor the **$3.37 resistance level** and August 1–15 for SEC/Ripple updates. If broken, a swift rally could materialize—but prepare for volatility ⚡. $XRP {spot}(XRPUSDT)
### ⚠️ Unlikely XRP to Hit $5 in August **😔

- **Current Price Action**: XRP is consolidating near **$3.10–$3.16** (as of July 30), needing a **+60% rally** in ~30 days.
- **Volume Decline**: Trading volume crashed **60%+** since mid-July, indicating weakening momentum.
- **Whale Dumping Risk**: Co-founder Chris Larsen sold **$200M XRP** in July, sparking fears of further sell-offs.
- **Technical Warnings**: Failure to hold **$3.00** could trigger a drop to **$2.60–$2.95**.

A $5 target would require **unprecedented bullish catalysts** (e.g., spot ETF approval, major banking adoption) and a market-wide altcoin surge. While technically feasible, the **60% rally needed** in 30 days faces headwinds from low volume, regulatory lingering risks, and profit-taking pressure. More realistic timelines place **$5 by late 2025**.

For now, monitor the **$3.37 resistance level** and August 1–15 for SEC/Ripple updates. If broken, a swift rally could materialize—but prepare for volatility ⚡.

$XRP
ترجمة
📉$ETH correction now after Hit 3899.09??? ### ⚠️ Critical Technical Context 1. **Dead Cross Significance** - Validated breakdown below **$3,800** (previous support) confirms bearish momentum acceleration. - Death cross (short-term MA < long-term MA) historically precedes **5–15% declines** in ETH during bull market corrections . 2. **RSI 45.3 Interpretation** - Neutral but **downward-trending momentum** – no oversold signal (requires RSI <30). - Aligns with VMA research showing ETH’s strongest downside occurs when RSI breaks 45 post-death cross . ### 🎯 Trade Execution Plan 1. **Entry**: - **Immediate**: Short at **$3,840–$3,850** (tested resistance). - **Add-on**: Breakdown of **$3,800** with volume spike. 2. **Targets**: - **$3,720** (1.5% drop, 0.382 Fib + VMA profit-taking zone) - **$3,650** (3.0% drop, 0.618 Fib + high-density support) 3. **Stop-Loss**: **$3,900** (above death cross origin + 1.5% risk buffer). > 💡 **Research Insight**: ETH futures shorts using VMA(5,100) rules held positions for **8–12 hours** on average during similar setups to maximize returns . [28/07, 09:49] Eric yee: ### 📊 Risk Management Framework ```mermaid graph LR A[ETH $3850 Short] --> B{Break $3800?} B -->|Yes| C[Add 25% position] B -->|No| D[Monitor RSI>50] C --> E[Target 1: $3720 - Take 50% profit] E --> F[Target 2: $3650 - Close full position] D --> G[Stop above $3900] $ETH {spot}(ETHUSDT)
📉$ETH correction now after Hit 3899.09???

### ⚠️ Critical Technical Context
1. **Dead Cross Significance**
- Validated breakdown below **$3,800** (previous support) confirms bearish momentum acceleration.
- Death cross (short-term MA < long-term MA) historically precedes **5–15% declines** in ETH during bull market corrections .

2. **RSI 45.3 Interpretation**
- Neutral but **downward-trending momentum** – no oversold signal (requires RSI <30).
- Aligns with VMA research showing ETH’s strongest downside occurs when RSI breaks 45 post-death cross .
### 🎯 Trade Execution Plan
1. **Entry**:
- **Immediate**: Short at **$3,840–$3,850** (tested resistance).
- **Add-on**: Breakdown of **$3,800** with volume spike.
2. **Targets**:
- **$3,720** (1.5% drop, 0.382 Fib + VMA profit-taking zone)
- **$3,650** (3.0% drop, 0.618 Fib + high-density support)
3. **Stop-Loss**: **$3,900** (above death cross origin + 1.5% risk buffer).

> 💡 **Research Insight**: ETH futures shorts using VMA(5,100) rules held positions for **8–12 hours** on average during similar setups to maximize returns .
[28/07, 09:49] Eric yee: ### 📊 Risk Management Framework
```mermaid
graph LR
A[ETH $3850 Short] --> B{Break $3800?}
B -->|Yes| C[Add 25% position]
B -->|No| D[Monitor RSI>50]
C --> E[Target 1: $3720 - Take 50% profit]
E --> F[Target 2: $3650 - Close full position]
D --> G[Stop above $3900]

$ETH
ترجمة
🔥What's Next After $ETH Hit 🎯 3800???🔥 Based on today's ETH price reaching the $3,800 take-profit (TP) level and analysis of current market dynamics, here’s a strategic breakdown of next steps: ### 📉 **1. Immediate Technical Setup & Key Levels** - **Resistance Break Confirmation**: A sustained close above $3,770 (Buy-Side Liquidity zone) is critical for bullish continuation toward $3,850–$3,900 . Failure may trigger pullback. - **Support Zones**: - **Primary**: $3,600–$3,650 (Lower Order Block) – Ideal for re-entry . - **Strong Demand**: $3,540–$3,590 (Point of Interest) – Accumulation area if bearish momentum deepens . - **Liquidity Targets**: Sell-Side Liquidity (SSL) at $3,510–$3,520 could attract price before reversal . ### 🚀 **2. Bullish Catalysts for Next Leg Up** - **Institutional Demand**: BlackRock’s $4B ETH ETF holdings and corporate treasury adoption (e.g., SharpLink’s $1.3B ETH) reduce circulating supply, creating structural scarcity . - **Stablecoin Volume Surge**: $7B daily stablecoin transactions on Ethereum burn fees, tightening supply . - **Tokenization Growth**: Projected $16T in real-world assets (RWAs) tokenized on Ethereum by 2030 . ### 📅 **3. Mid-Term Timeline (Q3-Q4 2025)** - **August–September**: Break above $4,000 likely if ETF inflows and staking yields hold strong . - **October–November**: Elliott Wave 3 target of $4,500–$5,000 aligns with Wyckoff accumulation completion . ### 💡 **4. Strategic Recommendations** - **Aggressive Traders**: Re-enter at $3,650 with stop-loss at $3,590, targeting $3,850–$3,900. - **Long-Term Investors**: Hold through volatility; ETH’s shift to “digital bond” status (staking yields + institutional collateral) supports $4,500+ by year-end . $ETH ### 💎 Conclusion ETH’s TP at $3,800 signals strength, but confirmation above $3,770 is key for continuation. Use pullbacks to $3,600–$3,650 as accumulation opportunities. The path to $4,500+ remains probable by Q4 2025, fueled by supply scarcity and RWA tokenization. {future}(ETHUSDT)
🔥What's Next After $ETH Hit 🎯 3800???🔥

Based on today's ETH price reaching the $3,800 take-profit (TP) level and analysis of current market dynamics, here’s a strategic breakdown of next steps:

### 📉 **1. Immediate Technical Setup & Key Levels**
- **Resistance Break Confirmation**: A sustained close above $3,770 (Buy-Side Liquidity zone) is critical for bullish continuation toward $3,850–$3,900 . Failure may trigger pullback.
- **Support Zones**:
- **Primary**: $3,600–$3,650 (Lower Order Block) – Ideal for re-entry .
- **Strong Demand**: $3,540–$3,590 (Point of Interest) – Accumulation area if bearish momentum deepens .
- **Liquidity Targets**: Sell-Side Liquidity (SSL) at $3,510–$3,520 could attract price before reversal .

### 🚀 **2. Bullish Catalysts for Next Leg Up**
- **Institutional Demand**: BlackRock’s $4B ETH ETF holdings and corporate treasury adoption (e.g., SharpLink’s $1.3B ETH) reduce circulating supply, creating structural scarcity .
- **Stablecoin Volume Surge**: $7B daily stablecoin transactions on Ethereum burn fees, tightening supply .
- **Tokenization Growth**: Projected $16T in real-world assets (RWAs) tokenized on Ethereum by 2030 .

### 📅 **3. Mid-Term Timeline (Q3-Q4 2025)**
- **August–September**: Break above $4,000 likely if ETF inflows and staking yields hold strong .
- **October–November**: Elliott Wave 3 target of $4,500–$5,000 aligns with Wyckoff accumulation completion .

### 💡 **4. Strategic Recommendations**
- **Aggressive Traders**: Re-enter at $3,650 with stop-loss at $3,590, targeting $3,850–$3,900.
- **Long-Term Investors**: Hold through volatility; ETH’s shift to “digital bond” status (staking yields + institutional collateral) supports $4,500+ by year-end .

$ETH ### 💎 Conclusion
ETH’s TP at $3,800 signals strength, but confirmation above $3,770 is key for continuation. Use pullbacks to $3,600–$3,650 as accumulation opportunities.
The path to $4,500+ remains probable by Q4 2025, fueled by supply scarcity and RWA tokenization.
ترجمة
Will Ethereum Hit 🎯 3800 by end of July??? Based on the latest market data and technical indicators from July 2025, **Ethereum ($ETH) has a strong probability of reaching $3,800 by the end of July 2025**. Here's a concise analysis: ### 📈 Key Supporting Evidence: 1. **Current Price & Momentum**: - ETH is trading at **$3,762.07** as of July 27, 2025, needing only **~1% upside** to hit $3,800 . - The price surged **15% in 3 days**, breaking through the $3,300 resistance and establishing a 9-day bullish streak . 2. **Technical Breakout Signals**: - ETH is testing the **$3,750–$3,800 resistance zone**. A daily close above $3,750 could trigger a short squeeze, liquidating $331 million in shorts and accelerating gains . - Bullish patterns like the "ascending triangle" suggest imminent upside, with $3,800 as the next target . 3. **Institutional & ETF Catalysts**: - Spot Ethereum ETFs attracted **$2.18 billion in inflows** during July, draining exchanges of ETH supply and tightening liquidity . - BlackRock alone bought **$440 million in ETH**, signaling strong institutional conviction . 4. **Analyst Consensus**: - Changelly, CoinDCX, and Phemex project ETH to reach **$4,000–$4,100 by end-2025**, implying $3,800 is a near-term stepping stone . - Technical models from TradingView highlight **$3,800 as a critical resistance-turned-support** zone . ### 💎 Probability Assessment: | Scenario | Probability | Price Path | |----------|-------------|------------| | **$3,800+ by July 31** | 75% | Break above $3,750 → shorts liquidated → rapid surge to $3,800–$3,850 . | | **Consolidation <$3,800** | 20% | Profit-taking at $3,750 → retest of $3,600 support → delayed August breakout . | | **Bearish Reversal** | 5% | Fall below $3,400 if macro risks intensify . ### 🚀 ETH will likely **hit $3,800 before July 31** ### $ETH
Will Ethereum Hit 🎯 3800 by end of July???

Based on the latest market data and technical indicators from July 2025, **Ethereum ($ETH ) has a strong probability of reaching $3,800 by the end of July 2025**. Here's a concise analysis:

### 📈 Key Supporting Evidence:
1. **Current Price & Momentum**:
- ETH is trading at **$3,762.07** as of July 27, 2025, needing only **~1% upside** to hit $3,800 .
- The price surged **15% in 3 days**, breaking through the $3,300 resistance and establishing a 9-day bullish streak .

2. **Technical Breakout Signals**:
- ETH is testing the **$3,750–$3,800 resistance zone**. A daily close above $3,750 could trigger a short squeeze, liquidating $331 million in shorts and accelerating gains .
- Bullish patterns like the "ascending triangle" suggest imminent upside, with $3,800 as the next target .

3. **Institutional & ETF Catalysts**:
- Spot Ethereum ETFs attracted **$2.18 billion in inflows** during July, draining exchanges of ETH supply and tightening liquidity .
- BlackRock alone bought **$440 million in ETH**, signaling strong institutional conviction .

4. **Analyst Consensus**:
- Changelly, CoinDCX, and Phemex project ETH to reach **$4,000–$4,100 by end-2025**, implying $3,800 is a near-term stepping stone .
- Technical models from TradingView highlight **$3,800 as a critical resistance-turned-support** zone .

### 💎 Probability Assessment:
| Scenario | Probability | Price Path |
|----------|-------------|------------|
| **$3,800+ by July 31** | 75% | Break above $3,750 → shorts liquidated → rapid surge to $3,800–$3,850 . |
| **Consolidation <$3,800** | 20% | Profit-taking at $3,750 → retest of $3,600 support → delayed August breakout . |
| **Bearish Reversal** | 5% | Fall below $3,400 if macro risks intensify .

### 🚀 ETH will likely **hit $3,800 before July 31** ###

$ETH
ترجمة
HBAR landed on Robinhood ??? ### **Is $HBAR on Robinhood a big deal?** ✅ **Yes**—listing on Robinhood gives HBAR exposure to millions of retail investors, which can drive demand and liquidity. Past examples like DOGE and SHIB saw massive pumps after Robinhood listings.
HBAR landed on Robinhood ???
### **Is $HBAR on Robinhood a big deal?**
✅ **Yes**—listing on Robinhood gives HBAR exposure to millions of retail investors, which can drive demand and liquidity. Past examples like DOGE and SHIB saw massive pumps after Robinhood listings.
ترجمة
HBar suddenly fly 😲
HBar suddenly fly 😲
ترجمة
now $38.81 up 82.81%
now $38.81 up 82.81%
BlockchainBaller
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#BinanceHODLerBMT I’M LOCKED IN – $BMT TRADING BEGINS SOON❗

I’ve been watching the countdown, and we’re just hours away from the official $BMT /USDT trading launch! This could be the next big move, and I’m ready to see how it plays out. Who’s jumping in with me❓

The wait is almost over! $BMT /USDT is set to go live in just 2 hours, and early buyers could be in for massive gains! New listings often bring insane volatility and breakout opportunities don’t miss your chance to get in before the FOMO kicks in!

Early buyers win BIG will you be one of them? Load up before the rush, secure your position, and be ready for what could be the next major mover in the market❗

share you're thoughts about #BMTUSDT in comment box
ترجمة
prelaunch running at $0.3927
prelaunch running at $0.3927
BlockchainBaller
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#BinanceHODLerBMT I’M LOCKED IN – $BMT TRADING BEGINS SOON❗

I’ve been watching the countdown, and we’re just hours away from the official $BMT /USDT trading launch! This could be the next big move, and I’m ready to see how it plays out. Who’s jumping in with me❓

The wait is almost over! $BMT /USDT is set to go live in just 2 hours, and early buyers could be in for massive gains! New listings often bring insane volatility and breakout opportunities don’t miss your chance to get in before the FOMO kicks in!

Early buyers win BIG will you be one of them? Load up before the rush, secure your position, and be ready for what could be the next major mover in the market❗

share you're thoughts about #BMTUSDT in comment box
ترجمة
👍
👍
BlockchainBaller
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#DearBinanceFamily if market is not stable it doesn't means every single coin's future is destroyed or sh**t many of you just worried by reading comments like $XRP going down $0.5 0r $1 which is entirely wrong you can see from previous 15 or 16 days market is not stable but still price of #Xrp🔥🔥 not going down more than $2.1 .....#XRP Stuck Under $2.5 – The 20x Setup❓I’m loading up on XRP under $2.5 while it’s still flying under the radar! With analysts eyeing massive gains in 2025, will you seize the opportunity before the breakout takes off❓ $XRP /USDT Under Pressure – Will Support Hold or Break❓$XRP is trading at $2.2952, down 3.97%, after reaching a 24-hour high of $2.4109. The price is struggling to maintain support as sellers dominate the market.



Key Levels to Watch

Resistance: $2.3208 – A breakout above this level could push XRP toward $2.35 and $2.41.

Support: $2.2677 – If this level fails, expect a decline toward $2.25 and $2.20.

Trade Setup

Long Entry: If XRP holds $2.2677, targets are $2.32 and $2.35.

Short Entry: A break below $2.2677 could send XRP toward $2.25.

Stop Loss: Below support levels to minimize risk.

Market Insights

Bearish momentum remains strong as XRP struggles to recover.

Volume shows selling pressure, indicating caution for buyers.

Key resistance at $2.3208 must be cleared for a bullish reversal.

Can XRP regain momentum, or is a further drop incoming? Watch these levels closely.
ترجمة
Relax just hold it
Relax just hold it
BullishBanter
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$TST Hits All Targets – Another Bold Prediction Comes True

Big congratulations to everyone who followed the TST trade. Another solid prediction delivered, hitting all three targets in record time. The price surged to $0.0767, proving once again the accuracy of the call.

Trade Highlights

Entry call was spot-on, leading to a massive gain.

All three targets successfully reached, securing strong profits.

A perfect breakout move for those who trusted the setup.

Let me know in the comments how much profit you made on this trade. Those who missed it, stay tuned for the next opportunity. More solid predictions are coming.

Trade here on $TST
ترجمة
多天就明白了😂
多天就明白了😂
分析师舒琴
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泪目了!币圈转机来了,美联储即将救市!比特币将会在这一天暴涨!以太坊有毒?升级日期再次延期了!
币圈将在这天暴涨!3月20号美联储救市,议息会议将会有以下几个重要利好公布,每个都是逆转颓势的关键!
比特币链上数据出现惊人深坑,究竟发生了什么?
全球货币供给量M2数据出炉,现在是处于大印钞时代还是紧缩时代?一起跟着舒琴来看看吧。
首先就是全币圈最重要的一个转折点,3月20号的美联储议息会议也许会是行情彻底转向的信号。
因为这次会议会发布上次不曾有的未来利率点阵图,这个利率点阵图是每个季度会议才发布一次,是美联储对未来利率的指引和看法。

像上一次美联储发布这个点阵图还要追溯到去年12月,那时候点阵图特别鹰派,说2025年只会降息一到两次,然后2026年更是只有一次降息,导致币圈和美股从12月开始走熊,影响极大。
那现在呢,这个点阵图又要来了,而这次利好的概率则会非常大,因为川普的政策可能会导致今年的经济放缓,所以今年和明年的利率大概率会下调不少。
按照当前的利率预测来看,今年降息次数会从两次上升到3次甚至4次,这对市场来说会是一个极大的鼓舞。而且美股跌这么多,鲍威尔也大概率会安抚市场,甚至可能表示关税政策对通胀的影响只是一次性的,而不会持续增加。
另外美联储也大概率会发布停止QT缩表的计划,所以下周四的议息

会议还是非常令人期待的,潜在的利好包括 点阵图、关税的影响是暂时性的、停止QT的计划以及来自鲍师傅的父爱。
而且美联储现在也是有降息的动力,因为万幸的是,最近CPI和PPI都是双双低于预期的,这就是给了之前强硬的美联储一个台阶。不过鲍师傅本身依然是个迷,希望这次他能给本琴好好说话!

不过舒琴觉得币圈和美股更大的转机可能是来自于4月1号和4月2号的关税正式实施,届时关税利空出尽,政策的不确定性消失,那时候也许才是真正大反弹的开始。
那说完大环境咱们再来看下币圈的资金流向情况,图中是交易所的比特币存量图,大家可以明显的发现,最近一周往下插了一根针,表明巨鲸们在疯狂抄底,然后把币提出到他们的冷钱包,所以就造成了交易所的存量大幅下降,这个真的是非常重要的积极信号。

因为如果连大户也在抛售,那舒琴真的会怀疑人生,但是好在买盘依在,现在更多的是散户在割肉给聪明钱,这对我们判断后续行情至关重要。而从历史数据来看,交易所内的比特币存量下降会造成稀缺,币价往往在积累期后都会上涨不少,希望这次反弹也能早早启动。
另外短线持币人盈利比也降至历史极限,短线散户利润全部回吐并且还浮亏不少,这个其实在以往来看都是临近底部的征兆,市场一直在等一个转折点出现,这大概率就是20号的美联储会议了。

而说到反弹,咱先假设一个最极端的例子,假设大熊市真的来了,币圈像2022年那种大暴跌,但是就算是那样,那次以太坊从4800多跌到2000的时候,他也会来一个反弹的,反弹到了3600。

所以2022年那种又是加息又是俄乌战争的极端环境下,币圈都能死猫跳一下,那现在为什么不能呢?对吧。上帝在给你关闭一扇门的同时,一定会给你打开另一扇门,当他来临的时候,咱们再减仓,好不好。
我个人的经验是,不要割肉在极度恐慌中,因为过一段时间你回来再看看,你可能真的会后悔。
那短线来看舒琴是非常留意这几个支撑和阻力位的,到了都可以操作下,目前比特币来到了前高8万5这里,如果他突破又跌回,那就是一个假突破,你可以直接做空,往下空间很大,而如果他确认站稳,那代表着下跌趋势的结束,我觉得9万和9万5会是接下里的目标。

所以目前的8万5非常关键,如果你真打算在这里做空,那你必须要确定他重新又跌回阻力区下方才行,这种才是诱多假突破。
而做多的话咱们也是差不多这样,咱们这几天在8万1做多了然后83500止盈,来来回回做多了两三次,第二止盈位85000也到了,真的挺爽的。这些操作和点位呢本琴每天实时更新,感兴趣的宝宝可以来看看哦。

好,言归正传。以太坊升级已经确认延期了,现在升级将会推迟至4月底。首先他们将会在3月17号推出最终测试网Hooli,然后在26号进行测试,如果一切顺利那升级将会在30天后启动,所以以上这几个关键日期大家可以留意下。
我个人对延期还是ok的,毕竟如果真的按照原定4月8号升级的话,那效果真的会不太行。而川普关税的利空在4月2号结束,届时对币圈反弹和炒作利好都有非常大的帮助。

另外大家想过一个问题没有,比特币本质上的涨跌究竟是根据什么来的?欸,那就是根据这个指标了:全球M2货币供给量。
比特币作为一个风险偏好资产,世界钞票印多的时候,他的表现往往会非常惊人。而现在全球主流国家的M2再破历史前高,来到了创纪录的110万亿大关,所以比特币是具备突破新高的温床的。

而现在川普关税引发了短时的恐慌,使得比特币暴跌30%,我觉得这是一个背离。
当然不止是我,像什么Spoofy或者海耶斯这些百亿巨鲸都是在低价买入,所以咱们不要太过惊慌,币圈上涨的核心基本面并没有出现问题,现在下跌啊更多是受到了消息面的影响,这点你还是要分清的。
那这些巨鲸要是跑了的话舒琴会第一时间通知大家,所以请记得关注我哦~
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