Alright, folks! Qiu Ge is monitoring! ETH is playing "tightrope walking" at 2551, pressure above, support below, can it hold and push up?


Technical aspect: 2551 is the life-and-death line!

Current battlefield: Price pinned at 2551.10! Bulls and bears clash, trading dense at 2551.10-2551.11.

Market signal:

Bullish moat: Dense buy orders below (2551.10-2551.13), holding the line.

Bearish pressure stone: Accumulated sell orders above (2551.14-2551.18), breaking requires real money.

Commission ratio +0.44%: Bulls slightly dominant, but the advantage is weak.

Key position:

Key to rising = 2648.73! Breakthrough with volume and stand firm, target 2700+.

Downward bomb = 2473.97! Volume breaks below 2551, fears sliding to 2473; if broken, look at 2400.

Conclusion: The 2551 area is in a stalemate! Watch if it can break through selling pressure or pierce through support.

News aspect: Three forces wrestle!

Positive wind (long-term):

BlackRock and other giants target crypto asset management; ETH is a core asset.

ETH spot ETF expectations (though late, it will come, nuclear-level).

L2 ecosystem active, demand steady.

Negative wind (short-term):

Federal Reserve unlikely to cut rates in June/July (Middle East + inflation), high rates suppress.

SEC regulatory sword hanging overhead.

If BTC falls below 104,000, it will inevitably drag down ETH.

Neutral wind: Ripple case final ruling may briefly affect sentiment.

Conclusion: Long-term institutional tailwind vs short-term macro headwind! Direction needs clear signals.

Qiu Ge's strategy: Key signals determine actions!

Strategy one (upward attack):

Conditions: BTC stable at 104,000 + macro easing + ETH breaks above 2551 and stands firm.

Signal: Price breaks above 2560+ with volume, commission ratio expands.

Action: Small position long (stop loss below 2540), add position if it stands above 2648.73.

Strategy two (pullback):

Conditions: BTC falls below 104,000 + macro deterioration + ETH fails to attack with reduced volume.

Signal: Effectively breaks below 2551 (especially quickly breaking 2540), commission ratio turns negative.

Action: Reduce positions/stop loss! Wait for a stop-loss signal near 2473.97 to buy low (strict stop loss).

Qiu Ge's advice:

2551 is the watershed; don’t gamble hard when the direction is unclear!

Position control is key! Single coin ≤ 20%, be cautious with leverage!

Keep an eye on BTC and US stocks! The big pie determines direction, NASDAQ sets mood.

Where is the effective signal, where to charge, what are the conditions? Follow Qiu Ge, let's get on board together!

#加密市场回调

$ETH