#加密市场回调

The current mainstream cryptocurrencies in the market (such as BTC, ETH, etc.) are experiencing a price decline, a phenomenon that may be driven by various factors including tightening macroeconomic policies, short-term profit-taking, or fluctuations in market sentiment. Historically, corrections in the crypto market are often accompanied by high volatility, necessitating a distinction between short-term technical adjustments and long-term trend reversals. For instance, some tokens (such as ONT, DEXE, etc.) that have recently experienced significant declines may present oversold rebound opportunities, but this should be evaluated in conjunction with the project's fundamentals.

Strategic layout suggestions:

Incremental accumulation: If you are optimistic about long-term value, you can set tiered purchase points to avoid short-term volatility risks; #Allindoge

Monitor on-chain data: Indicators such as net outflows from exchanges and large position changes can help assess the direction of major capital flows;

Control risk exposure: Avoid excessive allocation to a single asset, especially during periods of tightening market liquidity.