Buy on Breakout:If the price stabilizes above 2,727 USD, you can enter with a light position, target 2,750 USD. Sell on Breakdown:If the price falls below 2,666 USD, look short in the short term, target 2,600 USD.
Risk Control: Long Position Stop Loss:Below 2,700 USD Short Position Stop Loss:Above 2,700 USD
If the price breaks above 110,300: Consider a light long position, target 111,500-112,000. Set stop loss below 109,800. If the price breaks below 109,200: Short-term bearish outlook, target 108,000-107,500. Set stop loss above 109,500.
If the price oscillates between 109,200-110,300: Temporarily observe and wait for a breakout direction.
$ETH Long Strategy Entry: When the price effectively breaks above the recent consolidation range of 2,511, consider going long. Stop Loss: Set near the relative low point of 2,480 within the volatility range. Short Strategy Entry: If the price effectively breaks below the recent consolidation range lower bound of 2,497, you may attempt to go short. Stop Loss: Set near the relative high point of 2,530 within the volatility range to prevent losses from trend misjudgment.
$BTC Long Strategy Entry: When the price effectively breaks above 105,966, a long position can be attempted. Stop Loss: Set below the relative low point within the volatility range, around 105,000. Short Strategy Entry: If the price effectively breaks below 105,513, a short position can be considered. Stop Loss: Set near the relative high point within the volatility range, around 106,000, to avoid larger losses from misjudgment.
1. Short-term (4-hour level) - Long: If it holds above 105,400, target 105,900, stop loss 104,800. - Short: If it rebounds to 106,000 and meets resistance, consider shorting, target 105,000, stop loss 106,300.
2. Medium-term (daily level) - Break above 106,000: Confirm continuation of the trend, target 107,000. - Break below 104,500: Possible retracement to 103,500, consider waiting or shorting with the trend.
1. Short-term (4-hour level) - Long: If the price stabilizes at 2,515, you may enter with a light position, target 2,533, stop loss 2,490. - Short: If it rebounds to 2,533-2,544 and meets resistance, you can try a short position, target 2,490, stop loss 2,560.
2. Medium-term (daily level) - Break above 2,544: You can follow up with a long position, target 2,570 (strong resistance). - Break below 2,484: It may continue to drop to 2,430, observe or short in the direction of the trend.
$BTC Today's Trading Strategy 1. Bullish Signal: If the price stabilizes at 104,788, consider taking a small long position with a target of 105,300-106,000, and set a stop loss below 104,200. 2. Bearish Signal: If the price drops below 103,871 and the RSI falls below 50, consider shorting with a target of 103,000-102,500, and set a stop loss above 105,000. Key Reminder: Bitcoin is highly volatile, pay attention to position management, and avoid chasing highs and cutting losses.
1. Bullish Conditions: If the price stabilizes above 2,527, consider taking a small long position with a target of 2,550-2,600, and set the stop loss below 2,490.
2. Bearish Conditions: If the price drops below 2,458 and the RSI crosses below 50, consider taking a short position with a target of 2,430-2,400, and set the stop loss above 2,495.
Key Reminder: The intraday volatility is small, be cautious of false breakouts, and strictly control risk with stop losses.
Trading is lonely, and it must be lonely. You have to make decisions yourself, execute them yourself, and bear the consequences yourself, with no complaints, because no one can bear the consequences for you. Success is your own improvement, failure is your own mistake. You cannot share it with others, nor should you, because it will confuse your mindset. You will want to prove yourself to others, but that is not important, because in the end, you are still alone.
$ETH Today's Operating Strategy Key Levels: Support 2,590, Resistance 2,635
Operation: Add Position: If it breaks through 2,635 effectively, a small position can be added. Stop Loss: If it drops below 2,590 (confirmed by closing), exit and observe. Note: RSI is close to the overbought area, avoid chasing highs, and be cautious of pullback risks.
Strategy: Go Long:If it breaks 105,533 with increased volume, enter with a light position, target the previous high 105,240 Stop Loss:If it falls below 104,651, exit short-term. Summary:Do not chase after the rise below 105,533, if it breaks, follow the trend and set a stop loss at the break point.
Buying Opportunity: If the price pulls back to 2,600-2,610, consider a small long position, target 2,648-2,700, stop loss at 2,550. Selling Opportunity: If the price rebounds to 2,648-2,650 and meets resistance, consider a short position, target 2,600, stop loss at 2,680.
Breakthrough Strategy (Trend Following)
Break above 2,648: Confirms short-term strength, may chase long positions, target 2,750, stop loss at 2,600. Break below 2,559: May weaken, target for short positions is 2,500, stop loss at 2,600.
Risk Management Position Control: Each trade should not exceed 2%-5% of total capital to avoid excessive leverage.
$BTC Today's Trading Strategy Bearish Outlook: Currently 105,422 is below EMA 9, RSI has pulled back, and short-term momentum is weak.
Short Selling Opportunity: If it rebounds and encounters resistance around 105,919, go short with a light position, stop loss above 106,000. Long Signal: If it breaks through 105,919 with volume and holds, go long with a light position, stop loss below 105,200. Note: Strict stop loss
Buying Opportunity: If the price pulls back to 2,600-2,610, you can go long with a small position, target 2,648-2,700, stop loss 2,550. Selling Opportunity: If the price rebounds to 2,648-2,650 and meets resistance, you can short, target 2,600, stop loss 2,680.
Breakout Strategy (Trend Following)
Breaking above 2,648: Confirms short-term strength, you can chase long, target 2,750, stop loss 2,600. Breaking below 2,559: May turn weak, short target 2,500, stop loss 2,600.
Risk Management Position Control: Each trade should not exceed 2%-5% of total capital to avoid excessive leverage.
Buying Opportunity: If the price retraces to the support area of 104,683-105,000, a small long position can be taken, targeting 106,329, with a stop loss at 103,800. Selling Opportunity: If the price rebounds to 107,191 or higher and meets resistance, consider a short position, targeting 105,000, with a stop loss at 108,000.
Breakout Strategy (Trend Following):
Breaking above 107,191: Confirms short-term strength, can follow up with long positions, targeting 112,000, with a stop loss at 105,500. Breaking below 104,683: May continue the downtrend, target for short positions is 100,000, with a stop loss at 106,000.
Risk Management Position Control: Single trade should not exceed 2%-5% of total capital
$ETH Today's Trading Strategy 1. Overbought Pullback Risk Management (Conservative Strategy) Partial Take Profit: Holders can reduce positions by 30%-50% to lock in profits. Stop Loss Protection: If the price falls below 2,617, stop loss on remaining positions. Note: If the pullback has low volume and does not break 2,672, it can be considered a healthy adjustment.
2. Breakout Aggressive Buying Strategy (Aggressive Strategy) Trigger Condition: Price breaks previous high of 2,789 with increased volume. Lightly chase the buy, target 2,800-2,850 Stop Loss: 2,750 Risk Warning: Must be accompanied by increased trading volume to avoid false breakouts.
3. Opportunity for Buying on Dips Ideal Buy Point: Price pulls back to 2,617 Build positions in batches, stop loss at 2,600 Target rebound to 2,730-2,789
Position Management: Single trade position ≤5%, avoid heavy betting
$BTC Today's Operating Strategy 1. Breakout Strategy (Bullish Opportunity) Trigger Condition: Price breaks above 108,020 with volume Action: Enter with a light position, target previous high of 108,507; if broken, can look towards 110,000. Stop Loss: 107,800, or if it falls below 107,500 2. Pullback Strategy (Wait and See/Short) Trigger Condition: Falls below previous support of 107,001 Action: If a low-volume pullback: Observe the support zone of 107,500-107,000; if stable, attempt a rebound. If a high-volume drop below 107,000: Pause long positions, wait for lower support at 105,000 Stop Loss: Short position stop loss at 108,500
Risk Control: Single trade position ≤ 5%, avoid chasing highs and cutting losses.
1. Conservative Strategy (Range Trading) Long Conditions: Price pulls back to the $2,640-$2,650 range and shows a lower shadow. Entry: Light long position, target $2,663, can look for $2,700 after a breakout. Stop Loss: $2,635. Short Conditions: Price rebounds to the $2,663-$2,670 range and stagnates. Entry: Light short position, target $2,650-$2,640. Stop Loss: $2,675.
2. Breakout Strategy (Trend Following) Upside Breakout: If it breaks above $2,663 with volume and holds, you can enter a long position, target $2,700→$2,750. Stop Loss: $2,650. Downside Breakout: If it breaks below $2,640 with volume, it may accelerate the downward trend, you can short to $2,600. Stop Loss: $2,650.
3. Wait-and-See Strategy If the price continues to fluctuate narrowly between $2,640-$2,663 (volatility < 1%), it's advisable to wait and see for clearer signals.
Stop Loss Discipline: Single trade loss should not exceed 2% of the principal to avoid holding onto losing positions.
Trigger Condition: Price stabilizes above 109,300 (confirmed by 15-minute K-line closing). Operation: Lightly chase long positions, target 110,000, stop loss 108,900. Risk Reminder: If the trading volume is insufficient, it may be a false breakthrough, strict stop loss is required.
2️⃣ Pullback Long Strategy
Trigger Condition: Price stabilizes in the 108,750-108,800 area (such as a long lower shadow or reduced volume). Operation: Gradually build long positions, target 109,300, stop loss 108,650.
3️⃣ Oscillation Range Strategy
If the price continues to fluctuate between 108,800-109,300:
Sell high and buy low (buy near support, sell near resistance), stop loss range outside 50-100 points. Avoid heavy positions before a breakout.
4️⃣ Emergency Risk Control
If the price falls below 108,500: Short-term trend turns bearish, need to stop loss on long positions or reverse to short, target 108,000. Position Management: Single trade should not exceed 5% of principal, total position should be controlled within 50%. Strict Discipline: Refuse to hold positions, avoid emotional trading.
$ETH Today's Operation Strategy 1. Short-term Trading (Intraday) Bullish Opportunity: If the price breaks above 2,574, you can enter with a light position, target 2,600-2,620. Stop Loss: Below 2,512 or the psychological level of 2,500. Bearish Opportunity: If the price rebounds to 2,570-2,580 and faces resistance, you can consider shorting, target 2,520-2,500. Stop Loss: If it breaks above 2,580 with increased volume, set a stop loss.
2. Swing Trading (1-3 Days) Breakout Direction Confirmation: Bullish Breakout Signal: If the closing price stabilizes above 2,580 with increased volume, it can be considered a breakout from the consolidation range, target 2,700. Downward Break Risk: If it falls below 2,500 with increased trading volume, it may test 2,400. 3. Risk Control Position Management: No single trade should exceed 5% of total funds; avoid heavy positions in volatile markets.