$ETH First of all, congratulations to my friends who followed me yesterday, you have made good profits, follow me for unexpected gains.
The situation between the U.S. and Iran has eased, risk assets have rebounded, and institutions have increased their holdings (with a daily increase of more than 65,000 units) of ETH ETF net inflow, Layer2 ecosystem is active, TVL has rebounded, the Federal Reserve's high interest rates are suppressing risk assets, and there is significant selling pressure above due to previous losses.
Technical Analysis:
The 4-hour Bollinger Bands are narrowing, and the price is fluctuating strongly near the middle band. The daily line is stable above the short-term moving average, and the RSI is at 55 indicating bullish dominance, but momentum is average. Overall, the large range is fluctuating between 2000 - 2400, with a short-term bias towards bullish.
Today's Operating Strategy (follow me for timely updates)
Long position near 2115 with light volume, stop loss below 2080, take profit at 2180-2200.
First touch near 2200, open a light short position, stop loss above 2230, take profit at 2120-2100.
Follow up on breakouts
If it breaks 2200 with volume and retraces to 2180, follow up with long positions, aiming for 2250.
If it breaks below 2100 and rebounds to 2130, try a light short position, aiming for around 2050 - 2030.
(The above operational suggestions are for reference only, investment has risks, please be cautious when entering the market.) #特朗普缓和局势 #币安人生 #黄金创43年来最大单周跌幅 #特朗普48小时最后通牒 #CZ称比特币是硬资产
