Yesterday's strategy was relatively conservative, missing the two high short positions mentioned in the article, BTC61100 and ETH1645. Looking back, it seems that they just touched and then came down. For a whole month, I have been precise in entering and exiting positions. Suddenly having to hold orders is still a bit uncomfortable for me, and I've become more cautious. Since I said to abandon these two levels, I won't consider them today. I will patiently wait for a rebound at a higher position to continue shorting:

First, let's discuss the strategy:
BTC: Referencing resistance around 62400-63600 for rebounds, with target support levels around 60500-58500-57500
ETH: Referencing resistance around 1678-1720 for rebounds, with target support levels around 1610-1550-1510-1380
Operational Logic: The non-farm data has been brought forward to tonight, and this data may affect the Fed's stance. Coupled with yesterday's dovish remarks from Waller, my strategy today remains conservative; I would rather miss out than take risks! I hope everyone can understand!

On the daily level, there is pressure near the 21-period moving average and the middle band of the Bollinger at around 62200. The lower band continues to open downwards. With yesterday's price stretch, the KDJ shows a golden cross diverging upwards, while the MACD shows the energy bars breaking the zero axis, and the fast and slow lines also form a golden cross upwards. The small indicators are slightly retracting with the price and begin to show a death cross downwards, indicating a certain need for retraction. Still, as I said, K-line and indicators are only results of price, not causes of price! In combination with recent fundamentals and the continuous large outflows from major institutions daily and the non-farm data announcement tonight, I suggest maintaining a solid short position at high levels today!

$BTC
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