24 hours of market liquidation near 1.2 billion USD, about 190,000 people liquidated. Last night BTC dipped around 80400, after the concentration of long liquidations, the decline narrowed, and the short-term leverage sentiment cooled.
The US spot BTC ETF has seen net outflows for two consecutive days, institutions are on the sidelines in the short term, macro geopolitical disturbances are suppressing risk assets, and high US Treasury yields are dragging down the rebound of coin prices.
Regarding SOL: The US stock SOL ETF's scale has crossed 1 billion USD, with expectations for long-term institutional allocation still in place, but the short-term market is weak, following the market’s fluctuations; ETH is focused on the Petras upgrade expectations, with insufficient volume leading to weak rebounds in the short term.
【Market Core View】Currently, this is a high-level consolidation washout, not a one-sided bear market. The large-scale upward structure has not been broken, and in the short term, there is a resonance correction from ETF fund outflows + leverage liquidations. Unless it breaks out with strong volume above the pressure levels, prioritize the range strategy and avoid chasing long positions; consider reducing positions if it breaks key support, do not hold stubbornly.
Key Price Levels (USD)
✅ BTC current price ≈ 82200 🔴 Pressure: 83300 (first short-term resistance) | 85000 (strong resistance, only strengthens if it stands firm) Support: 80400 (day low, first defense) | 77000 (medium-term strong support, breaking will weaken the trend)
✅ ETH current price ≈ 2420 🔴 Pressure: 2550 (short-term pressure) | 2650 (strong pressure) Support: 2300 (first support) | 2180 (medium-term defense level)
✅ SOL current price ≈ 106 🔴 Pressure: 114 (short-term pressure) | 122 (strong pressure) Support: 98 (first support) | 90 (medium-term strong support)
💡 Trading Idea: Short-term range consolidation, buy lightly near support levels, reduce positions when touching pressure; once it breaks support with volume, stop bottom fishing, wait for a second stabilization; hold spot positions patiently, strictly control contract positions, high leverage is easily wiped out by volatility.

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