Trigger Signal: ① The price stabilizes at 2,433 (the original lower Bollinger band) and forms a 15-minute bullish engulfing pattern. ② RSI(6) breaks through 30 + J value rebounds above 15
Action:
Try to go long with a light position (≤2% of the position) in the 2,420-2,433 range.
Target 2,462 (EMA5, +1.8%) → 2,530 (EMA15, +4.6%)
Stop Loss: 2,398 (below the previous low by 0.8%, loss ≈ 1.1%)
▶ Trend Bear Strengthening Strategy
Breakout Short: If the price rebounds and is blocked near 2,433, open a short target at 2,380 (leverage ratio ≤ 3×)
Shorting after breaking support: Short after a significant drop below 2,400, target 2,350 (-2.8%), stop loss 2,415
Three Major Risk Warnings
Bull vs Bear Battle: MACD not golden cross (DIF turning upwards) + volume < 5,000 before, rebound difficult to sustain
Liquidity risk: During the Asian session (06:10), false breakouts are likely to occur, while in the US session (after 21:00), volatility surges by 200%.
Leverage Liquidation Risk:
If the price drops to 2,380, approximately $120 million in long positions will be liquidated (refer to on-chain data).
Contract suggestion ≤3x leverage, reserve 50% margin to prevent spike
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#ETH Bull vs Bear Battle Strategy
▶ Oversold rebound battle (for short-term experts only)
Trigger Signal:
① The price stabilizes at 2,433 (the original lower Bollinger band) and forms a 15-minute bullish engulfing pattern.
② RSI(6) breaks through 30 + J value rebounds above 15
Action:
Try to go long with a light position (≤2% of the position) in the 2,420-2,433 range.
Target 2,462 (EMA5, +1.8%) → 2,530 (EMA15, +4.6%)
Stop Loss: 2,398 (below the previous low by 0.8%, loss ≈ 1.1%)
▶ Trend Bear Strengthening Strategy
Breakout Short: If the price rebounds and is blocked near 2,433, open a short target at 2,380 (leverage ratio ≤ 3×)
Shorting after breaking support: Short after a significant drop below 2,400, target 2,350 (-2.8%), stop loss 2,415
Three Major Risk Warnings
Bull vs Bear Battle: MACD not golden cross (DIF turning upwards) + volume < 5,000 before, rebound difficult to sustain
Liquidity risk: During the Asian session (06:10), false breakouts are likely to occur, while in the US session (after 21:00), volatility surges by 200%.
Leverage Liquidation Risk:
If the price drops to 2,380, approximately $120 million in long positions will be liquidated (refer to on-chain data).
Contract suggestion ≤3x leverage, reserve 50% margin to prevent spike
If you find it helpful, please like, comment, and follow. I will continue to update valuable information💰💰💰