Provide strategy in advance; execute trades independently when not live streaming.


Around 2156 is the past 24h high liquidity trading dense zone (stop-loss/order cluster overlap). Above 2166-2197 is dense short covering + long profit-taking, below 2145-2120 is long stop-loss + whale cost zone.
• Strategy before 12:00 line switch:
• Predicted false breakout/false breakdown probability extremely high: 5-10 minutes before 12:00 may see luring rally/dump wicks (sweeping retail stop-losses), closing price very likely "pinned" within 2150-2160 box, avoiding one-sided volume surge.
• Long/short dividing line (pivot): 2145-2155 (MA7 + Bollinger midline + psychological round number). This is the most critical "life or death line" for 12 o'clock line switch——standing above = bulls win, breaking below = bears win.
• Core resistance: 2166 (1h Bollinger upper band) → 2197 (4h recent high + selling pressure zone).
• Core support: 2120-2102 (near-term low) → 2021.50 (major double bottom + whale concentrated cost).

Intraday futures short-term operation strategy before and after 12:00 line switch (single position ≤ 2% of total capital)
1. Low long (main strategy, low absorption before line switch):
• Entry: retest 2140-2120 + KDJ oversold + volume surge (or oil price minor pullback).
• Target: 2155 (take half first) → 2166.
• Stop-loss: 2115 (protection before breakdown).
• MM logic: this is the whale cost zone we defend, easily receives protective buying.

2. High short (auxiliary, sell on rebound):
• Entry: rebound to 2166-2190 rejected + MACD death cross signal.
• Target: 2150 → 2120.
• Stop-loss: 2200 (if breaks, reverse position).
• MM logic: upper zone is heavy concentrated ask selling pressure zone, will actively provide liquidity.

3. Most stable strategy (observe before line switch + box trading):
• Don't chase orders before 12:00, wait for closing K-line confirmation.
• If close within 2150-2160 box → directly high sell low buy (2120-2190 range, 1% stop-loss).
• After line switch, prioritize 15min confirmation, avoid false breakouts.

Risk warning: if geopolitical headlines (Iran/oil prices) or large ETF outflow data suddenly break before 12:00, liquidity will instantly dry up, volatility may jump from 4% to 8%. Strict stop-loss, today's core only focuses on 2145-2155 dividing line closing situation——this is the "switch" MM uses to decide next hour inventory direction. #创作者冲榜 $ETH
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