$ETHFI #ETHFI Current price: 0.5824. This time I’m not only looking at the rise/fall percentage—I’ve overlaid the 1-hour structure with the estimated liquidation distribution to observe which side is more likely to seek liquidity next.
Current 1-hour change: +0.12%; 24-hour change: -2.82%. These two cycles haven’t formed a sufficiently clear directional alignment. In a range market, the tolerance for chasing and selling is lower. It’s more suitable to use the upper boundary for direction confirmation and the lower boundary for continuation/hold confirmation, with the midline only serving as the line between strength and weakness.
In the estimated liquidation distribution, the dense long stop-loss area on top is concentrated around 0.593118, while the dense short stop-loss area below is concentrated around 0.552942. The bright zones indicate where potential liquidity is more concentrated, but they do not directly equal reversal points. What matters is the speed after price touches it, how long it stays there, and whether price can reclaim—these reflect how capital actually responds.
In terms of price structure, 0.5784 is the intraday midline. The usual resistance and support levels are 0.6059 and 0.5509, respectively. Use the heatmap price levels to watch for potential liquidity, and use key K-line levels to confirm structure. When the two overlap, the reference value is higher; when they don’t, rely on the price’s actual reaction.
For execution, set clear conditions: after a breakout above 0.6059, you need confirmation—not just chasing after seeing a momentary surge. After a dip toward 0.5509, you need to see whether it can be quickly reclaimed—not to buy just because it falls. If the middle range doesn’t offer enough odds, waiting itself is also part of the strategy.
Risk control comes before any conclusions: execute only when conditions appear, and if the price becomes invalid, reassess immediately. The larger the volatility, the more restrained your position size should be. The above is a scenario analysis based on current 1-hour and 24-hour data and does not constitute any profit guarantee.
The real disagreement in this market is whether it continues or returns to the range. Will you wait for a confirmed breakout, or wait for a support retest? Feel free to share the price you care about most.
#USIranReportedlyReachCeasefireConsensus
Current 1-hour change: +0.12%; 24-hour change: -2.82%. These two cycles haven’t formed a sufficiently clear directional alignment. In a range market, the tolerance for chasing and selling is lower. It’s more suitable to use the upper boundary for direction confirmation and the lower boundary for continuation/hold confirmation, with the midline only serving as the line between strength and weakness.
In the estimated liquidation distribution, the dense long stop-loss area on top is concentrated around 0.593118, while the dense short stop-loss area below is concentrated around 0.552942. The bright zones indicate where potential liquidity is more concentrated, but they do not directly equal reversal points. What matters is the speed after price touches it, how long it stays there, and whether price can reclaim—these reflect how capital actually responds.
In terms of price structure, 0.5784 is the intraday midline. The usual resistance and support levels are 0.6059 and 0.5509, respectively. Use the heatmap price levels to watch for potential liquidity, and use key K-line levels to confirm structure. When the two overlap, the reference value is higher; when they don’t, rely on the price’s actual reaction.
For execution, set clear conditions: after a breakout above 0.6059, you need confirmation—not just chasing after seeing a momentary surge. After a dip toward 0.5509, you need to see whether it can be quickly reclaimed—not to buy just because it falls. If the middle range doesn’t offer enough odds, waiting itself is also part of the strategy.
Risk control comes before any conclusions: execute only when conditions appear, and if the price becomes invalid, reassess immediately. The larger the volatility, the more restrained your position size should be. The above is a scenario analysis based on current 1-hour and 24-hour data and does not constitute any profit guarantee.
The real disagreement in this market is whether it continues or returns to the range. Will you wait for a confirmed breakout, or wait for a support retest? Feel free to share the price you care about most.
#USIranReportedlyReachCeasefireConsensus
