1. Entry Conditions: Rebound to the 88000-88200 range, accompanied by a pressure K-line pattern 2. Stop-Loss Level: 89000 (Breakthrough of the recent resistance upper boundary, invalidating the short logic) 3. Take-Profit Targets: First target at 86800, second target at 85600, can take profits in batches and exit
ETH Short Strategy
1. Entry Conditions: Rebound to the 2985-2995 range, accompanied by a pressure K-line pattern 2. Stop-Loss Level: 3020 (Breakthrough of the resistance zone upper boundary, invalidating the short logic) 3. Take-Profit Targets: First target at 2940, second target at 2900, can take profits in batches and exit
Strategy Core Reminders
1. If the price directly breaks below the support zone without a rebound, abandon the short entry to avoid chasing the short risk 2. If trading volume suddenly spikes or unexpected news surfaces, immediately pause operations and reassess the market 3. Control position size to 10%-15% of total funds, strictly implement stop-loss, and avoid over-committing to a single asset
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BTC/ETH Spot Short Strategy
BTC Short Strategy
1. Entry Conditions: Rebound to the 88000-88200 range, accompanied by a pressure K-line pattern
2. Stop-Loss Level: 89000 (Breakthrough of the recent resistance upper boundary, invalidating the short logic)
3. Take-Profit Targets: First target at 86800, second target at 85600, can take profits in batches and exit
ETH Short Strategy
1. Entry Conditions: Rebound to the 2985-2995 range, accompanied by a pressure K-line pattern
2. Stop-Loss Level: 3020 (Breakthrough of the resistance zone upper boundary, invalidating the short logic)
3. Take-Profit Targets: First target at 2940, second target at 2900, can take profits in batches and exit
Strategy Core Reminders
1. If the price directly breaks below the support zone without a rebound, abandon the short entry to avoid chasing the short risk
2. If trading volume suddenly spikes or unexpected news surfaces, immediately pause operations and reassess the market
3. Control position size to 10%-15% of total funds, strictly implement stop-loss, and avoid over-committing to a single asset