$ETH ⚔️ Today's Strategy Range
Bearish/Bullish Ratio 0.93, Maximum Pain Point $2200 (well above the current price). Sellers have potential upward momentum. The liquidation map shows that a drop below $1,977 could trigger over $700 million in long liquidations, while a rise above $2,184 would trigger $470 million in short liquidations.
• 🟢 Pullback Long: $2,060-$2,080 (4-hour MA30 + previous low support), enter on a 15-minute bullish engulfing pattern, target $2,120-$2,150, stop loss below $2,040.
• 🔴 High Short: $2,120-$2,140 (options pain point resistance + 4-hour high), enter on a bearish signal after being blocked, target $2,080-$2,060, stop loss above $2,160.
📌 Risk Control: Options expiration date is highly volatile, wait for signal confirmation before taking action. If it stabilizes above $2,150, the short position is invalid; if it drops below $2,040, exit the long position.
The above is real-time technical analysis and does not constitute investment advice. Contracts are risky, use stop losses.
Bearish/Bullish Ratio 0.93, Maximum Pain Point $2200 (well above the current price). Sellers have potential upward momentum. The liquidation map shows that a drop below $1,977 could trigger over $700 million in long liquidations, while a rise above $2,184 would trigger $470 million in short liquidations.
• 🟢 Pullback Long: $2,060-$2,080 (4-hour MA30 + previous low support), enter on a 15-minute bullish engulfing pattern, target $2,120-$2,150, stop loss below $2,040.
• 🔴 High Short: $2,120-$2,140 (options pain point resistance + 4-hour high), enter on a bearish signal after being blocked, target $2,080-$2,060, stop loss above $2,160.
📌 Risk Control: Options expiration date is highly volatile, wait for signal confirmation before taking action. If it stabilizes above $2,150, the short position is invalid; if it drops below $2,040, exit the long position.
The above is real-time technical analysis and does not constitute investment advice. Contracts are risky, use stop losses.