#US Contract strategy is executing a bearish approach

From a structural perspective, the US has repeatedly faced resistance near the previous highs, and during the rebound, trading volume has consistently decreased, showing a clear divergence between price and volume, indicating a weakening short-term momentum. The current trend aligns more with the characteristics of the end of a rebound rather than the initiation of a new trend.

Combining multi-period structural analysis, the effectiveness of the upper pressure zone is relatively high, and the risk-reward ratio leans towards the bearish side. Based on this logic, a US short strategy has been executed after confirming signals with followers.

This strategy prioritizes defense principles:

Positions are strictly controlled

Stop-loss is prioritized; exit immediately if logic fails

No subjective preference for a single direction

Trading is not about predicting direction but participating in probability within advantageous zones. If the direction is correct, follow patiently; if the judgment is wrong, exit promptly to ensure long-term stability.

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