Current price is oscillating in the 71k zone (below the pivot point of 72,140), showing short-term weakness. If Fed policy uncertainty or risk asset pullbacks continue, prioritize monitoring whether the 70,500→69,378 support holds——if it holds, go long with targets of 72k–74k. If volume breaks through 74,450, turn bullish with the next target pointing directly to 75k–76k. Stop loss recommendations: place long stop loss below 69,000, and short stop loss above 74,800.