As of December 24, 13:30, the ETH daily chart shows a bearish-dominated oscillating pattern, with a price of approximately 2960 USD, overall under pressure from short-term moving averages, and rebound momentum is insufficient.



Daily chart key points

• Price and moving averages: Price has fallen below the 5/10 day moving averages, and the moving averages are in a short positions arrangement; strong support at 2880-2900, strong resistance at 3080 (daily chart mid-track + Fibonacci), psychological resistance at 3000.

• Indicator Status: RSI 45.2 (neutral to weak); MACD main line and signal line are below the zero axis, green bars are shrinking but the short positions structure has not changed; Bollinger Bands are narrowing, price is operating below the middle track, rebound is weak.

• K-line and volume: The last 3 days have closed with a bearish candle, continuing with a small bearish candle today. The volume has shrunk (low liquidity due to the Christmas holiday), and there is no clear bottom reversal signal.

• Key level: Only a valid breakout above 3090 may reverse the daily chart short positions; a breakdown below 2880 will open further downward space.

Conclusion and Response

• Conclusion: The daily chart short positions structure remains unchanged, and in the short term, it is viewed as fluctuating bearish, with a focus on high shorts and low longs, strictly controlling positions and stop losses.

• Response: Rebound meets resistance at 3000-3080, short positions in batches, stop loss above 3090; if it stabilizes when pulling back to 2880-2900, can take light long positions, stop loss below 2880.

Do you need me to condense the key signals on the daily chart (moving averages, MACD, RSI, support and resistance) into a checklist of 3 entry/stop-loss/take-profit actions for you to reference directly? As of December 24th, 13:30, the ETH daily chart shows a bearish-dominated weak oscillation pattern, with a price of about 2960 USD, overall pressured by short-term moving averages, and rebound momentum is insufficient.

Daily chart key points

• Price and Moving Averages: The price has fallen below the 5/10 day moving averages, which are in a short positions arrangement; strong support at 2880-2900, strong resistance at 3080 (daily chart mid-track + Fibonacci), psychological resistance at 3000.

• Indicator Status: RSI 45.2 (neutral to weak); MACD main line and signal line below the zero axis, green bars shrinking but short positions structure unchanged; Bollinger Bands tightening, price operating below the mid-line, rebound is weak.

• Candlestick and volume: The past 3 days closed with bearish candles, today continues with a small bearish candle, and the volume is shrinking (low liquidity due to the Christmas holiday), with no clear bottom reversal signal.

• Key level: Only a valid breakout above 3090 may reverse the daily chart short positions; a breakdown below 2880 will open further downside.

Conclusion and Response

• Conclusion: The daily chart short positions structure remains unchanged, and in the short term, it is viewed as oscillating slightly bearish, mainly focusing on high shorts and low longs, with strict control of positions and stop losses.

• Response: Short positions in batches when the rebound is blocked at 3000-3080, with a stop loss above 3090; if it stabilizes after a pullback at 2880-2900, you can take a light long position, with a stop loss below 2880.
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