As of 12.31 8:00 PM: ETH short-term oscillation leaning bullish, intra-day first watch 2920-3030 range, break above to 3060-3080, break below to 2880-2900; 1-2 weeks leaning bullish probability 65%, target 3050-3100, stop loss 2880. The following are quantitative and key basis.



1. Instant price and range (12-31 20:00)

- Current price approximately 2970 USD, 24h volatility ±2%, mainly oscillating.

- Core range: support 2925-2930, 2880-2900; resistance 3030-3035, 3060-3080.

2. Probabilities and key scenarios (quantitative)

1. Intra-day (before 12-31 close)

- Range oscillation (55%): back and forth between 2920-3030, better to buy low and sell high.

- Upward breakout (30%): stabilize above 3035, probe 3060-3080, volume needs to support.

- Downward breakdown (15%): fall below 2920, test 2880-2900, linked BTC weakens.

2. 1-2 weeks

- Slightly bullish (65%): effective support at 2900-2930, target 3050-3100, stop loss 2880.

- Slightly bearish (35%): fall below 2880, look towards 2800-2850, affected by macro or BTC drag.

3. Drivers and risk control points

1. Drivers

- Macro: Fed rate cut expectations low in January, liquidity tight, limiting rebound height.

- Technical: 4h/daily oscillation, no clear directional signal, leaning towards consolidation.

- Sentiment: Market trading is light, year-end fund repatriation, volatility limited.

2. Risk control suggestions

- Futures: Light positions, strict stop loss (longs 2880, shorts 3040), avoid chasing highs and selling lows.

- Spot: Dip to 2900-2930 for phased accumulation, reduce positions in 3030-3060 range.

4. Key observation signals

- Volume stabilizing above 3035 → bullish reinforcement; volume breaking below 2920 → increased bearish risk.

- Watch if BTC can hold above 88000, significant linked impact.

(Welcome to subscribe, key levels, sell to win)$ETH
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