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#ETH #市场底部预测 the current market is under the dual pressure of "extreme panic" and technical breakdown, there is still room for downward exploration in the short term, but the long-term bullish logic remains unchanged (such as institutional holdings and improved regulatory framework).
Suggested actions:
1. Wait patiently for a clear signal: the range of $7.4-$78,000 may be a better entry level, and it needs to be repaired with indicators.
2. Adjust positions flexibly: Adopt the DCA strategy to diversify risks and avoid one-time dipping.
3. CPI data and Fed policy could be a catalyst for a market reversal.
4. If BTC falls below $74,000, it may trigger panic selling, and strict stop loss is required, otherwise, if it stands at $83,000, it can be regarded as a short-term stabilization signal.
Trading Strategy:
Trading strategy: open positions in batches, divide the funds into 3-5 parts, and gradually buy at key levels such as 78,000, 75,000, and 74,000 US dollars to reduce the risk of average price.
Hedging and risk control: 30-50% of the stablecoin position can be retained to deal with potential further declines. Allocate short-term put options (such as BTC and ETH) to hedge downside risk.
Long-term holding options: Prioritize the deployment of mainstream currencies such as BTC and ETH (supported by institutional demand), and cautiously participate in high-volatility altcoins (for example, SOL needs to pay attention to unlocking pressure).