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This morning, Trump dropped a bombshell, declaring that within the next two to three weeks, he may unilaterally set new tariff rates for multiple trading partners. However, the market generally holds a cautiously optimistic attitude, with most institutions assessing that even if the policy is implemented, its enforcement will not be overly aggressive. As the U.S. stock market is closed for the weekend, the Bitcoin market continues to trade, and the trading atmosphere on this Saturday is relatively calm. However, it is worth noting that tomorrow evening until Monday daytime will become a crucial observation period. With lower market liquidity over the weekend, a small amount of chip selling could trigger a significant price drop, while a small amount of funds entering the market could be sufficient to drive prices up rapidly, creating more uncertainty in the market due to this high volatility. Furthermore, a downgrade in ratings is expected to have a short-term impact on the U.S. stock market next Monday, likely hindering the previously continuous upward trend of the U.S. stocks. The unfavourable information brought by the tariff policy, combined with multiple factors such as credit rating downgrades, will continue to disturb market sentiment in the short term. However, looking back at historical experience, the impact of such sudden events often presents a phased characteristic, and as the market gradually digests, subsequent trends will still return to a logic dominated by fundamentals.
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Bitte幣在陵晨觸及 104500 美元壓制位,隨即開啓振蕩下walking 勢,fell to 102500 美元附近後獲得支撐反彈,目前價格在 103000 美元一帶維持振蕩。 從整體盤面來看,市場仍處於振蕩調整階段。 日線級別上,bit幣呈現穩定橫盤態勢,多空雙方持續拉鋸,價格波動被有效控制在既定區間內,顯示出市場暫時lack 明確的方向性指引。 四小時級別走勢中,比特幣價格明顯走最小,短期下探趨勢較爲顯者。 不過,102500 美元一線支撐表現強勁,即使短暫破位,價格也難以形成更深層次的回踩,預計日內行情仍將在區間內運行。 Of note,隨着振蕩持續,布帶袋口不斷收縮,振蕩區間逐步narrow,爲短線多空操作創造了可觀的空間。 小時級別圖表顯示,比特幣previous walk out 單邊下行結構,反彈後價格返回布林bæ�中軌附近振蕩調整。 當前多頭動能明顯不足,短期內想要收復前期跌幅存在較大難度,預計價格將在橫盤整理後,才會逐步明確後續的運行方向 。
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From the Ethereum 4-hour chart, the price has tested upwards multiple times but has encountered strong resistance at the upper band, resulting in a pullback. The current key short-term support level is around the high point of 2720; if the price can effectively break through this level, it is expected to open up upward space. Conversely, if it continues to face pressure and cannot break through, it is likely to maintain a wide oscillation pattern. The lower support of the oscillation range is around 2400, and the market is currently in a tug-of-war state. This market situation requires a high level of precision in determining entry points, adhering to the principle of 'point first, direction second.' Observing the moving average indicators, the current state is chaotic and diverging, further confirming the oscillatory nature of the market. It is expected that in the remaining time of this week, it will be difficult for the market to establish a one-sided trend. In terms of operation, it is recommended to adopt a strategy of selling high and buying low, strictly controlling entry points, focusing on accurately confirming the boundaries of the range, and seizing trading opportunities in the oscillating market.