Recently, the market shows "pump during the Asian session and a decline during the American session". What is the reason behind this? How should coin enthusiasts seize the opportunity???
Recently, the market has shown characteristics of "rise during the Asian session and decline during the US session," indicating that the selling tendency among US traders remains strong. (It's also an opportunity for short positions.)
There is a key factor that everyone needs to pay attention to: an important time point is December 26, when a large number of Bitcoin options will expire. Before this, the hedging behavior of market makers may suppress volatility and strengthen the pattern of range-bound fluctuations.
###💡Directional operation suggestions In the current environment, the timing for a trend breakout has not yet matured. It is recommended to adopt a range oscillation mindset for operations and strictly control risks. Core idea: Conduct high sell and low buy within the range of $81,300 to $93,000. Operation Reference: Near the upper resistance (e.g., $93,000): consider reducing positions or staying on the sidelines, and it is not advisable to chase higher prices. If it encounters resistance and retreats, it presents a potential short-term shorting opportunity. Approaching the lower support (such as $82,000 - $81,300): If a stabilization signal appears, consider gradually entering long positions with light volume, and set the stop-loss below the key support. If the volume breaks through $93,000: attention should be paid to whether it can further challenge key levels such as $95,000 and $101,500, at which point the trend may strengthen. If it breaks below the $81,300 support: the market structure may deteriorate, and deeper pullback risks should be taken seriously. Key Reminder: 1. Pay attention to year-end milestones: closely monitor the market performance after the options expiration on December 26, as this may be an opportunity to break the current deadlock and choose a new direction. 2. Risk Management: The current market is sensitive to news, and volatility may intensify. Be sure to set stop-losses and avoid using excessive leverage.
In summary, the market is waiting for new catalysts to break the balance. It is a more prudent strategy to operate cautiously within the established range before clear signals appear.
If you want to understand further how options expiration specifically affects prices, or if you have questions about the meaning of indicators such as "loss supply" in on-chain data, I can explain it to you in detail. #今日你看涨还是看跌? $BTC
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Recently, the market shows "pump during the Asian session and a decline during the American session". What is the reason behind this? How should coin enthusiasts seize the opportunity???
Recently, the market has shown characteristics of "rise during the Asian session and decline during the US session," indicating that the selling tendency among US traders remains strong. (It's also an opportunity for short positions.)
There is a key factor that everyone needs to pay attention to: an important time point is December 26, when a large number of Bitcoin options will expire. Before this, the hedging behavior of market makers may suppress volatility and strengthen the pattern of range-bound fluctuations.
###💡Directional operation suggestions
In the current environment, the timing for a trend breakout has not yet matured. It is recommended to adopt a range oscillation mindset for operations and strictly control risks.
Core idea: Conduct high sell and low buy within the range of $81,300 to $93,000.
Operation Reference:
Near the upper resistance (e.g., $93,000): consider reducing positions or staying on the sidelines, and it is not advisable to chase higher prices. If it encounters resistance and retreats, it presents a potential short-term shorting opportunity.
Approaching the lower support (such as $82,000 - $81,300): If a stabilization signal appears, consider gradually entering long positions with light volume, and set the stop-loss below the key support.
If the volume breaks through $93,000: attention should be paid to whether it can further challenge key levels such as $95,000 and $101,500, at which point the trend may strengthen.
If it breaks below the $81,300 support: the market structure may deteriorate, and deeper pullback risks should be taken seriously.
Key Reminder:
1. Pay attention to year-end milestones: closely monitor the market performance after the options expiration on December 26, as this may be an opportunity to break the current deadlock and choose a new direction.
2. Risk Management: The current market is sensitive to news, and volatility may intensify. Be sure to set stop-losses and avoid using excessive leverage.
In summary, the market is waiting for new catalysts to break the balance. It is a more prudent strategy to operate cautiously within the established range before clear signals appear.
If you want to understand further how options expiration specifically affects prices, or if you have questions about the meaning of indicators such as "loss supply" in on-chain data, I can explain it to you in detail. #今日你看涨还是看跌? $BTC