Bitcoin’s Key Channel Broken? History Won’t Simply Repeat Itself | Guest Analysis | Bee Network
Figure 1
②、Short-term Trade Review: • First Trade (Profit 3.76%): This operation executed Plan B (shorting upon effective break below the key area) strategy: When the price broke below the $94,500–$95,000 area and failed to rebound strongly, while the Spread Trading Model and Momentum Model simultaneously triggered top signals, and the two momentum lines formed a death cross below (near) the zero axis, constituting a triple bearish signal. Based on this, we established a 30% short position at $92,565. Subsequently, the market corrected as anticipated. When the price fell to a significant support level, the Spread Model first issued a bottom warning signal (red dot), followed by the Momentum Quantification Model 和 Spread Trading Model resonating again to generate a bottom signal. Accordingly, we closed the entire position at $89,078, achieving the expected profit target. 2. Review of Last Week’s Market Outlook and Operational Strategy: ①、Last week clearly emphasized: Focus on the fate of the $94,500–$95,000 area. An effective break below would maintain consolidation within the $84,000–$94,500 range. ②、Review of Key Levels: Resistance was seen at the $94,500–$95,000 area; first support at the $89,500–$91,000 area, second support at $86,000–$86,500. ②、Review of Operational Strategy: • Medium-term Strategy: Stay in cash. • Short-term Strategy: Since the price effectively broke below the $94,500–$95,000 area, execute operations according to Plan B (see below): • Entry: If a rebound to this area confirms the break is effective, a 30% short position can be established. • Risk Control: Initial stop-loss for the short position set around 1.5% above the entry price (i.e., 1.015 * entry price). • Exit: When approaching $86,500 and combined with model signals, gradually close the position to take profits. 3. Bitcoin Price Structure: Daily Timeframe Maintains Bearish Pattern Combined with market movements, the author, based on a self-constructed trading system, provides an in-depth analysis of Bitcoin’s price structure from multiple models and dimensions. Bitcoin Weekly K-line chart: (Momentum Quantification Model + Sentiment Quantification Model)Figure 2
1. As shown in (Figure 2), analysis from the weekly chart: • Momentum Quantification Model: Technical indicators show that last week, selling momentum was released to some extent, with the two momentum lines showing signs of divergence. The negative energy bars did not change significantly; monitor the bears’ subsequent performance. The Momentum Quantification Model indicates: Price Decline Index: High • Sentiment Quantification Model: Blue sentiment line value 53.28, intensity zero; yellow sentiment line value 22.56, intensity zero; peak value is 0. The Sentiment Quantification Model indicates: Price Pressure and Support Index: Neutral • Digital Monitoring Model: The price has been below the bull-bear (yellow-blue line) demarcation line for 10 weeks, and the price has fallen again, moving further away from the demarcation line. The Digital Monitoring Model indicates: No monitoring (top/bottom) digital signals have appeared; the weekly K-line closed as a large bearish candle, down about 7.55%; the last three weekly K-lines form a “strong top divergence” bearish pattern. The above data suggests: Bitcoin’s weekly trend is bearish, beware of the risk of volatile declines. Bitcoin Daily K-line chart: (Momentum Quantification Model + Sentiment Quantification Model)Figure 3
2. As shown in (Figure 3), analysis from the daily chart: • Momentum Quantification Model: Last week overall presented a “decline-consolidation-decline” pattern. After Sunday’s close, Momentum Line 1 has already crossed below the zero axis, and Line 2 is about to cross below; negative energy bars are gradually expanding. The Momentum Quantification Model indicates: Daily selling momentum is being released; monitor the fate of the zero axis. • Sentiment Quantification Model: After last Sunday’s close, blue sentiment line value 19, intensity zero; yellow sentiment line value 20, intensity zero. The Sentiment Quantification Model indicates: Pressure and Support Index: Neutral The above data suggests: A bearish pattern is initially appearing on the daily timeframe, but its validity needs confirmation; monitor the battle between bulls and bears over the zero axis. 4. This Week’s Market Forecast: (01.26~02.01) 1. This Week’s Core View: Monitor the effective confirmation after a break below the ascending channel’s lower boundary. • If the price effectively breaks below the lower boundary, the price will likely accelerate its correction, with the initial target near the lower edge of the original consolidation box at $84,000. • If the price effectively holds above it, consolidation within the ascending channel will continue, but upside potential is limited. 2. Core Resistance Levels: • First Resistance Zone: $88,500–$91,200 area (previous consolidation pivot) • Second Resistance Zone: $94,500–$95,000 area (previous consolidation pivot) • Important Resistance Zone: Near the 21-week moving average 3. Core Support Levels: • First Support Level: $86,000–$86,500 area (previous high-volume transaction zone) • Second Support Level: Near $84,000 (previous box lower edge) • Important Support Level: Near $80,000–$80,600 (vicinity of last November’s low) 5. This Week’s Operational Strategy (Excluding Sudden News Impact): (01.26~02.01) 1. Medium-term Strategy: If the price effectively breaks below the ascending channel’s lower boundary, consider establishing a 60% short position opportunistically. 2. Short-term Strategy: Utilize 30% of capital, set stop-loss points, and look for “spread” trading opportunities based on support and resistance levels. (Using the 30-minute chart as the operational timeframe). 3. In operations, focus on the fate of the ascending channel’s lower boundary. To dynamically respond to market evolution and combine real-time model signals, we have formulated two short-term operational plans, A/B: • Plan A: If the price breaks below the ascending channel’s lower boundary: • Entry: Upon effective break and combined with model top signals, a 30% short position can be established. • Risk Control: Initial stop-loss for the short position set around 1.5% above the entry price (i.e., 1.015 * entry price). • Exit: When approaching important support levels and combined with model signals, gradually close the position to take profits. • Plan B: If the price re-establishes itself above the ascending channel’s lower boundary: (Short on resistance) • Entry: When encountering resistance upon reaching important resistance levels or the channel’s upper boundary, combined with model top signals, a 30% short position can be established. • Risk Control: Initial stop-loss for the short position set around 1.5% above the entry price (i.e., 1.015 * entry price). • Exit: When falling to the channel’s lower boundary or support levels, and combined with model signals, gradually close the position to take profits. 6. Special Notes: 1. Upon Entry: Immediately set the initial stop-loss level. 2. When Profit Reaches 1%: Move the stop-loss to the entry price (breakeven point) to ensure capital safety. 3. When Profit Reaches 2%: Move the stop-loss to the 1% profit level. 4. Continuous Tracking: Thereafter, for every additional 1% profit, move the stop-loss up by 1% accordingly, dynamically protecting and locking in profits. 本文来源于互联网: Bitcoin’s Key Channel Broken? History Won’t Simply Repeat Itself | Guest Analysis Related: Weekly Token Unlocks: RIVER to Unlock Nearly 8% of Circulating Supply River Project Twitter: https://x.com/RiverdotInc Project Website: https://www.river.inc/ This Unlock Amount: 2.75 million tokens This Unlock Value: Approximately $54.69 million River is building a chain-abstracted stablecoin system that connects assets, liquidity, and yields across multiple blockchains. Through its core stablecoin satUSD, users can achieve yield, leverage, and expansion across different ecosystems. 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