GateUser-74636b8c

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Hello Kak Seto Mulyadi said that he couldn't log in at that moment. I went to the bathroom online #AprilMarketOutlook that
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Yeah, it's safer and more comfortable to use, and I couldn't log in at that moment. I went to #GateGoldenTouch who also bought some.
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Yeah, it's safe and comfortable to use, and I couldn't log in. At that moment, I went to the bathroom, on the internet, bed, sleeping, table, chair, refrigerator, #WinGoldBarsWithGrowthPoints , the one who ate, the one who...
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Hello Kak Seto Mulyadi said that he couldn't log in at that moment. I went to the bathroom, then on the internet, bed, sleeping, table, chair, wardrobe, refrigerator, TV, cable, hot water, poll, which no one wants to buy, cigarettes smoked by that. Therefore, bro and sis E Tasek, don't worry about the matter. Ten Lamongan is there.
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uu u
政和资本
📌 Core Assessment (March 25)
- Short-term (1–3 days): Converging triangle inflection + oscillation dominant, likely ranging within $68,800–$71,800
- Medium-term (1–4 weeks): Bearish oscillation correction, rebound height limited, difficulty breaking $75,000 previous high
- Long-term (Q2–Q4): Initially suppressed then rising, Q4 expected to see cycle main uptrend
🧩 Short-term Trend (1–3 days)
1. Technical Analysis
- Pattern: End of converging triangle, upper rail $71,000–$71,200, lower rail $68,800–$69,000, inflection window open
- Indicators: 4H MACD red bars shrinking, KDJ peaking and turning, bullish momentum weakening; daily bearish momentum declining but not reversed
- Volume: Rebound with declining volume, pullback with mild volume increase, insufficient buyer support
2. Scenario Analysis
- Scenario A (Upside breakout): Holding above $71,800 + 4H closing with volume → Watch $72,500–$73,000, likely pullback thereafter
- Scenario B (Downside breakout): Breaking below $68,800 + 4H closing with volume → Probe $68,000–$67,500, triggering stop-loss selling pressure
- Scenario C (Oscillation): Range-bound movement → High sell low buy, $70,000–$71,000 bull-bear dividing line
📊 Medium-term Trend (1–4 weeks)
1. Core Suppression
- Macro: Fed maintains higher rates longer, 0% rate cut probability in 4/6 months, rate hike expectations rising in June, suppressing non-yielding assets
- Technical: Daily MA20/30/60 pressuring downward, failing to break downtrend line, bearish bias medium-term
- Funds: ETF outflows, whale selling pressure, leverage liquidation negative feedback, insufficient incremental capital
2. Key Levels
- Resistance: $71,800 (strong pressure) → $74,000 (Fibonacci 0.786) → $75,600 (previous high)
- Support: $68,000 (weekly support) → $65,000 (strong support) → $63,000 (February low)
3. Trend Path
- High probability: Oscillating decline + oversold rebound alternation, rebound difficulty breaking $74,000, center of gravity gradually shifting down
- Low probability: Macro shift (rate cut expectations easing) + capital reflow → Breaking $75,600, initiating medium-term rebound
🚀 Long-term Trend (2026 Q2–Q4)
1. Institutional Consensus
- First half (Q2): Oscillating base building, macro, regulation, capital repeatedly disturbing, no trending action
- Q3: Base stabilizing, liquidity expectations improving, ETF capital returning, miner clearing complete
- Q4: Cycle main uptrend, halving effect + liquidity easing + institutional reallocation convergence, target $100,000+
2. Key Drivers
- Liquidity: Fed rate cuts late Q3–Q4, weakening dollar, capital flowing back to risk assets
- Supply-demand: Post-halving supply reduction, sustained ETF inflows, weakening miner selling pressure
- Regulation: Clarity Act implementation, uncertainty removed, institutional compliant entry
🎯 Operation Strategy (By Cycle)
Short-term (Intraday/1–3 days)
- Range: $69,800–$70,000 light long, stop loss $68,700, target $71,000–$71,200
- Range: $71,000–$71,200 light short, stop loss $72,000, target $70,000–$69,500
- Breakout: Holding above $71,800 chase long, stop loss $71,500; breaking below $68,800 chase short, stop loss $69,200
Medium-term (1–4 weeks)
- Rebound: $72,000–$74,000 batch reduce/short, stop loss $75,600
- Pullback: $65,000–$68,000 batch buy dips, stop loss $63,000
- Position: Light positions mainly, strict stop loss, no holding against trend
Long-term (Q2–Q4)
- Layout: Q2–Q3 batch build position, buy dips, focus $60,000–$70,000 range
- Hold: Q4 main uptrend hold, target $100,000+, avoid frequent trading
📝 Risk Warning
- Macro: Fed rate hike, Middle East conflict, strong dollar, triggering liquidity squeeze
- Technical: False breakout, leverage liquidation, hash rate concentration, amplifying volatility
- Regulation: Stablecoin regulation, SEC enforcement, suppressing market sentiment
#加密市场回涨 $BTC
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Assalamualaikum. I couldn't log in at that moment, so I went to the room. That's Iki, right? Why didn't SMN eat? Why didn't BBK get paid? If the person concerned doesn't pay, they won't be loyal. And don't forget to place it in Jak Mania Indonesia. No comments, link to me. I bought the number one, including a small capital.
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Assalamualaikum
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Peace be upon you all. Please be patient. What we get at Gate.io is very much. Airdrop with very large capital and unable to login.
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[The user has shared his/her trading data. Go to the App to view more.]
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