Divide the desired position into 3 parts: short at 3190-3225-3259, stop loss at 3272. Take profit flexibly as needed (expiration time: 9th at 23:45). For the upper short orders, divide into 2 parts: short at 3285-3295, stop loss at 3300. Take profit at 3200-3100-3000 (these short orders are advance pending orders, cancel if not filled by 14th at 23:45).
Shorts around 3151-3165-3167 need to be monitored and executed manually. Long positions below: long at 2922-2905, stop loss at 3900. Pending long orders: allocate in batches by 0.5% of position size each: long at 2907-2859-2810-2761-2710, stop loss at 2699. $BTC $ETH btc made a new low around 89550 yesterday. Today, daily range fluctuates between 92260-88920. The strategy is to short high and long low. So if 89550 makes a new low, you can go long. Go long around 89220-88920, stop loss at 88700. Take profit at 90400-90700. If it breaks below 88700, wait for a new low at 87600, then go long at 87000-86800, add to the position at 86300, stop loss at 86000, take profit at 89000-89500. On the upside, still wait to short in the 92100-92600 range, stop loss at 92750, take profit at 90800-89800.
This page may contain third-party content, which is provided for information purposes only (not representations/warranties) and should not be considered as an endorsement of its views by Gate, nor as financial or professional advice. See Disclaimer for details.
eth
Divide the desired position into 3 parts: short at 3190-3225-3259, stop loss at 3272. Take profit flexibly as needed (expiration time: 9th at 23:45).
For the upper short orders, divide into 2 parts: short at 3285-3295, stop loss at 3300. Take profit at 3200-3100-3000 (these short orders are advance pending orders, cancel if not filled by 14th at 23:45).
Shorts around 3151-3165-3167 need to be monitored and executed manually.
Long positions below: long at 2922-2905, stop loss at 3900.
Pending long orders: allocate in batches by 0.5% of position size each: long at 2907-2859-2810-2761-2710, stop loss at 2699.
$BTC $ETH
btc made a new low around 89550 yesterday.
Today, daily range fluctuates between 92260-88920.
The strategy is to short high and long low.
So if 89550 makes a new low, you can go long.
Go long around 89220-88920, stop loss at 88700.
Take profit at 90400-90700.
If it breaks below 88700, wait for a new low at 87600, then go long at 87000-86800, add to the position at 86300, stop loss at 86000, take profit at 89000-89500.
On the upside, still wait to short in the 92100-92600 range, stop loss at 92750, take profit at 90800-89800.