- RSI(14): Daily≈34–36, close to oversold, needs a rebound but no reversal signal. - MACD: Below zero line, bearish structure, no golden cross, selling pressure persists. - ATR: Volatility relatively high, beware of sharp drops/rises.
- Main idea: Focus on high-altitude shorting during rebounds, light long positions for quick entries and exits. - Short: Attempt short at $2,030–2,050 rebound zone, stop loss $2,080, targets $1,965 → $1,930 → $1,900. - Long: Only stabilize below $1,930, small positions for quick longs, stop loss $1,900, targets $1,980 → $2,000. - Risk Control: Strict stop-loss, avoid bottom fishing, do not hold oversized positions.
⚠️ Risk Reminder
- Breaking below $1,930 could accelerate decline to $1,900 → $1,820–1,850. - Only a break above $2,080 might reverse the short-term bearish structure. #Gate广场发帖领五万美金红包 $ETH
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📊 2026-02-18 ETH Technical Analysis (As of midday trading)
Current Price: approximately $1,990–2,000, intraday +0.5%~+1.0%, weekly -7%, year-to-date -28%.
Qualitative: Oversold with weak rebound, dominated by bears, mainly high-altitude trading.
🔍 Core Technicals
1. Trend and Moving Averages (Bearish)
- Daily: EMA20≈$2,180, EMA50≈$2,450, price significantly below, bearish alignment.
- Weekly: 200-week moving average≈**$1,820–1,850**, strong medium-term support.
- Conclusion: Short-term/medium-term trend remains bearish.
2. Oscillators (Oversold Rebound)
- RSI(14): Daily≈34–36, close to oversold, needs a rebound but no reversal signal.
- MACD: Below zero line, bearish structure, no golden cross, selling pressure persists.
- ATR: Volatility relatively high, beware of sharp drops/rises.
3. Key Price Levels (Precise)
- Strong Resistance: $2,000 (psychological level) → $2,030 → $2,050 → $2,180 (EMA20).
- Support: $1,965 (intraday strong support) → $1,930 → $1,900 → $1,820–1,850 (200-week moving average).
4. Volume and Sentiment
- Trading Volume: Decreasing during rebound, bullish momentum insufficient.
- Fear & Greed Index: 9 (Extreme Fear), retail investors panicking, institutions watching.
- Derivatives: Significant short liquidation pressure above, rebounds likely encounter resistance.
🎯 Trading Strategy (Short-term)
- Main idea: Focus on high-altitude shorting during rebounds, light long positions for quick entries and exits.
- Short: Attempt short at $2,030–2,050 rebound zone, stop loss $2,080, targets $1,965 → $1,930 → $1,900.
- Long: Only stabilize below $1,930, small positions for quick longs, stop loss $1,900, targets $1,980 → $2,000.
- Risk Control: Strict stop-loss, avoid bottom fishing, do not hold oversized positions.
⚠️ Risk Reminder
- Breaking below $1,930 could accelerate decline to $1,900 → $1,820–1,850.
- Only a break above $2,080 might reverse the short-term bearish structure.
#Gate广场发帖领五万美金红包 $ETH