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From a risk angle, $ETH is trading around 2,336 USDT.
This is one of those spots where bad risk control can cost more than a wrong bias.
If I have to pick a side, I lean toward: bullish continuation still looks more likely
Here is why I say that:
First, selling pressure is not strong enough to fully shift momentum
Second, the trend structure still looks cleaner than many weaker charts
And one more thing: Priority setups: failed sweep, rebound trap, and clean support breakdown.
Entry zone I would watch: 2,317 USDT
Initial take-profit area: 2,457 USDT
Risk line: 2,261 USDT
Biggest risk here: fake breakout followed by fast rejection
If you had to act here, would you lean long, short, or just wait?