12 月 ETH 价格预测 · 发帖挑战 📈
12 月降息预期升温,ETH 热点回暖,借此窗口期发起行情预测互动!
欢迎 Gate 社区用户 —— 判趋势 · 猜行情 · 赢奖励 💰
奖励 🎁:预测命中的用户中抽取 5 位,每位 10 USDT
时间 📅:预测截止 12 月 11 日 12:00(UTC+8)
参与方式 ✍️:
在 Gate 广场发布 ETH 行情预测帖,写明价格区间(如 $3,200–$3,400,区间需<$200),并添加话题 #ETH12月行情预测
发帖示例 👇
示例①:
#ETH12月行情预测
预测区间:$3,150-$3,250
行情偏震荡上行,若降息如期落地 + ETF 情绪配合,冲击前高可期 🚀
示例②:
#ETH12月行情预测
预测区间:$3,300-$3,480
资金回流 + L2 降费利好中期趋势,向上试探 $3,400 的概率更高 📊
评选规则 📍
以 12 月 11 日 12:00(UTC+8)ETH 实时价格为参考
价格落入预测区间 → 视为命中
若命中人数>5 → 从命中者中随机抽取 5 位 🏆
CryptoQuant, Bitcoins Volatility is Lurking
According to a recent report by CryptoQuant, the world of Bitcoin (BTC) is on the edge of volatility as traders increase their leverage in response to the recent price growth. The Estimated Leverage Ratio metric shows a sharp surge in leverage used by traders in the past few minutes, indicating potential market turbulence ahead.
The report highlights two significant factors contributing to this precarious situation. Firstly, there has been an inappropriate situation in the Bitcoin outflow volume from the Spot market. This irregularity raises concerns about market stability, as large amounts of BTC leaving the Spot market can disrupt the equilibrium between supply and demand.
Secondly, the futures market is experiencing high leverage, further exacerbating the potential for extreme price fluctuations in Bitcoin. Leverage allows traders to magnify their potential profits but also amplifies risks, making the market more susceptible to sudden price swings. With traders increasing their leverage during the recent price surge, the stage is set for a volatile and unpredictable market environment.
What next?
The world’s leading cryptocurrency has long been known for its price volatility. However, heightened leverage and irregular outflows from the Spot market have raised concerns among investors and analysts. Such a scenario could result in abrupt price movements, catching traders off guard and leading to significant gains or losses within short timeframes.
Market experts urge caution in the face of this lurking volatility. It is essential for traders and investors to carefully assess the risks involved and adopt appropriate risk management strategies. Implementing stop-loss orders and setting realistic profit targets can help mitigate potential losses and protect investments during turbulent market conditions.
Additionally, regulators and market participants are closely monitoring the situation. Regulatory bodies may enforce stricter measures to ensure market stability and safeguard investors’ interests. Increased scrutiny and tighter regulations could mitigate potential risks associated with high leverage and irregular market movements.
As the crypto market braces for a potentially volatile period, market participants must remain vigilant and informed. Keeping a close eye on indicators such as the Estimated Leverage Ratio can provide valuable insights into the market sentiment and potential risks. By cautiously approaching the market and employing effective risk management strategies, traders can navigate the volatility and capitalize on opportunities while minimizing potential losses.