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Short-term bias is bearish, medium-term is volatile and weak, long-term remains bullish but requires confirmation signals
II. Short-term (1-3 days): Mainly bearish
- ✅ Reasons for bearishness
- Break below the 2000 key level, daily chart shows a bearish arrangement, rebound is weak
- Capital flow: ETF net outflows for 4 consecutive weeks, 30-day funds remain negative
- Sentiment: Extreme panic, derivatives favoring the short side (94%)
- Holiday liquidity is poor, prone to quick rises and falls
- ✅ Long positions are only suitable for oversold rebounds (light positions)
- Support: 1900–1930, RSI approaching oversold with room for recovery
- Only suitable for quick in and out trades, do not chase longs
III. Medium-term (1-4 weeks): Volatile downward trend
- Major cycle downtrend structure not broken, highs are continuously decreasing
- Resistance: 2000→2040; Support: 1930→1900→1890
- Strategy: Focus on shorting at high levels, add low positions as support, strictly control position size and stop-loss
IV. Long-term (6-12 months): Bullish logic still valid
- Technical: Pectra upgrade, ZK-EVM, re-staking implementation
- Institutions: Staking ETF with yield-generating properties, long-term allocation demand
- Supply: Staking + re-staking + L2 locking, circulating supply shrinking
V. Key operational references (short-term)
- Short: Enter at 1995–2025, target 1950→1930→1900, stop-loss at 2040
- Long: Light positions at 1910–1930, target 1960→1990, stop-loss at 1890