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Contract Strategy Recommendations (High Risk, For Reference Only, Strict Stop-Loss!):
1. Aggressive Long Position (Current rebound trend): Light long positions near the current price, target 2200-2400, stop-loss below 1950 (to prevent a double bottom). Leverage 3-5x, risk-reward ratio 1:2+.
2. Conservative Swing Trading: Wait for a pullback to around 1980-2000 to build multiple long positions, target above 2400, stop-loss at 1900.
3. Defensive: If it strongly breaks below 1950, switch to short positions (target 1800), or simply hold spot and watch.
4. Risk Control First: Do not fully leverage contracts, limit each position to 2-5% of total funds, monitor the market 24/7, and close positions immediately based on geopolitical news. Avoid FOMO chasing rallies! $ETH #美国CLARITY法案推进