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$ZHIPU Yesterday, the 306 short position was successfully closed, the price was pushed up to 370 during the session, which was a bit too aggressive. Fortunately, it crashed today, or else it would have been completely wiped out~
The 4D bias is bearish, and the signal consistency meets the standard.
Strategy suggestion ❌: Do not hold heavy positions on Hyperliquid — OI is less than ten million USD, a $500,000 order can cause a 3% slippage, big funds simply can't play.
✅ Strategy B (preferred): Hang Seng Index retracement to 1800-2000 for long positions, break through 2000 on 6/18 to turn it into support + GLM-5.2 catalyst still stops out at 1700 | Target 2410/2980 | R:R 1:2~3
✅ Strategy C (aggressive): Hang Seng Index rebound to 2500+ faces resistance, short 19x leverage + long upper shadow + PS 1400x = top failure stop at 2980 | Target 2000/1660 | R:R 1:2~3
✅ Strategy A (small capital): Hyperliquid on-chain contracts $310-320 lightly short with less than 2% of the position, ≤3x leverage, stop loss at $350, target $283/$260. Core judgment: Zhizhuo will increase 19x in 6 months, up 19 times. On 6/22, during the session, it surged to 2980 but was pushed back to 2410 (long upper shadow), and today it dropped another 7%. The top failure signal is clear. But GLM-5.2 fundamentals are indeed strong (CodeArena is the world's number one), it won't crash outright, more likely a high-level consolidation. Wait for a pullback to 1800-2000 to go long, or after a rebound to 2500+ and resistance, lightly short. Don't touch it now. #我的Gate交易时刻