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As of June 24, 2026, Bitcoin remains in a low-volatility correction phase after a sharp decline, with an overall bearish trend and cautious market sentiment.
This strategic analysis is for your reference, focusing on key levels and risk management:
📊 Core Market Dynamics
· Macroeconomic pressure: The probability of a December Federal Reserve rate hike has risen to 86%, the US dollar index hit a 13-month high, and a strong dollar has suppressed risk assets.
· Weak capital flows: Since mid-May, the US spot Bitcoin ETF has not seen sustained inflows, with institutions mainly observing, and the rebound lacking incremental funds.
📍 Key Price Levels
· Current price: approximately $62,600 - $64,100 range.
· Resistance above: $63,300 - $64,100 (short-term resistance), $65,000 - $66,000 (key medium-term resistance).
· Support below: $62,000 - $62,500 (short-term vital support), $60,000 (ultimate psychological level, a break below may open downside space).
💡 Short-term Strategy Ideas
· Bearish bias (mainly high-altitude): If the price rebounds to the $63,000 - $64,100 range and fails to break above, consider light short positions. Target $62,000 - $61,500, with a stop loss above $64,200.
· Defensive approach (patience for low buy-in): If the price falls back to the $60,800 - $61,800 range, observe whether it stabilizes to form effective support before considering right-side entries.
· Range-bound oscillation (conservative strategy): Before breaking through the $62,000 support and $63,500 resistance, treat as a range and wait for clear breakout signals before following up.
⚠️ Risk Reminder
The current market is a technical oversold rebound rather than a trend reversal, with daily moving averages still in a bearish alignment. It is recommended to strictly set stop losses, control position sizes, and avoid chasing rallies or panic selling. #感谢关注︱互动︱评论︱转发