Today's white market is characterized by a narrow range of shocks and corrections. The market is in a narrow range of shocks, and the exchange rate fluctuates between 63200 and 62300. In the afternoon, the fluctuation was only about 200 points. In the evening, the bulls exerted a little strength. The long orders we entered in the morning were only closed and left. The real market entered at 62442. The exchange rate rose to 62889 in the evening and left with a small loss of 447 points. There are still students in the real market. I will not share it because I have done less recently. Our layout here is mainly short-term. After all, there is nothing but shocks on weekends.

  

        From the current market, the exchange rate closed with a small positive line on the daily line. Yesterday, it fell and rebounded, and hit a new high of 63400. The current small cycle is showing a trend of slowly stabilizing. Considering that today is the weekend, it is expected to be mainly oscillating in the short term, and the continuity of strong and weak unilateral is not strong. As the weekly line is about to end, the market is likely to remain oscillating. On the 4-hour chart, the Bollinger Bands began to close, and a shock range has been initially formed in the short term. The upper short-term resistance is around 63,500, and the lower support is around 60,000. When it reached a new high yesterday, it left an upper shadow line, and it seems that it will not be possible to form a clear unilateral trend in the short term. The typical weekend market has limited the room for price adjustment. At present, the structure has not shown strength, and the market has fallen into a situation of back-and-forth shocks. In this case, it is possible to consider shorting when the price is close to the upper track, and going long when it is close to the lower track, and maintaining the expectation of shock closing after reaching a new intraday high.

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