$ETH

1. CURRENT ANALYSIS

Price Index:

- Current price: $3,382.28

- 24h change: -14.57% (Strong drop)

- Volatility: 6.11% (High)

Technical Analysis:

- MA trend: MA7 < MA14 < MA20 (Short-term downtrend)

- RSI: Currently in neutral zone

- MACD: 185.66 with Signal line 124.55 (Positive short-term signal)

- Bollinger Bands: Price is approaching the lower Band (Near support)

Market Pressure:

- Buy Pressure: 1.07 (Light buying pressure)

- Order Book Imbalance: 3.42% (Slight imbalance)

- Average Trade Size: 0.13 ETH (Retail trades dominate)

- Buy Volume Ratio: 56.03% (Buying volume dominates)

2. 24H FORECAST

Main Scenario (60% probability):

- Sideway Down (Moving sideways with a downtrend)

- Price range: $3,200 - $3,500

- Important levels:

+ Strong resistance: $3,550

+ Important support: $3,200

+ Stop loss zone: $3,150

Signals to watch:

- Volume spikes at around $3,200

- RSI oversold (below 30)

- MACD crosses Signal line from below

- Order book imbalance increases over 5%

3. TRADE RECOMMENDATIONS

Spot Strategy:

- Entry Points:

* 40% at $3,380 (current price)

* 30% at $3,300

* 30% at $3,200

- Stop Loss: $3,150 (-6.8%)

- Take Profits:

* TP1: $3,550 (+5%)

* TP2: $3,700 (+9.5%)

* TP3: $3,850 (+14%)

Future Strategy:

- DO NOT recommend entering Future orders due to:

* High volatility (6.11%)

* Unclear trend

* Selling pressure from the spot market remains high

Risk Management:

- Maximum capital/order: 2% portfolio

- Total capital for the order set: 5% portfolio

- Cut losses immediately when the price hits stop loss

- No averaging down when the downtrend is strong

4. SPECIAL NOTES

Factors to watch:

- Bitcoin volatility (can have a strong impact)

- Trading volume at support/resistance levels

- News about the Ethereum ecosystem

- Selling pressure from miners and whales

Main risks:

- High market volatility

- Liquidity may drop suddenly

- Strong break potential through support levels

- Selling pressure from large addresses

5. LONG-TERM STRATEGY

DCA (Dollar Cost Averaging):

- Split the buy order over 2 weeks

- Focus on buying at support levels

- Increase position size when a strong reversal signal appears

- Keep some cash to deal with volatility