#市场调整策略
In the context of increased market volatility and rising uncertainty, investors should adopt a robust strategy. First, reduce leverage and decrease high-risk positions to avoid larger losses caused by liquidation. Secondly, pay attention to key support and resistance levels, looking for buying opportunities rather than chasing highs and selling lows. Diversifying investments is also an important means of reducing risk, while closely monitoring changes in macroeconomic conditions and on-chain data to quickly adjust strategies. Remember that during market adjustment phases, preserving capital is more important than obtaining short-term gains.