$BTC #拜登退选 #比特币大会 #以太坊ETF批准预期 #WazirX黑客事件 Here are several major technical indicators and their trend analysis:
1. **BOLL (Bollinger Bands)**:
- The current price is close to the upper track of the Bollinger Bands (UB: 68,804.4), indicating that the price may enter the overbought range. Bollinger Bands usually indicate that the price will return to the middle or lower track, so it is necessary to be alert to the possible risk of a pullback.
2. **MACD (Moving Average Convergence Divergence)**:
- The MACD line (yellow) is above the signal line (DEA, purple), indicating a continued upward trend. However, the DIFF and MACD columns (STICK) are gradually shortening, suggesting that the momentum may be weakening. It is necessary to pay attention to whether the crossover signal will change in the next few days.
3. **KDJ indicator**:
- The K and D lines in KDJ are already at high levels, and the J line is also pulling back, indicating that there may be a pullback or volatile market in the short term.
4. **RSI (Relative Strength Index)**:
- RSI (24) is 60.6, which is in the neutral to strong area. Although it has not clearly entered the overbought range, it is still necessary to be vigilant about the possible price fluctuations in the short term.
5. **SAR (Parabolic Stop Loss Reversal)**:
- The current SAR indicator is below the price (green dot), which is a bullish signal. However, if the price continues to fall and breaks through the SAR point, this may be converted into a sell signal.
In summary:
- **Short-term trend:** There is a pullback pressure, and it is necessary to pay attention to whether it will pull back to the middle or lower track of the Bollinger Bands, which is reflected in the signs of weakening momentum in MACD and KDJ.
- **Medium-term trend:** The overall trend is still in an upward trend, but it is necessary to pay attention to the possible change signals of various indicators, especially the changes in SAR and RSI.
Please remember that investors should combine multiple technical indicators, conduct comprehensive analysis, and consider other fundamental factors of the market to conduct detailed risk assessment and management.