Just follow the institutions and drink some soup.

Grayscale shipped and hit the market in the front.

The ETF continued to have a net outflow in the back.

The market short position in April ended.

Look at the daily line and then the weekly K.

Be cautious about bottom-fishing and long-term.

There is a high probability that 60,000 will be reached again.

This position is the main position for building positions.

Many people think that this position is the bottom.

I wonder if once it falls below 59,500-60,000, will those people say that the bears are coming again?

It’s hard to say whether the spot contract should lie flat.

I currently have a position of 30,000u, with an overall profit of 10,000 dollars.

I have become much more cautious since the 5,000 hit.

I have rarely updated recently. There is no other reason, just getting lazy.

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