### **Contract Combat Plan** #### **Direction Selection Logic** > **Bullish breakout probability 45% | Bearish breakdown probability 55%** **Basis**: EMA30 support moving up (2,387) but insufficient volume, prioritizing short strategy; breakthrough 2,480 then go long.
#### **Core Risk Control Rules** 1. **Time Stop Loss**: If the position has not reached the first target after 4 hours, close 50%. 2. **Volume Verification**: - Short position effective condition: when it falls below 2,430, VOL > 15,000 (currently 3 times) - Long order effective conditions: VOL > 20,000 when breaking through 2,485 3. **Hedging Protection**: - If the price fluctuates above 2,400-2,450 for more than 6 hours, open a **straddle option** (buy 2,450 call + put options)
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### **Key Battlefield Map** plaintext Strong resistance zone 2,480-2,500 ↗ Current deadlock zone 2,450-2,470 → Bear ambush zone | Sideways Zone (Observation) | ↘ Bullish trench area 2,387-2,400 → EMA30+cost price double support | Nuclear explosion risk area below 2,375 (stop-loss concentration area)
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### **Main Force Behavior Forecast** - **Lure many traps**: If it quickly rises to 2,470+ but the MACD histogram does not enlarge (currently only 11.21), it is likely a false breakthrough. - **Kill Multiple Signal**: Volume fell below 2,387 after rebounding to less than 2,400, triggering programmatic selling pressure.
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### **Dynamic Tactical Adjustment** mermaid graph TD B{Is it standing firm at 2,450?} C[Short after breaking through 2,430] D{Can it break through 2,470 with volume?} E[Fall back 2,430 square long] F[add long position, target 2,500] G[Target 2,387]
> Note: The **2,958.37** in the screenshot is invalid interference data (deviating 20% from the current price), please ignore.
---
### **Ultimate Action Plan** 1. **Take action now**: Current price 2,452 open **test short position 1% (5x leverage)**, stop loss 2,485, bullish on pullback to 2,430. 2. **Main Battlefield**: - **Short** : Place a short order of 2,468 (replenish 2%), stop loss at 2,485, target at 2,387. - **Bullish**: Place an order for 2,388 long (3%), stop loss at 2,375, target at 2,450. 3. **Core Button**: If CPI data/Fed news suddenly breaks, close all contracts immediately regardless of direction.
> Strict position management: Total risk exposure ≤ 10% of the principal, refuse to carry a single order!
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ETH/USDT data
### **Contract Combat Plan**
#### **Direction Selection Logic**
> **Bullish breakout probability 45% | Bearish breakdown probability 55%**
**Basis**: EMA30 support moving up (2,387) but insufficient volume, prioritizing short strategy; breakthrough 2,480 then go long.
#### **Specific Phase Tactics**
| Strategy | Entry point | Target | Stop loss | Position | Leverage |
|------------|-------------------|--------------|--------------|------|------|
| **Short Selling** | **2,460-2,470** | 2,400 → 2,387 | 2,485 | 3% | 5x |
| *Additional Sniper Point* | *EMA5 broke through 2,430* | Same main target | 2,450 | 2% | 5x |
| **Bullish Defense** | **2,387-2,395** | 2,450 → 2,480 | 2,375 | 3% | 5x |
| *Breakthrough Chase Point* | *Volume Breaks Above 2,485* | 2,520 → 2,580 | 2,460 | 5% | 8x |
#### **Core Risk Control Rules**
1. **Time Stop Loss**: If the position has not reached the first target after 4 hours, close 50%.
2. **Volume Verification**:
- Short position effective condition: when it falls below 2,430, VOL > 15,000 (currently 3 times)
- Long order effective conditions: VOL > 20,000 when breaking through 2,485
3. **Hedging Protection**:
- If the price fluctuates above 2,400-2,450 for more than 6 hours, open a **straddle option** (buy 2,450 call + put options)
---
### **Key Battlefield Map**
plaintext
Strong resistance zone 2,480-2,500
↗
Current deadlock zone 2,450-2,470 → Bear ambush zone
|
Sideways Zone (Observation)
|
↘
Bullish trench area 2,387-2,400 → EMA30+cost price double support
|
Nuclear explosion risk area below 2,375 (stop-loss concentration area)
---
### **Main Force Behavior Forecast**
- **Lure many traps**:
If it quickly rises to 2,470+ but the MACD histogram does not enlarge (currently only 11.21), it is likely a false breakthrough.
- **Kill Multiple Signal**:
Volume fell below 2,387 after rebounding to less than 2,400, triggering programmatic selling pressure.
---
### **Dynamic Tactical Adjustment**
mermaid
graph TD
B{Is it standing firm at 2,450?}
C[Short after breaking through 2,430]
D{Can it break through 2,470 with volume?}
E[Fall back 2,430 square long]
F[add long position, target 2,500]
G[Target 2,387]
> Note: The **2,958.37** in the screenshot is invalid interference data (deviating 20% from the current price), please ignore.
---
### **Ultimate Action Plan**
1. **Take action now**: Current price 2,452 open **test short position 1% (5x leverage)**, stop loss 2,485, bullish on pullback to 2,430.
2. **Main Battlefield**:
- **Short** : Place a short order of 2,468 (replenish 2%), stop loss at 2,485, target at 2,387.
- **Bullish**: Place an order for 2,388 long (3%), stop loss at 2,375, target at 2,450.
3. **Core Button**:
If CPI data/Fed news suddenly breaks, close all contracts immediately regardless of direction.
> Strict position management: Total risk exposure ≤ 10% of the principal, refuse to carry a single order!