Futures
Access hundreds of perpetual contracts
TradFi
Gold
One platform for global traditional assets
Options
Hot
Trade European-style vanilla options
Unified Account
Maximize your capital efficiency
Demo Trading
Introduction to Futures Trading
Learn the basics of futures trading
Futures Events
Join events to earn rewards
Demo Trading
Use virtual funds to practice risk-free trading
Launch
CandyDrop
Collect candies to earn airdrops
Launchpool
Quick staking, earn potential new tokens
HODLer Airdrop
Hold GT and get massive airdrops for free
Launchpad
Be early to the next big token project
Alpha Points
Trade on-chain assets and earn airdrops
Futures Points
Earn futures points and claim airdrop rewards
February 25, 2026 ETH Intraday Technical Strategy (Current Price approximately 1930 USDT)
Core Conclusion: Short-term rebound correction, medium-term remains bearish; primarily low buy, rebound high sell, strictly control position size and stop-loss.
1. Key Price Levels (USDT)
- Strong Support: 1910–1920 → 1890 → 1870 (Yesterday's Low)
- Strong Resistance: 1950 → 1960 (Key Support/Resistance Level) → 1990 → 2020
- Break Point: Hold above 1960 → Rebound continues; Break below 1910 → Turn bearish, retest 1890/1870
2. Indicator Signals
- 4-Hour: RSI rebounds from oversold, MACD bullish crossover with red bars, short-term moving averages turn upward → Rebound structure confirmed
- Daily: Still in a downtrend channel, medium-term moving averages acting as resistance, RSI below 50 → Medium-term bearish trend persists
- Volume: Rebound with volume but not sustained → Be cautious of a high without volume leading to a pullback
3. Practical Trading Strategies (For Reference Only, Not Investment Advice)
1) Long Positions (Buy Low, Avoid Chasing High, Priority)
- Conservative Entry: Rebound to 1910–1920 and stabilize before entering
- Aggressive Entry: Near current price 1930 with light position to test long
- Targets: 1950 → 1960 (Reduce/Take Profit) → 1990
- Stop-Loss: 1885 (Exit if below 1890)
- Position Size: 3%–5% of total funds, avoid heavy positions
2) Short Positions (Sell High on Rebound, Secondary Choice)
- Entry: 1950–1960 encountering resistance/volume increase and stagnation
- Targets: 1930 → 1910 → 1890 (Reduce/Take Profit)
- Stop-Loss: 2000 (Break above strong resistance, do not hold)
- Position Size: 2%–3% of total funds, strict stop-loss
4. Risk Management and Reminders
- Cryptocurrency is highly volatile; always set stop-loss and strictly control position size
- Monitor Bitcoin trends, ETF fund flows, liquidation data, and Federal Reserve expectations, as these can trigger sudden market moves
- Focus on quick in-and-out trades, timely profit-taking, avoid holding positions too long