流云不见光

vip
加密市場研究員
合約策略師
行情分析師
動態帶單預設不高於十倍槓桿,需要手動開倉,每次開倉用自身總資產的1/10。跟單帶中長線收益更穩定,無需手動開倉,風險更低,盡量不要中途突然退出。每週日晚上21:00直播答疑,沒時間看直播,訂閱裡會進行直播總結。新手少交學費多學思路,拒絕頻繁高槓桿交易。圖片是原創OC,畫畫小愛好隨機更新。(跟單暫不開啟)
置頂
2026.3.19 置頂公告:
1.動態內容調整優化,不影響給免費單點位,減少正常人看不明白的分析。
2.取消了大家都了解的落差30點後的保本損提醒,分類了動態內容。
3.固定每週日晚上9點直播1小時,不定期抽空直播,回答行情問題。
訂閱內容調整通知:
(先跟好免費單,吃上肉了再考慮訂閱)
200粉內,老粉絲一折優惠僅0.07U(0.01GT/月)√
200粉後,恢復0.7U(0.1GT/月)√
500粉後,恢復正常訂閱價格並申請認證(待完成)
感謝粉絲的長期支持,點贊,評論,訂閱都會成為我更新的動力。
長線勝率100%,後續仍然遵循免費原則,讓所有幣圈小白從無到有。
新人先跟上免費動態的單子瞭解一下質量,吃到肉後再考慮訂閱。
免費單是訂閱單的延伸,跟上了訂閱單後,可以忽略免費單。
前一期公告↓
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流云不见光vip
Pinned Announcement:
Due to limited time, dynamic content will be significantly reduced and adjusted.
1. Will not affect providing free single-point positions, reducing analysis that normal people cannot understand.
2. Cancelled the break-even loss reminders after the 30-point gap that everyone is familiar with.
3. Fixed live stream every Sunday at 9 PM, analyzing problems and market trends.
Subscription Content Adjustment Notice:
(Follow the free single positions first, take profits, then consider subscription)
Within 200 followers, old followers get 90% discount at only 0.07U (0.01GT/month) √
After 200 followers, restore to 0.7U (0.1GT/month) (to be resumed on a designated date)
After 500 followers, restore to normal market price and apply for verification, looking forward to creating a group.
Thank you to subscribed followers for long-term support. Likes, comments, and subscriptions will be my motivation to update.
Current free signal calls have been running for half a year with 100% win rate on long-term positions. Will continue to follow the free principle going forward, helping all crypto beginners go from zero to one!
In addition to being able to subscribe at almost zero cost, to reward the long-term support of old followers,
after subscription content adjustment, position updates will be published on subscription first.
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MarenKingPandavip:
如何訂閱
以太2315空單如果昨天2130附近沒有平倉,且一樣設了止損2150的,現在可能會有後悔,总覺得要跌破2100了,想要重新空,這是正常心理,而作為交易員,是按風險來開倉,而不是按欲望來開倉。
如果真的想重新空,至少要開在自己平倉位置上方吧,只是我確實不建議。
昨天的動態已經指出,一旦設了2150的止損,只要打損,我就會直接放棄2030的點位,少賺也認,風險管理很重要。
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End of March, COMEX silver deliveries are coming up, so prices are bound to be suppressed anyway. I can't figure out who's going long to push the funding rate to this ridiculous 0.07%/4h. Let's say I open a small 1000U position and hold it for just two days—that costs me 10U in funding fees alone. Good thing I got out in time. The moment I saw the funding rate spike, I knew a bunch of people were getting trapped trying to catch the bottom. If those speculative funds want to speculate, might as well let them get stuck for a bit.
Price pumped up 10% during the day today—probably baited a lot of
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流云不见光vip
白銀74的時候沒走,剛剛跌破73,現在又收回73.4走了,因為資金費率又變成0.05%了,我持倉光拿著不動,每四小時就扣我一頓飯錢,沒勁。
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MarenKingPandavip:
老師能講講資金費率嗎?
雖然市場還是挺給我面子的,反彈確實超過2150達到了2175,現在反彈力量成功消耗,那麼要重新空進去嗎?
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流云不见光vip
目前以太坊行情走向,是按照昨天给的概率预判30%在2100上方进行了反弹,但反弹的幅度低于我预期,因为我的止损是2150,这代表我认为它的反弹高度应该超过2150。
既然我已经平仓了,那么这一单我就当做完结了,之后就不提了,震荡持续一段时间会重新选择方向,我才能根据判断继续更新点位。
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白銀74的時候沒走,剛剛跌破73,現在又收回73.4走了,因為資金費率又變成0.05%了,我持倉光拿著不動,每四小時就扣我一頓飯錢,沒勁。
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流云不见光vip
#晒出我的持仓收益#
Just got out of the position. I'm not hiding it in the subscription to avoid sharing profits with everyone, but because the risk has already exceeded 60% or more. If some random person saw it, followed, and happened to get caught in a losing position, I'd get cursed for a year.
Plus, I already have an Ethereum position, so there's no need to be greedy for other positions—it's easy to not hold them.
According to the subscription plan, when it reaches 75 as anticipated, I'll adjust to a break-even stop loss. If it drops below that, I'll just treat it as if I never opened the position.
repost-content-media
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目前以太坊行情走向,是按照昨天给的概率预判30%在2100上方进行了反弹,但反弹的幅度低于我预期,因为我的止损是2150,这代表我认为它的反弹高度应该超过2150。
既然我已经平仓了,那么这一单我就当做完结了,之后就不提了,震荡持续一段时间会重新选择方向,我才能根据判断继续更新点位。
ETH0.19%
流云不见光vip
The probability of a rebound above 2100 is 30%, the probability of a round-number defensive rebound at 2030 is 45%, and the combined rebound probability has reached 75%. Only a 25% probability represents that my judgment is wrong. Stop loss is set at 2150, or close/reduce positions early. Free to operate, but do not add positions.
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流云不见光vip:
交代完信息,那我就暫時靜默了
回答反弹問题:
以太确實有反弹需求,但是現在開多不值得,耐住心性,開好每一单才是最重要的,而不是非要每天都要開個单子
昨天讲過,我觉得理想防守反弹的位置是2030附近,观测到2100下方有大量買盘,所以改了保本,最终平仓。
那么,作為全新的震荡區間,2100~2200没有任何開单的必要,多空都不行
ETH0.19%
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#晒出我的持仓收益#
Just got out of the position. I'm not hiding it in the subscription to avoid sharing profits with everyone, but because the risk has already exceeded 60% or more. If some random person saw it, followed, and happened to get caught in a losing position, I'd get cursed for a year.
Plus, I already have an Ethereum position, so there's no need to be greedy for other positions—it's easy to not hold them.
According to the subscription plan, when it reaches 75 as anticipated, I'll adjust to a break-even stop loss. If it drops below that, I'll just treat it as if I never opened the position.
ETH0.19%
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post-image
【當前用戶分享了他的交易卡片,若想瞭解更多優質交易資訊,請到 App 版查看】
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456BUvip:
市場觀察 | 主要價位

ETH (以太坊):1,930 → 1,630
BTC (比特幣):66,300 → 63,000
XAUUSD (黃金):4,530 → 4,230
WTI (原油):83 → 77

此處分享的價位僅供市場觀察之用,並非財務建議或交易推薦。

如果您覺得有幫助,請考慮關注以獲取更多更新。
安全交易,保護您的資本
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白銀的反彈是正常現象,昨天70加倉的時候還是比較頭疼的,四小時收一次接近百分之0.1的資金費率,每四個小時就要扣我一餐飯錢,現在資金費已經變正常了。
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流云不见光vip
关于白银的看法
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Little Knowledge: Buying Orders Are Not Long Positions
Buying orders directly purchase spot assets. Buying and selling orders directly determine price movements, while futures contracts are derivatives of spot prices and are anchored to spot prices.
When a large number of short positions accumulate above, purchasing large amounts of spot assets and opening long positions, the price is raised through direct buying to liquidate contract shorts. Conversely, liquidating longs through large-scale selling.
Overnight pending orders: Stop loss 2150 / Take profit 2031, refuse to stay up monitoring char
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The probability of a rebound above 2100 is 30%, the probability of a round-number defensive rebound at 2030 is 45%, and the combined rebound probability has reached 75%. Only a 25% probability represents that my judgment is wrong. Stop loss is set at 2150, or close/reduce positions early. Free to operate, but do not add positions.
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过问2130附近盈亏,和推荐减仓的理由
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Ethereum short sellers looking to reduce positions can consider doing so around 2130. Below the 2100 whole number level, there are dense buy orders, and there are no more long liquidity orders below. If bears see the situation turning unfavorable and execute reduction operations, it will cause a squeeze. Although our long-term target is 1500, that is our target three months from now, which means I don't think it will bottom out in one go in the short term.
Moreover, around 2100, the probability of a rebound has already reached 30%. If it really does plunge to the bottom in one shot, I can only
ETH0.19%
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#晒出我的持仓收益#
It's falling so fast, Ethereum is quickly approaching our 2030 target level. The 2100 round number has some support, and only if it fails to hold there will it go to 2030.
Let me check how many people made money on this trade. My actual leverage is 3x.
ETH0.19%
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2310~2365空到2130,你的实际杠杆和浮盈是(写在评论区)?
小倉位超低槓桿(1~3倍)
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中仓位相同杠杆(3~5倍)
1
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稍微贪了一些,下次一定听话(5倍以上)
7
7
没跟上,下次一定
9
9
18人參與投票已結束
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2026财运亨通vip:
老师,二饼2200都上不去了吗?
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关于为什么以太坊再次下跌后立刻通知把保本损下调至2210附近
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细节后者居上vip:
確實,我一個單子都拿不住,更別說拿好幾個。以太要平的時候記得說一聲。
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我們需要清楚,以太坊快上2400的時候喊上2600、2800的,和現在跌了說看2000、1800的是同一批人,而我們從始至終只堅定自己的原則。
我不會被市場情緒所影響。我們吃的從來不是日內交易,簡單三天的時間就能證明誰才是對的。
吃到肉的人笑到最後。
ETH0.19%
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#晒出我的持仓收益#
兄弟們,這下已經吃150點了,拿長線的不會在乎短期波動,可以把保本損下移至2210,行情如果反轉也能吃它105點
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鱼鱼鱼555vip:
好的,白银怎么看,拿到多少,多少加仓
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更新提醒
今天下午16:00,我会完成整理并更新新的置顶公告,并恢复订阅价格,老粉们应该愿意订阅都订阅,没有遗漏的了,使用自动订阅之后,即便我后面更改价格,依然会按自动订阅的价格完成续订。现在自动续订,之后的付费仍然是0.01 gt,并且可以随时取消,在权益时间内可以随时退款。
已订阅的忽略以上内容
GT-0.44%
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我看不少KOL在認為鮑威爾是鷹派發言,典型的馬後炮,如果是偏鷹派的,那為什麼反而守住了呢,他們是看著前面這麼大跌幅,加上市場情緒,看著有那麼點道理,但如果真的是市場沒有預料到的偏鷹派,應該繼續下破才對,而不是被守住,簡直是倒果為因,說避險資產黃金跌3%,比特幣白銀跌4%,但是明明這些跌幅是在會議前開始跌的。
這就是為什麼韭菜永遠賺不到錢,因為根本無法探究市場的邏輯是什麼,很多韭菜永遠被市場引導,關注那麼多KOL,KOL很多都是市場情緒的搬運工,關注這麼多,一點用沒有反而讓自己越看越懵,一個KOL是真的有實力還是紙老虎,你直接用9U分三次,跟著一個KOL開,能夠長期賺的才說明有實力,甚至分三次,避免出現失誤,如果還是沒賺,全是空談。慢慢就能篩選出誰是真的交易員,誰是市場廣告商
BTC0.65%
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流云不见光vip:
No dovish rhetoric, no hawkish comments—it's an extremely cautious forward-looking statement, and it's somewhat better than what Wall Street had anticipated.