The current price is oscillating in the 71k shakout zone (below the pivot point of 72,140), showing short-term weakness. If Fed policy uncertainty or risk asset pullbacks continue, prioritize monitoring whether the 70,500→69,378 support holds——if it holds, we can go long with targets at 72k–74k. If volume breaks through 74,450, it turns bullish with the next target pointing directly at 75k–76k. Stop loss suggestions: Long positions stop loss set below 69,000, short positions stop loss set above 74,800.