自比特币 ( BTC ) 收盘价超过 25,000 美元以来,已经过去了 111 天,这导致一些投资者不太确定该资产是否已确定底部。目前,由于本周北溪天然气管道事故后乌克兰的紧张局势加剧,全球金融市场仍然不安。英格兰银行 9 月 28 日对政府债券市场的紧急干预也揭示了基金经理和金融机构目前的脆弱程度。随着通胀压力的增加,这一运动标志着与之前紧缩经济的意图发生了明显转变。目前,标准普尔 500 指数连续第三个季度出现负增长,这是自 2009 年以来的首次。
In September, the Bank of England’s emergency intervention in the government bond market also revealed the current vulnerability of fund managers and financial institutions. As inflationary pressures increased, the movement marked a marked shift from previous austerity intentions. At present, the Standard & Poor’s 500 index registered negative growth for the third consecutive quarter, the first since 2009.
9月30日比特币(BTC)合约技术面分析:今日方面,大周期日线级别从形态来看日线两连阳,走势偏强,但是成交量并未放大,短期可能依旧会震荡调整中。当前继续关注上方关键阻力20500区域突破情况,突破则才能开启日线级别的反弹走势;短周期小时图来看昨晚回撤18880附近慢涨拉升来到昨天的高点,再次来到上方的几个阻力位附近19720-19800附近,但从昨天的回踩反弹符合我们昨天对行情后续趋势的判断,今日依旧维持低多去看待,关注上方19800压制,突破可继续上看 20300-20600-21400;空仓的也不可高位追多,量能并未形成向上的强势,今日继续关注回踩19200-19100 的支撑,下方底部区间18600-18800区域;因此今日BTC短线合约交易策略:回撤19200-19000区域多,止损18800区域,目标看上方19800-20300区域。
A technical analysis of the Bitcoin (BTC) contract today, 30 September: Today, the large-cycle solar-line level is in shape to be two-way suns, but its volume is not magnified in the short term, and may still be in shock adjustment. Continued attention is being paid to the 20,500 regional breakthroughs of the top key resistance, which will open up a backlash at the line level; short-cycle hour images of the slow-up up in the vicinity of 18880 last night to yesterday's heights, again near the upper resistance levels, but from yesterday's rebound is consistent with our judgment of the follow-up trend yesterday, it is likely to remain low today, with attention paid to the 19,800 above, and the breakthrough can continue to be seen 20300-20600-21400; there are also no high-rises in the airlocks, which do not add up to the upwards of yesterday's heights, and today they continue to focus on the 1800-1800-800 region, where the BTC's short-line contract strategy is today: to withdraw more than 19,200-1900 regions.
9月30日以太坊(ETH)合约技术面分析:以太方面跟大饼同步没什么好说的,继续上方需关注1420位置的突破情况,价格不站稳该区域上方,依旧是震荡格局;短周期小时图来看昨日从上方1345-1355附近承压回撤,回踩下方1290附近反弹,同样也是符合我们昨天对行情后续趋势的判断的,那么今天需关注上方1350压制,突破可继续上看至1380-1400区域;整体上没有太多分析的,区间走势,中间参与度不高,日内稳健的等回撤可考虑继续参与做多即可;因此今日ETH短线合约交易策略:回撤1300-1320区域多,止损1280区域,目标看1380-1400区域。
On 30 September, the technical analysis of the Tai Fu (ETH) contract was also consistent with our yesterday's assessment of the follow-up trend. Today's focus is on the 1350 repressions above, which can continue to be seen in the 1380-1400 area; there is not much analysis on the ground, there is little room for middle-level participation, there is no room for continued involvement in a robust recovery; and today's ETH short-line contract strategy: there are more than 1300-1320 regions, with a target of 1380-1400.
机会,总是留给有准备的人。这句话思辨性极强,如果所有人意见一致,那根本不可能是机会。这句话看起来像博弈,但是对于价值投资者,非常具有意义。相信大家在市场这么久了,应该知道资本市场的残酷,都不是大慈善家,多用点心,多看多学少动,做一个有主见的投资者!最后还是希望大家,在这个投资市场里面都可以把握住自己的一份利润!对于操作不懂及交易不顺的可以关注本人微信公众号“ETH指导分析”,每天不定时更新操作策略,让大家的交易都能得心应手!以上分析为笔者个人观点,仅供参考。
Opportunities are always reserved for those who are prepared to do so. This is very thoughtful. If everyone agrees, it is not an opportunity at all. It looks like a game, but it is very meaningful for value investors.
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