ETH/USDT Perptual Futures 15-minute strategy analysis (based on data from August 10, 2025, 06:00)
Core logic: Bullish breakout on high volume, prioritize buying on pullbacks. Key Data Analysis Price Dynamics: Closed at 4299.56 (increase of 0.31%), with a fluctuation of 0.51% (4271.61-4293.36), breaking through the previous high of 4288.48, bullish momentum. Support: 4288.48 (previous high turned support), 4275 (opening price area); Resistance: 4300 (psychological level), 4315 (1.5 times amplitude level). Healthy volume and price: The trading volume of 35,373 is close to the 5-day average volume of 60,984, indicating a high validity of the breakout. Indicator Signal: MACD Golden Cross Continuation: DIF(19.54) > DEA(18.89), Red Bar(1.31) turns red, bullish momentum strengthens. Key resistance: 4300 has psychological selling pressure, and a volume confirmation break is needed. Low-risk strategy: Buy on pullback + Chase breakout Long Entry Point (Main Strategy): Pull back to the 4288-4290 range (previous high support) and stabilize, combined with the MACD red bars expanding. Target: 4300 → 4310 (1x amplitude). Stop Loss: 4283 (Break support zone +0.15%). Breakthrough order conditions: Breakout with volume exceeding 4303 (VOLUME>40,000), chase long to 4315. Stop loss: 4295 (breakout pullback level). Timeliness and Risk Control Operation Window: Pullback to go long: 06:15-07:00 (Asian early session liquidity recovery period) Breakthrough Long: 07:00-08:00 (Continuation of Asian Session Momentum) Holding time: ≤30 minutes, profit reaches 15 USD to take profit 50%. Position Management: ≤3% of total funds, Profit and Loss ratio ≥3:1 (Stop Loss $6, Take Profit $18). Strategic Advantage: Rely on effective breakout retests to go long, with a clear risk-reward ratio; volume confirmation enhances signal reliability. Risk Warning: If the price directly falls below 4288 and closes below 4285 on the 15-minute chart, abandon long positions and take a wait-and-see approach. Action Summary: ① Main Strategy: Long position with a light position at 4289, stop loss at 4283, target 4300→4310. ② Breakthrough Strategy: Increase volume to break 4303 and chase long to 4315, with a stop loss at 4295. (Note: The K-line date showing "2025-06-10" should be a system error; the actual fluctuation is based on August 10; if the real market does not retrace and directly breaks below 4280, the strategy is invalid) #Gate & WLFI USD1 积分计划 #特朗普允许401(k)投资加密货币 #Gate跟单训练营晒单赢$2,000
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ETH/USDT Perptual Futures 15-minute strategy analysis (based on data from August 10, 2025, 06:00)
Core logic: Bullish breakout on high volume, prioritize buying on pullbacks.
Key Data Analysis
Price Dynamics:
Closed at 4299.56 (increase of 0.31%), with a fluctuation of 0.51% (4271.61-4293.36), breaking through the previous high of 4288.48, bullish momentum.
Support: 4288.48 (previous high turned support), 4275 (opening price area); Resistance: 4300 (psychological level), 4315 (1.5 times amplitude level).
Healthy volume and price: The trading volume of 35,373 is close to the 5-day average volume of 60,984, indicating a high validity of the breakout.
Indicator Signal:
MACD Golden Cross Continuation: DIF(19.54) > DEA(18.89), Red Bar(1.31) turns red, bullish momentum strengthens.
Key resistance: 4300 has psychological selling pressure, and a volume confirmation break is needed.
Low-risk strategy: Buy on pullback + Chase breakout
Long Entry Point (Main Strategy):
Pull back to the 4288-4290 range (previous high support) and stabilize, combined with the MACD red bars expanding.
Target: 4300 → 4310 (1x amplitude).
Stop Loss: 4283 (Break support zone +0.15%).
Breakthrough order conditions:
Breakout with volume exceeding 4303 (VOLUME>40,000), chase long to 4315.
Stop loss: 4295 (breakout pullback level).
Timeliness and Risk Control
Operation Window:
Pullback to go long: 06:15-07:00 (Asian early session liquidity recovery period)
Breakthrough Long: 07:00-08:00 (Continuation of Asian Session Momentum)
Holding time: ≤30 minutes, profit reaches 15 USD to take profit 50%.
Position Management: ≤3% of total funds, Profit and Loss ratio ≥3:1 (Stop Loss $6, Take Profit $18).
Strategic Advantage: Rely on effective breakout retests to go long, with a clear risk-reward ratio; volume confirmation enhances signal reliability.
Risk Warning: If the price directly falls below 4288 and closes below 4285 on the 15-minute chart, abandon long positions and take a wait-and-see approach.
Action Summary:
① Main Strategy: Long position with a light position at 4289, stop loss at 4283, target 4300→4310.
② Breakthrough Strategy: Increase volume to break 4303 and chase long to 4315, with a stop loss at 4295.
(Note: The K-line date showing "2025-06-10" should be a system error; the actual fluctuation is based on August 10; if the real market does not retrace and directly breaks below 4280, the strategy is invalid) #Gate & WLFI USD1 积分计划 #特朗普允许401(k)投资加密货币 #Gate跟单训练营晒单赢$2,000