1. Context (背景分析): The overall structure remains bearish. After a significant 45% drawdown from the major top, the price is now entering a consolidation phase. (整體結構維持看跌。在從大頭部回落約 45% 後,價格目前進入盤整階段。)
2. The Logic of Scales (規模邏輯): Technically, the current consolidation base is much smaller than the previous distribution top. Therefore, the probability of a "V-shape" recovery to new highs is relatively low at this stage. (從技術面來看,目前的整理區間規模遠小於先前的派發頭部。因此,現階段要出現 V 轉並創下新高的機率並不高。)
https://www.tradingview.com/x/4MLXgSc3/
3. The Opportunity (機會點): However, a short-term rebound (Relief Rally) is highly probable. We are looking for a mean reversion play as the selling pressure shows signs of exhaustion in the local range. *(然而,短期內的**反彈(緩解式上漲)*是非常有可能的。隨著局部區間的拋壓顯現疲態,我們正在尋找一個均值回歸的交易機會。)
4. Execution & Risk (執行與風險): Since this is a counter-trend trade, I will keep my targets realistic and my stop loss tight. Trading with zero pressure by focusing on the process, not the outcome. (由於這是一筆逆勢交易,我會保持務實的獲利目標並嚴格設置止損。專注於過程而非結果,保持零壓力的交易狀態。)
5.Execution & Risk Management (執行與風險控管): Since we are trading a rebound underneath a major topping structure, we are naturally exposed to higher risks. Therefore, my position sizing will be more conservative than usual.
Signal: A high-volume breakout signal appeared on Dec 29, 00:00.
Maximum Risk (Hard Stop): 6.5% at $2774. This is the invalidation point for the entire local structure.
Short-term Risk: ~3% at $2888. This level provides a tighter exit for a high-precision setup.
6.Profit Targets (獲利目標)
I am looking for high-probability targets to ensure a positive expectancy:
Primary Target: The Previous High (Local resistance).
Secondary Target: Based on a 1:3 Risk/Reward Ratio. (獲利目標看向前高或是滿足 1:3 的盈虧比。)
2. The Logic of Scales (規模邏輯): Technically, the current consolidation base is much smaller than the previous distribution top. Therefore, the probability of a "V-shape" recovery to new highs is relatively low at this stage. (從技術面來看,目前的整理區間規模遠小於先前的派發頭部。因此,現階段要出現 V 轉並創下新高的機率並不高。)
https://www.tradingview.com/x/4MLXgSc3/
3. The Opportunity (機會點): However, a short-term rebound (Relief Rally) is highly probable. We are looking for a mean reversion play as the selling pressure shows signs of exhaustion in the local range. *(然而,短期內的**反彈(緩解式上漲)*是非常有可能的。隨著局部區間的拋壓顯現疲態,我們正在尋找一個均值回歸的交易機會。)
4. Execution & Risk (執行與風險): Since this is a counter-trend trade, I will keep my targets realistic and my stop loss tight. Trading with zero pressure by focusing on the process, not the outcome. (由於這是一筆逆勢交易,我會保持務實的獲利目標並嚴格設置止損。專注於過程而非結果,保持零壓力的交易狀態。)
5.Execution & Risk Management (執行與風險控管): Since we are trading a rebound underneath a major topping structure, we are naturally exposed to higher risks. Therefore, my position sizing will be more conservative than usual.
Signal: A high-volume breakout signal appeared on Dec 29, 00:00.
Maximum Risk (Hard Stop): 6.5% at $2774. This is the invalidation point for the entire local structure.
Short-term Risk: ~3% at $2888. This level provides a tighter exit for a high-precision setup.
6.Profit Targets (獲利目標)
I am looking for high-probability targets to ensure a positive expectancy:
Primary Target: The Previous High (Local resistance).
Secondary Target: Based on a 1:3 Risk/Reward Ratio. (獲利目標看向前高或是滿足 1:3 的盈虧比。)
İşlem aktif
Target 1 Reached: 1:3 RR Secured at Neckline Resistance目標:鎖定 1:3 盈虧比
Current Situation (現況分析): The price has reached the key Neckline Resistance as anticipated. This was our primary target for this relief rally. (價格已如預期抵達關鍵的頸線壓力區。這是我們這波緩解式反彈的首要目標。)
Price has reached the neckline resistance area. I have secured profits by closing more than half of my position. Observation: The scale of the current consolidation is still smaller than the major top. I will now wait and observe if a new consolidation base forms at this resistance or if selling pressure resumes. Exit Plan: For the remaining position, I will set a trailing stop slightly below the midpoint ($3023) of the current consolidation range to protect the remaining gains.目前價格已抵達頸線壓力區,我已在此鎖定獲利並減倉一半以上。 技術觀察: 目前底部的整理規模仍小於先前的頭部結構。我將在此持續觀察,看價格是在此壓力位附近形成新的整理底座以蓄勢突破,還是拋售壓力會重新介入。 離場計畫: 剩餘部位我將在當前整理區間的中值 ($3023) 下方設置停利,以確保最終利潤不被侵蝕。
Personal Preference: my typical trading style is to reduce 70% of my position at the first major target. This allows me to secure the bulk of the profits while staying completely pressure-free for the remainder of the move.在第一個重大目標區,我通常習慣先調節 70% 的部位。這能讓我鎖定絕大部分的獲利,並以完全**「零壓力」**的心態觀察剩餘部位的後續走勢。
Feragatname
Bilgiler ve yayınlar, TradingView tarafından sağlanan veya onaylanan finansal, yatırım, alım satım veya diğer türden tavsiye veya öneriler anlamına gelmez ve teşkil etmez. Kullanım Koşulları bölümünde daha fazlasını okuyun.
Feragatname
Bilgiler ve yayınlar, TradingView tarafından sağlanan veya onaylanan finansal, yatırım, alım satım veya diğer türden tavsiye veya öneriler anlamına gelmez ve teşkil etmez. Kullanım Koşulları bölümünde daha fazlasını okuyun.
