- Short Selling (Trend Following) - Aggressive: Try Short at $65,000–$65,300 with Light Position, Stop Loss at $65,500, Target $64,000 - Conservative: Short Again at $66,500 with Stop Loss at $67,000, Target $64,500 - Going Long (Only for Oversold Rebound) - Enter Long with Light Position if Price Stabilizes above $64,000 and Does Not Break Down, Stop Loss at $63,800, Target $65,000 - Risk Management: Leverage ≤3x, Total Position ≤30%, No Holding Through, No Adding Positions
⚠ Important Reminders
- Macro Factors (Tariffs, ETFs) and News Have Major Impact; Adjust Flexibly During Trading - Breaking Below $64,000 Easily Triggers Follow-On Selling; Volume Breakthrough Above $65,300 Means Exit Short Positions
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📊 2026-02-24 BTC Technical Overview (as of 14:30)
Current Price: approximately $64,100; 24h Change: -1.85%; Range: $63,800–$65,200
🔍 Key Technical Signals
- Cycle Structure: 4h/6h Bearish Resonance, Moving Average Bearish Alignment, Weak Rebound
- Pattern: Intraday Downtrend Channel, Multiple Rejections at $65,000–$65,300 (Bollinger Middle Band/MA60 Strong Resistance)
- Volume: No Volume on Rebound, Increasing Volume on Decline, Clear Selling Pressure
- Sentiment/Funds: Increased Liquidation Across the Network, Slight Outflow from ETFs, Rising Risk Aversion
🎯 Intraday Key Price Levels (Precise Trading Zones)
- Resistance Levels
- First Resistance: $65,300 (Strong Resistance, Bull-Bear Boundary)
- Second Resistance: $66,500–$67,000 (Intraday Strong Resistance Zone)
- Support Levels
- First Support: $64,000 (Intraday First Defense Line)
- Second Support: $63,000–$63,500 (Bearish Target Zone)
📈 Intraday Trading Strategies (Light Positions + Strict Stop-Loss)
- Short Selling (Trend Following)
- Aggressive: Try Short at $65,000–$65,300 with Light Position, Stop Loss at $65,500, Target $64,000
- Conservative: Short Again at $66,500 with Stop Loss at $67,000, Target $64,500
- Going Long (Only for Oversold Rebound)
- Enter Long with Light Position if Price Stabilizes above $64,000 and Does Not Break Down, Stop Loss at $63,800, Target $65,000
- Risk Management: Leverage ≤3x, Total Position ≤30%, No Holding Through, No Adding Positions
⚠ Important Reminders
- Macro Factors (Tariffs, ETFs) and News Have Major Impact; Adjust Flexibly During Trading
- Breaking Below $64,000 Easily Triggers Follow-On Selling; Volume Breakthrough Above $65,300 Means Exit Short Positions