2️⃣ Short Positions (try shorting on rebounds, light positions)
- Entry: Rebound to 2100–2120 facing resistance, volume decreasing - Stop Loss: 2150 (breakout with volume invalidates short) - Targets: 2040–2030 (first); 1980–2000 (second) - Logic: Heavy short-term supply at 2150, rebound area of supply zone
3️⃣ Trend Judgment
- Volume breakdown below 2030 → weakening, watch 1980–1950 - Stabilize above 2150 with 4-hour close → strengthening, watch 2200+
IV. Risk Management and Positioning
- Position Size: Single position ≤5%, total position ≤20% - Stop Loss: Must be set for each order, avoid holding through losses - Correlation: Keep a close eye on BTC, reduce positions quickly if market weakens
V. Risk Warning
- Profit-taking pressure after rally, high volatility - Macro factors (USD, Federal Reserve) and ETF capital flows have significant impact - Information is for reference only and does not constitute investment advice #加密市场反弹 $ETH
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📊 2026-02-26 ETH Technical Analysis + Practical Strategies (As of 12:45)
Current Price: approximately $2050, volatile rebound with high-level consolidation
I. Core Technical Signals
- 24 Hours: Bottomed at 1805 → surged to 2146 → pulled back, long upper shadow, intraday gain of 13%+
- 4 Hours: MACD golden cross flattening, bearish divergence; RSI≈62 (relatively strong); Stochastic turning at high level, significant correction pressure
- Daily Chart: Large bullish candle reclaiming MA5/MA10, oversold correction, but the overall trend remains unchanged
- Correlation: Highly follows BTC, market weakness leads to quick pullbacks
II. Key Precise Levels
- Strong Support: 2030–2040 (intraday low + dense trading area)
- Secondary Support: 1980–2000 (rebound continuation + psychological level)
- Defensive Level: 1950 (4-hour MA20)
- First Resistance: 2100–2120 (area of heavy selling pressure)
- Strong Resistance: 2146–2150 (intraday high)
- Trend Reversal: 2200+ (daily chart turning stronger)
III. Practical Strategies (Light Position, with Stop Loss)
1️⃣ Long Positions (mainly low buy, avoid chasing highs)
- Entry: Rebound to 2030–2040 stabilize, 4-hour candle closes positive
- Stop Loss: 2000 (exit if broken)
- Targets: 2100–2120 (first); 2146 (second)
- Logic: Effective support + oversold correction, short-term trading
2️⃣ Short Positions (try shorting on rebounds, light positions)
- Entry: Rebound to 2100–2120 facing resistance, volume decreasing
- Stop Loss: 2150 (breakout with volume invalidates short)
- Targets: 2040–2030 (first); 1980–2000 (second)
- Logic: Heavy short-term supply at 2150, rebound area of supply zone
3️⃣ Trend Judgment
- Volume breakdown below 2030 → weakening, watch 1980–1950
- Stabilize above 2150 with 4-hour close → strengthening, watch 2200+
IV. Risk Management and Positioning
- Position Size: Single position ≤5%, total position ≤20%
- Stop Loss: Must be set for each order, avoid holding through losses
- Correlation: Keep a close eye on BTC, reduce positions quickly if market weakens
V. Risk Warning
- Profit-taking pressure after rally, high volatility
- Macro factors (USD, Federal Reserve) and ETF capital flows have significant impact
- Information is for reference only and does not constitute investment advice
#加密市场反弹 $ETH