神隐Alvin

神隐Alvin

Alvinnn111 contract number The account is 10k USDT, and it is expected that the profit principal will be reset back to 11k if the profit is 30% each time It is recommended to use the smart copy trading mode, and veterans can also customize copy trading according to the 25-layer settings Stability seekers only follow BTC, and if they want to follow altcoins, they must use the smart copy trading mode Copying is not forever profitable, occasionally losing money, don't follow the giant baby. If you encounter a large unilateral copyist, you can take a week's profit and force a stop loss. If you want to stop 100% of your own copy trade, set a 38% stop loss. I will also try to stop the profit from the previous period of time. Please do not stud, try to save some funds to prevent accidents. My trading account will often reset back to 1w knife, and I recommend that you only invest money that you can afford to lose with a small contract like me, and never stud If the full number of people is full, use my rebate node alvintw to break through the full limit for copy trading X has the same name

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神隐Alvin
神隐Alvin
Successfully took profit on this double whammy. I bought ETH investment with 200,000 USDT at 4.20, and today I successfully cashed out 210,000 USD, securing my gains. #CryptoInvestment #Investment
神隐Alvin
神隐Alvin
I feel like my sell order for ETH2370 is going to miss the mark, what do you all think?
神隐Alvin reposted
Everything
Everything
$4,000,000,000 in notional trading volume. $10B soon?
神隐Alvin
神隐Alvin
I feel like my sell order for ETH2370 is going to miss the mark, what do you all think?
神隐Alvin
神隐Alvin
This #lab has dropped below 1u as expected, I impulsively bought more... I've already lost half of yesterday's profits, let's see if it can bounce back to $LAB.
神隐Alvin
神隐Alvin
As expected, it surged crazily upwards but overall is falling, constantly heading towards 1u. I estimate we will see it drop below 1u today for $LAB. The operation of sneaking up to 4.5 in the middle of the night and crushing most of the shorts was incredible, a classic strong control technique. #CLARITY法案进展:稳定币收益率条款
神隐Alvin
神隐Alvin
I took profits. Although I think $LAB will continue to drop, it's best to stop and secure the gains of 2000u for holiday expenses. Thank you, doge fund. #lab
神隐Alvin
神隐Alvin
$LAB 1d Market Trend Analysis Report Current Price: 2.7659000 USDT 24-Hour Change: 295.977% Major Support Level: 0.7865000 USDT Major Resistance Level: 2.9526000 USDT (Intraday High) Current Trend: High-level oscillation after extreme surge, short-term momentum exhaustion, with a risk of deep pullback. Detailed Explanation: Technical Indicators Summary: Moving Average System: Shows an extreme bullish arrangement (MA5 MA10 MA20 MA120), and the price is far above all moving averages. This extreme deviation usually indicates that the market is overheated, and there is a strong demand for mean reversion in price. MACD: DIF (0.1631) is far above DEA (0.1212), and the histogram is positive, indicating a bullish run. However, it should be noted that after a nearly 300% increase, the upward momentum of MACD may have been fully released, increasing the risk of high-level stagnation. BOLL: The price (2.766) is far above the upper band (1.092), with a %B value of 115%, indicating that the price has severely broken through the upper band of the Bollinger Bands and is in an extremely overbought state. Such a breakout is usually unsustainable, and the price is likely to fall back within the upper band, or even test the middle band. RSI: All period RSIs (RSI6=86.06, RSI14=79.31) are in the severely overbought range (>70). RSI6 is as high as 86, indicating that short-term buying power is nearing its limit, with a very high risk of reversal. KDJ: K value (71.45) and D value (59.05) are at high levels, while the J value (96.26) has reached the extreme overbought area, also indicating significant short-term adjustment pressure. Indicator Data: Funding Rate: 0.187005%, a positive value, indicating that the perpetual contract market remains strongly bullish, with bulls needing to pay funding fees to bears. After such a huge increase, a high funding rate may become an incentive for bears to strike and bulls to take profits, increasing the probability of a price pullback. Volume Changes: From the provided candlestick data, the trading volume (v field) in the past 24 hours and recently has seen a massive increase, synchronized with the price surge, typical of "volume and price rising together." However, extreme volume often corresponds to extreme prices, and massive trading volume also means significant profit-taking and liquidation, which, once buying power exhausts, will lead to heavy selling pressure. Capital Flow Data: Contract capital has seen significant net inflows over 24H and 7D periods (in the tens of millions), indicating that leveraged funds are continuously flowing in to go long. However, observing shorter periods: 5m capital shows significant net outflow (-1.83 million), while 15m and 30m have turned to net inflows, indicating that at the current position, there is a huge divergence between bulls and bears, with intense short-term capital competition and extremely high volatility. (Note: The analysis has taken into account the weight of capital flows across different time periods.) Candlestick Patterns and Volume-Price Analysis: The current price has risen by as much as 306% from the 24-hour low (0.6815) and has pulled back about 6.75% from the high (2.9526). The daily level shows a super bullish candlestick with extremely long upper and lower shadows (or a variant of a doji), which is a typical "bullish exhaustion" or "hanging man" warning signal that indicates heavy selling pressure above, while there is support below but a strong willingness to take profits. Combined with the price starting from an extremely low position, this trend is more inclined towards a "short squeeze" or sentiment-driven market, lacking a solid bottom structure, and the sustainability of the follow-up is questionable. Analysis Result Direction: Cautiously short (given the extremely strong trend, it is not recommended to heavily short naked; it is more suitable to look for high short opportunities after a weak rebound or wait for clear trend reversal signals). Entry Timing: 1. Aggressive Strategy: If the price rebound fails to effectively break through the previous high of 2.9526 and a stagnation candlestick pattern appears near that resistance level (such as a long upper shadow, bearish engulfing, etc.), consider lightly shorting. 2. Conservative Strategy: Wait for the price to clearly break below short-term important support (such as the psychological level of 2.0 USDT or the MA5 moving average), accompanied by increased trading volume, confirming the exhaustion of upward momentum before considering entering short. Stop-Loss Setting: The stop-loss should be set above the key resistance level. If entering near 2.95, the stop-loss can be set in the range of 3.10-3.20 (about 5%-8%). Strictly enforce the stop-loss, as the current market volatility (ATR=0.156) is huge, and the price may fluctuate sharply in the opposite direction. Target Price Levels: First Target: Bollinger Band middle band near 0.685 (potential drop of about 75%). This is a long-term moving average support level. Second Target: Strong support level S1=0.7865 nearby. Please note that pursuing a 5%-10% return in the current high-volatility environment is overly conservative. This strategy aims to capture potential large-scale pullbacks, but the risk is extremely high. If the market chooses to continue a violent surge, this strategy will fail. Core Logic: The market has completed several times the increase within 24 hours, all medium and short-term technical indicators are severely overbought to the limit, the price is severely deviated from the moving average system, and the candlestick shows a bullish exhaustion pattern. Although large-cycle capital is still flowing in, short-term capital competition is intense, and there is a huge divergence between bulls and bears. This aligns with many characteristics of a typical "emotional peak" and "bull trap." Traders should prioritize risk control rather than chasing profits. Note: This analysis is for reference only and does not constitute any investment advice! This asset is highly volatile and considered a high-risk asset; please ensure to trade lightly and manage your funds well.
神隐Alvin
神隐Alvin
The Ethereum Foundation has sold a total of 30,000 ETH since March 15, amounting to approximately 68.92 million dollars.
神隐Alvin
神隐Alvin
Since March 15, the Ethereum Foundation has sold a total of 30,000 ETH, amounting to approximately $68.92 million. V, you really are something. $ETH #以太坊基金会两周出售$4700万ETH
神隐Alvin
神隐Alvin
The $LAB will eventually drop below 1. #特朗普称冲突已结束:伊朗提妥协方案