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比特幣 (BTC) 利潤達到 54.2 億美元,賣方風險比率上升 0.524%,這表明可能存在冷靜期或調整期。
A sell-side risk ratio of 0.524% off the back of $5.42 Billion in Bitcoin (BTC) profits points to a potential cooling off or correction period.
比特幣 (BTC) 利潤為 54.2 億美元,賣方風險率為 0.524%,這表明可能存在冷靜期或調整期。
The growing sell-side pressure could increase risks of correction or consolidation. BTC’s technical signals provide hints of further price fluctuations and a new cycle forming.
不斷增長的賣方壓力可能會增加調整或整合的風險。 BTC的技術訊號提供了價格進一步波動和新周期形成的暗示。
In his analysis, trader Tardigrade observed a change in the Gaussian Channel’s color from red to green. Such a change is known to precede upward cycles for the token.
在他的分析中,交易員緩步動物觀察到高斯通道的顏色從紅色變為綠色。眾所周知,這種變化發生在代幣的上升週期之前。
According to the model, BTC is set to reach peak levels between June and November 2025. The illustrated cycles show how long it took to attain peak market volume after releasing the same signal.
根據該模型,BTC 將在 2025 年 6 月至 11 月之間達到峰值水平。
Moreover, this analysis would imply that several bulls are expected for the next several months for further price growth to a possible peak.
此外,這項分析也意味著,預計未來幾個月價格將進一步上漲至可能的高峰。
A bullish signal is provided by the altered Gaussian Channel, which suggests that BTC could reach all-time highs during mid- to late-2025.
改變的高斯通道提供了看漲訊號,這表明 BTC 可能在 2025 年中後期達到歷史新高。
Profits of 5.42B in BTC Gains Sparks Sell-Off Risk: Is Market Pullback Ahead?
BTC收益5.42B引發拋售風險:市場回檔即將到來嗎?
In other news, Bitcoin earnings just crossed $5.42 Billion with an increased sell-side risk ratio of 0.524%.
其他消息方面,比特幣收益剛突破 54.2 億美元,賣方風險比率增加至 0.524%。
Such a high ratio for the sell-side risk suggests a change in the market on account of investors taking profits after a surge in BTC price.
如此高的賣方風險比率表明,由於投資者在比特幣價格飆升後獲利了結,市場發生了變化。
The growing profits and the increasing risk ratios potentially signal an incoming cooling-off period for the BTC.
不斷增長的利潤和不斷上升的風險比率可能預示著比特幣即將進入冷靜期。
However, a growth in sell-side pressure could enhance simmering volatility, facilitating corrections or consolidations.
然而,賣方壓力的增加可能會加劇波動性,從而促進調整或整合。
This trend warns traders considering the relief of profits on the marketplace. Market analysts are betting on the likelihood of the risk ratio moving up and the associated profit realization.
這一趨勢警告交易者考慮減少市場利潤。市場分析師押注於風險比率上升的可能性以及相關利潤的實現。
This data provides a good cause to maintain a lookout. This is because high-risk exposure on the sell-side usually indicates when the trend will extend after a substantial bullish move.
該數據為保持警惕提供了充分理由。這是因為賣方的高風險敞口通常預示著在大幅看漲之後趨勢何時會延續。
High exported profits coupled with a high-risk ratio may indicate a possibility of future price fluctuations or corrections. This could be a warning for fluctuations.
高出口利潤加上高風險率可能預示著未來價格波動或調整的可能性。這可能是對波動的警告。
More Activity in Derivatives May, Result in More Fluctuations
衍生性商品的更多活動可能會導致更多的波動
Bitcoin’s futures trading volume has increased on mainstream exchanges, especially Binance Exchange. On Binance, trading volumes on derivatives markets reached new heights.
主流交易所的比特幣期貨交易量增加,尤其是幣安交易所。在幣安上,衍生性商品市場的交易量達到了新的高度。
The higher volume of BTC strategies is seemingly in sync with the higher prices than normal. This invites those volatility spikes signaling fluctuations.
比特幣策略的交易量增加似乎與高於正常水平的價格同步。這會引發波動性峰值,從而發出波動信號。
The latest surge in the trading volume of futures contracts suggests a migration from spot dealings into derivatives. Traders would primarily undertake this hoping for price movement expecting profit or protection.
期貨合約交易量的最新激增表明從現貨交易轉向衍生性商品交易。交易者主要會希望價格變動,以期獲得利潤或保護。
The graph showing the extended volume of futures contracts suggests a sharpened appetite for futures contracts using leverage. This would increase volatility and instability of prices in the market.
顯示期貨合約交易量擴大的圖表表明,人們對利用槓桿的期貨合約的興趣日益濃厚。這將增加市場價格的波動性和不穩定性。
Increased volume of derivatives trading could spell a period of heightened volatility in Bitcoin’s market. As futures trading hits a high, the probability of drastic price movements has also increased.
衍生性商品交易量的增加可能會導致比特幣市場一段時期的波動加劇。隨著期貨交易走高,價格大幅波動的可能性也隨之增加。
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