Bitcoin is About to Choose a Direction, How to Respond Flexibly | Invited Analysis

marsbit發佈於 2025-12-29更新於 2025-12-29

文章摘要

Bitcoin is approaching a critical directional decision after an extended period of consolidation. Since reaching its all-time high of $126,200 in October, BTC has been in a confirmed medium-term downtrend, with a maximum drawdown of approximately 36% over 82 days. Technical indicators suggest the market is in an oversold area, and a directional breakout is imminent. Last week’s price action validated the analyst’s core view of wide-range oscillation between key levels. Two short-term trades were executed within the defined resistance zone of $89,500–$91,000, yielding a total return of 3.62%. The current analysis suggests that, in the absence of sudden news, a likely scenario involves a final downward move breaking the $80,000 psychological support to flush out remaining long positions before a potential reversal and technical rebound. This week (Dec 29–Jan 4), the market is expected to test the $86,000–$86,500 support region. A break below could lead to a decline toward $83,500–$84,500, while holding may extend the current consolidation. Two short-term trading plans are proposed based on whether this support holds or breaks, using 30% position sizing with strict stop-loss and trailing stop protocols. Key macro events this week include the release of the FOMC meeting minutes and US jobless claims data, which may influence medium-term interest rate expectations and market liquidity sentiment.

Odaily Invited Market Analyst Conaldo, Master of Financial Statistics from Columbia University, USA, focused on quantitative trading of US stocks during university and gradually expanded to digital assets such as Bitcoin, building a systematic quantitative trading model and risk control system through practical experience; possesses keen data insight into market fluctuations and is committed to continuous development in the professional trading field, pursuing stable returns; will delve into BTC technical, macro, and capital changes weekly, review and showcase practical strategies, and preview major upcoming events for reference.

Core Summary of Trading Weekly Report:

  • Strategy Execution (Short-term) Effectiveness Verification: Last week's trading strictly followed the established strategy, successfully completed two operations, achieving a cumulative return of 3.62%.
  • Core View (Short-term) Verification: Our core view proposed last week that "the market will show wide-range fluctuations" has been perfectly verified by the market movement. The defined core observation range of $89,500~$91,000 and the support area below of $86,500~$87,500 were repeatedly tested by the market. Particularly key is that last week's high of $90,598 was only $402 away from the upper edge of our core area ($91,000); the low during the week ($86,400) was only $100 away from the lower edge of the support area ($86,500), fully confirming the accuracy of our point prediction.
  • From a macro-technical perspective, Bitcoin has been in adjustment for 82 days since hitting its all-time high of $126,200 on October 6, with a maximum decline of about 36%, confirming a medium-term bearish trend. However, observing multiple technical indicators, it has now entered a low area, and the time and space of the adjustment are gradually approaching historical common oversold conditions. Since November 22, the price has continued to consolidate in a low range, showing a relative balance between bullish and bearish forces, with momentum for a directional breakthrough gathering. Although there are increasing calls for a rise in the market, we believe that, excluding interference from sudden news, there is still one key possibility for the subsequent trend: if the market is dominated by main funds, a better strategy for the bears might be to break down first, piercing the key psychological barrier of $80,000, using panic to clear the remaining long positions, thus completing the final bottoming. After that, funds can顺势 achieve a "short to long" shift, quickly pulling the price away from the cost area, and then start a relatively strong technical correction. It must be emphasized that the above trend is only a deduction based on market behavior logic, not an inevitable path. No matter how the market evolves, remember: "The market is always right." Before the choice of direction, maintaining observation and flexible response remains key at this stage.

1. Review of Last Week's Trading Results: (12.22~12.28)

1. Short-term Trading Review (No Leverage):

First Trade (Profit 2.27%): Based on the "rebound to core pressure area encounters resistance and goes short" pattern. When the price冲击 the $89,500~$91,000 area and encountered resistance,叠加 the spread trading model simultaneously发出 a top signal, a 30% short position was established, and finally closed for profit when the price fell near the support area.

Second Trade (Profit 1.35%): The logic of this trade is the same as above. When the price冲击 the $89,500~$91,000 area and encountered resistance,叠加 two models发出 resonance signals, successfully completing this trade.

2. Last Week's Trend Prediction and Operation Strategy Review:

Last week's前瞻 analysis clearly stated: It is expected that the market will mainly present a wide-range fluctuation pattern. The core observation range is $89,500~$91,000, and the outcome of the struggle in this area will determine the short-term direction. The following is the strategy review and analysis.

1. Market Trend Prediction Review:

• Core Pressure Level: First pressure looks at the $89,500~$91,000 area; second pressure looks at the $93,000~$94,500 area.

• Core Support Level: First support looks at the $86,500~$87,500 area; second support looks at the $83,500~$84,500 area.

2. Operation Strategy Review:

• Midline Strategy: Maintain about 65% midline position (short).

• Short-term Strategy: Last week we initially drafted A/B two sets of short-term operation plans. Combined with the actual market movement, we finally used Plan B as the core strategy and executed it.

(Plan B: Rebound verification, the $89,500~$91,000 core area has been effectively broken)

• Open Position: When encountering resistance signals during the rebound verification process, a 30% short position can be established.

• Risk Control: Stop loss set above $92,000.

• Close Position: When the price探 to the $83,500~$84,500 area shows resistance, consider partially or fully closing the position to take profit.

2. Technical Analysis: Bitcoin Medium-term Trend Judgment

Combining last week's market operation, the author will use multi-dimensional analysis models to conduct an in-depth analysis of the evolution of Bitcoin's internal structure and trend.

Bitcoin Weekly K-line Chart: (Momentum Quantitative Model + Sentiment Quantitative Model)

Figure 2

1. As shown in (Figure 2), analysis from the weekly chart:

Momentum Quantitative Model: After last week's adjustment, the two momentum indicator lines are still running below the zero axis, and the negative energy柱 is gradually shortening. This indicates that although the weekly line has entered a bear market, the bearish momentum has not been fully released.

Momentum Quantitative Model Predicts: Price decline index: High

Sentiment Quantitative Model: Blue sentiment line value 49.74, strength zero; yellow sentiment line value 19.99 (close to the low threshold), strength zero, peak value is 0.

Sentiment Quantitative Model Predicts: Price pressure and support index: Neutral

Digital Monitoring Model: The price has broken below the bull-bear (yellow-blue line)分界线 for 6 weeks; short-term bottom digital signal (above 9) has not yet appeared.

The above data预示: Bitcoin's weekly chart has established a bearish trend, be wary of subsequent release of bearish力量.

Bitcoin Daily K-line Chart:

Figure 3

2. As shown in (Figure 3), analysis from the daily chart:

Momentum Quantitative Model: In last week's movement, the two momentum lines were almost粘合 together, slowly rising below the zero axis and gradually approaching the zero axis. Affected by the holiday, daily trading volume continued to萎缩, and the positive energy柱 change was not obvious.

Momentum Quantitative Model Predicts: Buying momentum is weak, the energy柱 has contracted to a "starlight" shape, indicating a temporary balance between bullish and bearish forces.

Sentiment Quantitative Model: After last week's daily close, the blue sentiment line value is 16 (close to the low threshold), strength zero; yellow sentiment line value is 40, strength zero.

Sentiment Quantitative Model Predicts: Pressure and support index: Neutral

The above data提示: The daily level is in a bear market, and the short-term market is about to choose a direction.

3. This Week's Bitcoin Market Prediction: (12.29~01.04)

1. It is highly likely that the market will mainly fluctuate and探底 this week, with the core observation range at $86,000~$86,500.

If effectively broken below: The price may continue to探, testing the support area below of $83,500~$84,500.

If effectively站稳: The market may延续 the current $86,500~$91,000 range fluctuation pattern.

2. Core Pressure Levels:

• First Pressure Area: $89,500~$91,000 area

• Second Pressure Area: $93,000~$94,500 area

• Important Pressure Area: Near $97,000

3. Core Support Levels:

• First Support Level: $86,000~$86,500 area

• Second Support Level: $83,500~$84,500 area

• Important Support Level: Near $80,000.

4. This Week's Bitcoin Operation Strategy (Excluding Sudden News Impact): (12.29~01.04)

1. Midline Strategy: Maintain about 65% midline position (short).

2. Short-term Strategy: Use 30% of the position, set stop loss points, and look for "spread" opportunities based on support and pressure levels. (Using 30 minutes as the operation cycle).

3. Focus on observing the struggle between bulls and bears over the $86,000~$86,500 area. To cope with market evolution, we have drafted A/B two sets of short-term operation plans:

Plan A: If effectively站稳 the $86,000~$86,500 area:

• Open Position: When the price rebounds to the $89,500~$91,000 area and shows resistance signals, a 30% short position can be established.

• Risk Control: Short stop loss set above $92,500.

• Close Position: When the price falls to the $86,000~$86,500 area and shows stabilization signals, close all short positions to take profit.

Plan B: If effectively跌破 the $86,000~$86,500 area:

• Open Position: If the price effectively breaks below, a 30% short position can be established.

• Risk Control: Stop loss set above $88,000.

• Close Position: When the price探 to the $83,500~$84,500 area shows stabilization signals, gradually close the position to take profit.

5. Special Tips:​​

1. When opening a position: Immediately set the initial stop loss level.

2. When profit reaches 1%: Move the stop loss to the opening cost price (break-even point) to ensure principal safety.

3. When profit reaches 2%​​: Move the stop loss to the position of 1% profit.

4. Continuous tracking: Thereafter, for every additional 1% profit, move the stop loss同步 by 1%, dynamically protecting and locking in existing profits.

(Note: The above 1% profit trigger threshold can be flexibly adjusted by investors according to their own risk preference and标的 volatility.)

6. This Week's Key Events前瞻: (12.29~01.04)

1. Fed Meeting Minutes Release "Real Divergence" Signal

Wednesday 03:00, the Fed will release the latest monetary policy meeting minutes. Compared to the interest rate decision itself, the minutes are more critical regarding the degree of divergence among internal members on the "timing, magnitude, and sustainability of rate cuts."

If the minutes show increased confidence among officials in the decline of inflation and discuss an earlier or faster easing path, it will strengthen the market's expectation of "declining real interest rates," constituting a medium-term positive for Bitcoin; conversely, if the minutes emphasize concerns about inflation recurring or financial conditions easing too quickly, it may阶段性 lift the US dollar and US bond yields, forming emotional suppression on BTC.

For Bitcoin, this is not a short-term directional signal but an important node affecting the mid-term capital pricing anchor.

2. Initial Jobless Claims: Thermometer of Liquidity Expectations

Wednesday 21:30, the US will announce the initial jobless claims for the week ending December 27.

The current market is more concerned with "whether the labor market is showing structural cooling" rather than fluctuations in a single data point.

If initial claims持续 above trend levels, it will further verify the economic cooling logic, strengthening the market's expectation of continued宽松 policy, which is beneficial for the valuation repair of non-yielding assets like Bitcoin; if the data falls again, it may strengthen the judgment that "the economy is still resilient," which is not conducive to the expansion of risk appetite for BTC in the short term.

The impact of this indicator on Bitcoin is mainly reflected in interest rate expectations rather than fundamentals itself.

3. Final Manufacturing PMI Verifies Real Economy Direction

Friday 22:45, the US December S&P Global Manufacturing PMI final value will be announced.

As a leading indicator, the PMI will help the market judge whether "soft landing" is still on track.

If the final value confirms that manufacturing is stabilizing or even improving, the overall sentiment of risk assets is expected to be maintained, with limited systemic pressure on BTC; if the PMI is revised down again, it may trigger repricing of economic downturn, short-term bearish for risk assets, but medium to long term may反而 strengthen expectations for monetary easing.

Financial markets are changing rapidly, all market analysis and trading strategies need to be dynamically adjusted. All views, analysis models, and operation strategies involved in this article are derived from personal technical analysis, for personal trading log use only, and do not constitute any investment advice or operation basis. The market has risks, investment needs caution, DYOR.

相關問答

QWhat is the analyst's short-term core view on the Bitcoin market as presented in the article, and how was it validated?

AThe analyst's short-term core view was that the market would present a wide-range interval oscillation. This was perfectly validated by the market movement, as the price repeatedly tested the defined core observation interval of $89,500~$91,000 and the support zone of $86,500~$87,500. The high of $90,598 was only $402 away from the upper bound, and the low of $86,400 was only $100 away from the support zone's lower bound.

QAccording to the technical analysis, what is the current state of Bitcoin's medium-term trend on the weekly chart?

AThe weekly chart analysis confirms an established bearish trend. The momentum量化 model shows both动能指标线 operating below the zero axis with negative energy柱 gradually shortening, indicating bearish momentum has not been fully released. The情绪量化 model shows neutral pressure and support indices. The digital monitoring model shows the price has been below the bull-bear line for 6 weeks, and a short-term bottom signal has not yet appeared.

QWhat are the two potential short-term operation plans (A and B) outlined for the week of December 29th to January 4th?

APlan A: If the price effectively holds above the $86,000~$86,500 area, open a 30% short position when the price rebounds to the $89,500~$91,000 area and shows a resistance signal. Stop loss is set above $92,500. Close the position for profit when the price falls to the $86,000~$86,500 area and shows a stabilization signal. Plan B: If the price effectively breaks below the $86,000~$86,500 area, open a 30% short position. Stop loss is set above $88,000. Close the position for profit when the price falls to the $83,500~$84,500 area and shows a stabilization signal.

QWhat key macroeconomic events are highlighted for the week, and how might they impact Bitcoin?

AThree key events are highlighted: 1) The release of the FOMC Meeting Minutes on Wednesday at 03:00, which could impact Bitcoin by influencing mid-term capital pricing anchors based on signals about internal Fed分歧 on rate cuts. 2) The Weekly Initial Jobless Claims data on Wednesday at 21:30, which acts as a thermometer for liquidity expectations and impacts Bitcoin through interest rate expectations. 3) The Final S&P Global Manufacturing PMI on Friday at 22:45, which validates the direction of the real economy and can affect overall risk asset sentiment for Bitcoin.

QWhat is the analyst's speculative scenario for a potential market move led by major funds, as mentioned in the core观点 section?

AThe analyst speculates that if the market is dominated by major funds, a potentially optimal strategy for the bears would be to break down first, piercing the key psychological barrier of $80,000. This would use panic sentiment to flush out remaining long positions, completing a final bottoming process. Afterwards, funds could then switch from short to long, rapidly pulling the price up away from the cost area to initiate a more forceful technical repair行情.

你可能也喜歡

谷歌847亿美元融资后市场就调整,AI 估值开始看回本速度

过去几年,市场对AI估值的核心逻辑是相信AI将改变世界,因此愿意给予高估值。但近期市场情绪发生变化,部分半导体和AI软件股票回调,资金转向现金流更稳定的方向。与此同时,谷歌(Alphabet)宣布大规模股权融资并上调资本开支指引,这促使市场重新审视AI投资逻辑。 市场的关注点正从“增长叙事”转向“资本效率”。AI发展需要巨额资本投入于芯片、数据中心、电力和网络等基础设施,这更像一场重资产的基础设施周期,而非轻资产的软件扩张。投资者开始更关注三个问题:资金从哪来、成本有多高、以及多久能回本。 谷歌的融资行为虽不直接意味着危机,但凸显了AI建设的资本密集特性。市场担心,不仅是大科技公司,前沿AI模型公司、数据中心运营商和电力公司都将争夺同一资金池,这可能推高整体融资成本,并考验各参与方的资本回报能力。 在此背景下,估值逻辑发生切换。高估值、依赖远期增长故事的公司面临压力,而订单清晰、现金流稳定的硬件、数据中心等“卖铲子”类资产则获得相对支撑。投资者开始更挑剔地审视AI投资的真实经济回报。 展望未来,AI板块的表现将取决于几个关键验证点:各公司资本开支指引是否持续上调、AI相关收入能否快速兑现以覆盖成本,以及资本市场能否持续消化大规模融资。虽然AI的长期前景依然被看好,但市场对其的估值已进入一个更注重现实回报和资本效率的新阶段。

marsbit25 分鐘前

谷歌847亿美元融资后市场就调整,AI 估值开始看回本速度

marsbit25 分鐘前

Orbs 推出面向机构的 DeFi 交易基础设施

Orbs今日推出了专为机构设计的DeFi交易基础设施“Orbs Institutional”,旨在为交易台、OTC公司、资金部门、托管方和金融平台提供直接访问其链上执行基础设施的渠道。该服务基于Orbs自2023年以来已处理超过25亿美元现货交易量的技术,此前已通过PancakeSwap等知名去中心化交易平台提供,现直接面向机构市场参与者开放。 随着机构对去中心化金融接受度提高,企业正越来越多地将链上执行纳入交易运营,但许多机构在去中心化市场中仍面临执行质量、托管要求和透明度等挑战。Orbs首席商务官Ran Hammer表示,机构不应在去中心化市场的效率与专业交易基础设施标准之间做选择,Orbs Institutional正是为提供透明、具有价格竞争力且资产完全可控的链上执行而设计。 该服务的核心是Orbs的流动性聚合协议Liquidity Hub,它通过私有询价层从专业做市商和去中心化交易所获取流动性,旨在提升执行质量并降低MEV和抢先交易风险。同时,机构还可使用dTWAP、dLIMIT等执行工具。订单支持符合EIP-712标准的现有托管或MPC基础设施签名,资产在整个执行周期中均由客户控制,且协议自2017年运行以来未出现已知漏洞。 Orbs Institutional提供两种主要集成方式:机构客户可通过API直接接入执行栈;钱包、托管方、交易所等则可选择白标或联合品牌方案,将Orbs执行能力集成至现有产品。随着机构在数字资产市场的参与度提升,Orbs预计市场对透明、自托管且自动化的执行基础设施需求将增长,并认为专业机构直接接入链上流动性和执行工具将推动DeFi下一阶段采用。 Orbs是一个专为高级链上交易设计的去中心化Layer3区块链,采用权益证明共识,支持传统智能合约无法实现的复杂逻辑与脚本,通过dLIMIT、Liquidity Hub等协议为去中心化市场带来媲美中心化金融的执行水平。

TheNewsCrypto34 分鐘前

Orbs 推出面向机构的 DeFi 交易基础设施

TheNewsCrypto34 分鐘前

管理近万亿估值公司,Anthropic CEO却只有一个直接下属

彭博社报道,Anthropic首席执行官达里奥·阿莫代采取了一种极为罕见的领导模式:作为一家估值近万亿美元的AI公司CEO,他只有一位直接下属——他的幕僚长。公司所有其他高管(如CFO、CCO)均向其姐姐、总裁丹妮拉·阿莫代汇报。丹妮拉负责日常运营并对董事会负责,这使得达里奥能完全专注于“远焦”事务,如战略方向、研究判断、组织文化和思考AI对人类文明的影响。 达里奥认为,CEO最大的价值在于需要大块不被打断时间进行深度思考的事务,而日常管理会切碎时间。因此,他将两者彻底分离。他大约一半时间用于文化建设,通过每两周一次的全员大会和撰写长篇备忘录来主动塑造和巩固公司文化,防止在快速扩张至2500人规模时,来自大公司的员工稀释原有文化。其余时间则用于研究方向和撰写深度文章。 哈佛商学院教授拉法埃拉·萨顿对此分析指出,管理幅度取决于公司面临问题的性质。若公司不断面对全新、高风险、无现成答案的问题(如Anthropic),CEO就需要更窄的管理幅度,将最稀缺的时间资源留给最高层的战略判断。这种姐弟分工基于两人背景的互补:达里奥是研究出身,丹妮拉则擅长运营和人事管理。值得注意的是,Anthropic全部七位联合创始人至今仍在公司,这被姐弟俩视为公司文化凝聚力的证明。

marsbit1 小時前

管理近万亿估值公司,Anthropic CEO却只有一个直接下属

marsbit1 小時前

交易

現貨
合約

熱門文章

什麼是 NOK

諾基亞(Nokia Oyj,股票代碼:NOK),諾基亞是一家總部位於芬蘭的全球通信技術巨頭,在紐約證券交易所上市。公司歷史悠久,曾是全球最大的移動電話製造商,現已轉型為電信設備與服務領域的領導者。其核心業務包括移動網絡、網絡基礎設施以及雲和網絡服務,並擁有龐大的研發和專利授權體系,是全球5G技術與網絡建設的關鍵參與者。

185 人學過發佈於 2026.06.03更新於 2026.06.03

什麼是 NOK

如何購買NOK

歡迎來到HTX.com!在這裡,購買诺基亚 (NOK)變得簡單而便捷。跟隨我們的逐步指南,放心開始您的加密貨幣之旅。第一步:創建您的HTX帳戶使用您的 Email、手機號碼在HTX註冊一個免費帳戶。體驗無憂的註冊過程並解鎖所有平台功能。立即註冊第二步:前往買幣頁面,選擇您的支付方式信用卡/金融卡購買:使用您的Visa或Mastercard即時購買诺基亚 (NOK)。餘額購買:使用您HTX帳戶餘額中的資金進行無縫交易。第三方購買:探索諸如Google Pay或Apple Pay等流行支付方式以增加便利性。C2C購買:在HTX平台上直接與其他用戶交易。HTX 場外交易 (OTC) 購買:為大量交易者提供個性化服務和競爭性匯率。第三步:存儲您的诺基亚 (NOK)購買诺基亚 (NOK)後,將其存儲在您的HTX帳戶中。您也可以透過區塊鏈轉帳將其發送到其他地址或者用於交易其他加密貨幣。第四步:交易诺基亚 (NOK)在HTX的現貨市場輕鬆交易诺基亚 (NOK)。前往您的帳戶,選擇交易對,執行交易,並即時監控。HTX為初學者和經驗豐富的交易者提供了友好的用戶體驗。

177 人學過發佈於 2026.06.03更新於 2026.06.03

如何購買NOK

什麼是 BBX

BBX,黑莓(BlackBerry Limited,股票代碼:BB)是一家總部位於加拿大的軟件公司,於紐交所、多倫多證券交易所雙重上市,專注於網絡安全和物聯網(IoT)領域。公司已從手機製造商成功轉型為安全軟件服務商,其QNX操作系統在智能汽車和工業領域佔據領先地位,是全球關鍵數字基礎設施安全方案的重要供應商。

203 人學過發佈於 2026.06.03更新於 2026.06.03

什麼是 BBX

相關討論

歡迎來到 HTX 社群。在這裡,您可以了解最新的平台發展動態並獲得專業的市場意見。 以下是用戶對 A (A)幣價的意見。

活动图片