Gate Square “Creator Certification Incentive Program” — Recruiting Outstanding Creators!
Join now, share quality content, and compete for over $10,000 in monthly rewards.
How to Apply:
1️⃣ Open the App → Tap [Square] at the bottom → Click your [avatar] in the top right.
2️⃣ Tap [Get Certified], submit your application, and wait for approval.
Apply Now: https://www.gate.com/questionnaire/7159
Token rewards, exclusive Gate merch, and traffic exposure await you!
Details: https://www.gate.com/announcements/article/47889
ETH/USDT Perptual Futures 15-Minute Strategy Analysis (Based on Data from August 15, 2025, 21:45)
Core logic: The contraction of the Bollinger Bands indicates a potential market change is imminent, buy low and sell high to catch the breakout.
Key Data Analysis
Price Dynamics:
The current price is 4552.57, above the middle band of the Bollinger Bands at 4530.51, with a narrowing range (UB: 4586.16 / LB: 4474.87).
Support: 4530 (Bollinger Middle Band), 4528.34 (Daily Low); Resistance: 4586 (Bollinger Upper Band), 4600 (Psychological Level).
Volume Signal: 2.1966 million contracts (below 24H average), continued contraction and fluctuation.
Indicator Signal:
MACD Divergence: MACD Bar (8.97) turns red, DIF (-2.82) crosses above DEA (-11.80), short bullish momentum begins.
RSI Neutral: 55.69/52.64/47.81, no overbought or oversold risk.
Key levels: 4528.34 forms double bottom support, 4586 constitutes strong resistance.
Low-Risk Strategy: Two-Way Boundary Trading
Long Entry Point:
Pullback to the 4530-4535 range (Bollinger middle track) stabilizes, combined with the expansion of the MACD red column.
Target: 4560 → 4580 (Bollinger upper band).
Stop loss: 4525 (below previous low).
Short Entry Point:
The rebound to the 4580-4585 range (Bollinger upper band) is blocked, and RSI6 < 60.
Target: 4550 → 4535.
Stop Loss: 4590 (breakthrough resistance).
Timeliness and Risk Control
Operation window:
Long Position: 21:45-22:30 (Liquidity Recovery at the End of the U.S. Session)
Short Position: 22:30-23:00 (Breakout Momentum Validation Period)
Holding time: ≤25 minutes, profit $15 to take profit 50%.
Position Management: ≤3% of total funds, profit-loss ratio ≥3:1 (stop loss $8, take profit $24).
Strategic Advantages:
① The contraction of the Bollinger Bands provides clear trading boundaries;
② MACD bottom divergence enhances the safety of long positions.
Risk Warning: If the boundary is not reached before 23:00, abandon the trade!
Action Summary:
① Long position opportunity: Buy long at 4533 with a stop loss at 4525, target 4560→4580.
② Short position opportunity: Short at 4582 with light position, stop loss at 4590, target at 4550.
(Note: If the volume breaks above 4590, go long to 4610; if the volume breaks below 4525, go short to 4500) #Gate 8月储备金报告出炉 #BTC再创新高 #晒出我的Alpha积分