1️⃣ Market mode: • baseline scenario: balance / range • impulses are possible only after confirmation with consolidation • priority: working from liquidity zones ➡️ the plan adapts when the mode changes 2️⃣ Key zones: BTC 🔺 Upper zone: 89,200 – 90,200 ⚖️ Balance: 87,200 – 88,000 🔻 Lower zone: 85,500 – 86,200 📉 Deep support: 83,800 – 84,200 ETH 🔺 Upper zone: 3,000 – 3,050 ⚖️ Balance: 2,880 – 2,940 🔻 Lower zone: 2,820 – 2,860 📉 Deep support: 2,720 – 2,750 3️⃣ Scenarios: A — range • shorts from upper zones after reaction • longs from lower zones after protection • partial entries, target — middle of the range B — breakout upward • confirmation: consolidation above the upper zone + volume growth without sharp increase in OI • actions: do not short, wait for retest, work only long C — breakdown downward • confirmation: loss of the lower zone + OI growth • actions: avoid catching the knife, wait for reaction at deep support, reduce position size 4️⃣ Risk management: • risk per scenario: 0.5–1% • no more than 2 stops in a row • after 2 stops — pause • no trading in the middle of the range 5️⃣ Weekly timing: • Mon–Tue: range formation, fake moves • Wed–Thu: main volume, liquidity removal • Fri: fixations, false breakouts • weekends: low liquidity, limited positions 6️⃣ Monitoring: • open interest • funding • price reaction to key zones • daily close 💡 Principle: adaptation is more important than prediction. If the market does not provide conditions — institutional traders wait. #bitcoin #crypto #btc #ethereum #cryptotrading
This page may contain third-party content, which is provided for information purposes only (not representations/warranties) and should not be considered as an endorsement of its views by Gate, nor as financial or professional advice. See Disclaimer for details.
Weekly plan BTC / ETH — institutional perspective
1️⃣ Market mode:
• baseline scenario: balance / range
• impulses are possible only after confirmation with consolidation
• priority: working from liquidity zones
➡️ the plan adapts when the mode changes
2️⃣ Key zones:
BTC
🔺 Upper zone: 89,200 – 90,200
⚖️ Balance: 87,200 – 88,000
🔻 Lower zone: 85,500 – 86,200
📉 Deep support: 83,800 – 84,200
ETH
🔺 Upper zone: 3,000 – 3,050
⚖️ Balance: 2,880 – 2,940
🔻 Lower zone: 2,820 – 2,860
📉 Deep support: 2,720 – 2,750
3️⃣ Scenarios:
A — range
• shorts from upper zones after reaction
• longs from lower zones after protection
• partial entries, target — middle of the range
B — breakout upward
• confirmation: consolidation above the upper zone + volume growth without sharp increase in OI
• actions: do not short, wait for retest, work only long
C — breakdown downward
• confirmation: loss of the lower zone + OI growth
• actions: avoid catching the knife, wait for reaction at deep support, reduce position size
4️⃣ Risk management:
• risk per scenario: 0.5–1%
• no more than 2 stops in a row
• after 2 stops — pause
• no trading in the middle of the range
5️⃣ Weekly timing:
• Mon–Tue: range formation, fake moves
• Wed–Thu: main volume, liquidity removal
• Fri: fixations, false breakouts
• weekends: low liquidity, limited positions
6️⃣ Monitoring:
• open interest
• funding
• price reaction to key zones
• daily close
💡 Principle: adaptation is more important than prediction. If the market does not provide conditions — institutional traders wait.
#bitcoin #crypto #btc #ethereum #cryptotrading