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中期新交易合約

DOGEDOGE 中期 AI 分析

DirectionNeutral
Confidence60%
Risk Medium

Entry Zones

Optimal0.1535
Alternative0.1530

Stop Loss

0.1510

Take Profit Targets

TP10.1560
TP20.1580
TP30.1600

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MARKET STRUCTURE DOGE/USDT is in a bearish trend on the 4h timeframe with ADX at 48.42 indicating strong trend strength and Minus DI above Plus DI, suggesting downward momentum. However, the 1h timeframe shows bullish signs with RSI at 66.2 and Plus DI above Minus DI, pointing to short-term upward pressure. The current phase is consolidation near 0.1544, with potential for either trend continuation or reversal over the medium term.

SWING SETUP

  • Direction: NEUTRAL (consider both LONG and SHORT setups due to conflicting signals)
  • Long Entry Zone: 0.1530 - 0.1540
  • Ideal Long Entry: 0.1535
  • Short Entry Zone: 0.1555 - 0.1565
  • Ideal Short Entry: 0.1560
  • Setup Type: For LONG, potential reversal if support holds; for SHORT, trend continuation if resistance holds
  • Confidence: Medium

POSITION MANAGEMENT

  • For LONG:
    • Stop Loss: 0.1510 (below key 1h support)
    • Target 1: 0.1560 (conservative, 3-5 days)
    • Target 2: 0.1580 (extended, 7-10 days)
    • Risk/Reward: Approximately 1:2 based on entry at 0.1535
  • For SHORT:
    • Stop Loss: 0.1575 (above key resistance)
    • Target 1: 0.1520 (conservative, 3-5 days)
    • Target 2: 0.1500 (extended, 7-10 days)
    • Risk/Reward: Approximately 1:1.5

KEY LEVELS & SCENARIOS

  • Major Support: 0.1537 (recent 1h low), 0.1500 (psychological level), 0.1450 (4h low)
  • Major Resistance: 0.1568 (recent 1h high), 0.1570, 0.1580
  • If price breaks above 0.1570, expect bullish scenario with targets toward 0.1600
  • If price breaks below 0.1500, expect bearish scenario with targets toward 0.1450

DIVERGENCES & PATTERNS No significant divergences detected between price and indicators on either timeframe. Price action indicates consolidation within a range, with no clear chart patterns emerging.

RISK FACTORS

  • Conflicting signals between 4h and 1h timeframes could lead to false breakouts
  • High volatility as shown by ATR of 0.0046 on 4h
  • Leverage use in futures trading amplifies risk; manage position sizes accordingly