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長期新交易合約

LINKLINK 長期 AI 分析

DirectionBearish
Confidence70%
Risk Medium

Entry Zones

Optimal13.00
Alternative13.20

Stop Loss

13.60

Take Profit Targets

TP112.00
TP211.50
TP311.00

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MACRO OVERVIEW: LINK/USDT is in a clear downtrend on the daily timeframe, with price declining from highs near $15.01 to current levels around $12.79. The market is in a decline phase, characterized by lower highs and lower lows over the past weeks, indicating sustained bearish pressure. Multi-week context shows a breakdown from previous consolidation, with momentum favoring further downside.

TREND ANALYSIS:

  • Primary Trend: DOWNTREND
  • Trend Health: Moderate (ADX above 25, minus_di consistently higher than plus_di)
  • Market Phase: Decline
  • Evidence: Daily candles show a sequence of lower highs (e.g., from 15.01 to 13.74) and lower lows (e.g., from 13.09 to 12.47), supported by ADX values (latest 27.52) with minus_di (24.06) exceeding plus_di (13.57).

POSITION STRATEGY:

  • Direction: SHORT (trend-following), with LONG as counter-trend option
  • Building Zone: For SHORT, accumulate in 12.90-13.20 range; for LONG, consider 12.40-12.60 zone
  • Ideal Average Price: SHORT at 13.00, LONG at 12.50
  • Position Size: SHORT: half position; LONG: quarter position (due to higher risk)
  • Timeframe: 3-6 weeks for SHORT, 2-4 weeks for LONG if reversal occurs

MAJOR LEVELS:

  • Critical Support: 12.00 (psychological level and historical low near 11.74)
  • Critical Resistance: 13.50 (recent swing high and round number)
  • Trend Invalidation: Above 14.00 (break of lower high structure on daily)

LONG-TERM SCENARIOS:

  • Bull Case: If price breaks above 14.00, it could signal a reversal targeting 15.00 and then 16.00, driven by renewed accumulation.
  • Bear Case: Continuation of downtrend with downside targets at 12.00, 11.50, and 11.00, supported by bearish momentum.
  • Probability Assessment: Bear case is more likely (70%) based on current daily structure and indicator alignment.

RISK MANAGEMENT:

  • Position Stop: SHORT stop loss at 13.60; LONG stop loss at 11.90
  • Maximum Risk: Limit to 2% of capital per position to account for volatility
  • Add-on Levels: For SHORT, add at 13.20 if price retraces; for LONG, add at 12.20 if support holds
  • Exit Signals: SHORT exit on break above 13.50 or daily close above 14.00; LONG exit on break below 12.00 or failure to hold 12.50

VOLUME & MOMENTUM: Daily volume shows no clear accumulation patterns, with RSI (40.43) below 50 and ADX indicating downtrend strength. 4h momentum is weak, aligning with the broader decline.