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殘風

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January 24-25, 2026 Cryptocurrency Core News, information as of January 25, 10:30 PM (Beijing Time). 1. Core Market Overview - BTC: Approximately $89,969 (January 24, slight increase of 0.22%, peaked and then fell back, with a total liquidation of $30.3 billion in the last 24 hours, mainly short positions) - ETH: Approximately $2,959 (January 24, increased by 0.16%, previously reached an all-time high on Friday) - RAIN: Increased over 11% in 24 hours, cumulative increase of over 25% in January, RADR Labs purchased $5,000 of RAIN, Rain deposited 320,000 RAIN into the shielded pool - ADA: On-chain transaction volume surged, with significant buying in the price range of $0.36-$0.38, bullish divergence seen in the 3-day chart 2. Institutional and Cooperation Dynamics 1. Trump Media Group × Crypto.com: Jointly established the “Trump Media Group CRO Strategic Company,” with CRO set as the core corporate reserve asset, totaling $6.4 billion. 2. Sharp Technology's investment in Solana: Medical device manufacturer Sharp Technology (STSS) invested $400 million in Solana, with stock price soaring over 40% in a single day. 3. Arthur Hayes' large transfers: Deposited $18 million USDC into Galaxy Digital, with a cumulative deposit of $54.5 million into FalconX and Galaxy Digital over three weeks. 4. Gate BTC staking reaches new highs: Total staking amount for BTC mining products reached 2,620.46 BTC, with an annualized reference of 9.99%, users staking BTC earn equivalent GTBTC interest. 3. Other Important Developments 1. Regulation and Products: Bitwise launched a Bitcoin-related depreciation ETF; 553 markets considering restarting US stock tokens. 2. New on the Platform: Hotcoin launched SPACE and FIGHT on January 24. 3. Market Risks: BTC faces downward risks, multiple indicators show bearish signs, long-term holders are diversifying supply. $BTC $ETH $RAVE {alpha}(560x97693439ea2f0ecdeb9135881e49f354656a911c)
January 24-25, 2026 Cryptocurrency Core News, information as of January 25, 10:30 PM (Beijing Time).

1. Core Market Overview

- BTC: Approximately $89,969 (January 24, slight increase of 0.22%, peaked and then fell back, with a total liquidation of $30.3 billion in the last 24 hours, mainly short positions)
- ETH: Approximately $2,959 (January 24, increased by 0.16%, previously reached an all-time high on Friday)
- RAIN: Increased over 11% in 24 hours, cumulative increase of over 25% in January, RADR Labs purchased $5,000 of RAIN, Rain deposited 320,000 RAIN into the shielded pool
- ADA: On-chain transaction volume surged, with significant buying in the price range of $0.36-$0.38, bullish divergence seen in the 3-day chart

2. Institutional and Cooperation Dynamics

1. Trump Media Group × Crypto.com: Jointly established the “Trump Media Group CRO Strategic Company,” with CRO set as the core corporate reserve asset, totaling $6.4 billion.
2. Sharp Technology's investment in Solana: Medical device manufacturer Sharp Technology (STSS) invested $400 million in Solana, with stock price soaring over 40% in a single day.
3. Arthur Hayes' large transfers: Deposited $18 million USDC into Galaxy Digital, with a cumulative deposit of $54.5 million into FalconX and Galaxy Digital over three weeks.
4. Gate BTC staking reaches new highs: Total staking amount for BTC mining products reached 2,620.46 BTC, with an annualized reference of 9.99%, users staking BTC earn equivalent GTBTC interest.

3. Other Important Developments

1. Regulation and Products: Bitwise launched a Bitcoin-related depreciation ETF; 553 markets considering restarting US stock tokens.
2. New on the Platform: Hotcoin launched SPACE and FIGHT on January 24.
3. Market Risks: BTC faces downward risks, multiple indicators show bearish signs, long-term holders are diversifying supply.
$BTC $ETH $RAVE
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bnb Selected Content: #bnb $BNB {future}(BNBUSDT) As of January 25, 2026, 13:00 (UTC+8), the BNB price is $882.5 (≈6151 yuan), slightly down during the day, with a recent 7-day pullback, still showing strength in the medium term. 1. Real-time Market (USD) - Current Price: 882.5, Daily Change -1.17%, 24H Fluctuation $880.1-$894 - 1H: -0.02%; 24H: -0.98%; 7D: -6.59%; 30D: +6.09%; 200D: +33.40% - Circulating Market Cap is approximately $122.8 billion, ranked 5th globally, with a 24H trading volume of about $1.05 billion 2. Trend Analysis (Technical) - Short-term (1-3 days): Weak oscillation, supported by $880, with resistance at $895/$900; if it breaks $880, it may test the $870-$860 range. - Medium-term (1-4 weeks): The monthly line remains upward; pay attention to whether it can stabilize above $890 with increased volume; stabilization could lead to testing the previous high of $900.24 (2025-08-23). - Long-term (1-3 months): On-chain and platform ecosystem support, key level at $840; if it fails to hold, it may enter a fluctuating range. 3. Key Drivers and Risks - Positive: Binance ecosystem activity, continuous BNB burn, Layer2 progress; - Negative: Regulatory policies, market fluctuations, competition from other coins; - Technical: Short-term indicators lean bearish; focus on the $880/$890 breakout and volume coordination. 4. Trading Strategy Suggestions - Short-term: High sell and low buy in the $880-$890 range, stop loss at $870, take profit at $895-$900; - Medium-term: Accumulate in batches at $870-$860 on pullbacks, stop loss at $840, target $900+; - Positioning: Short-term ≤30%, medium-term ≤50%, strict risk control.
bnb Selected Content: #bnb $BNB

As of January 25, 2026, 13:00 (UTC+8), the BNB price is $882.5 (≈6151 yuan), slightly down during the day, with a recent 7-day pullback, still showing strength in the medium term.

1. Real-time Market (USD)

- Current Price: 882.5, Daily Change -1.17%, 24H Fluctuation $880.1-$894
- 1H: -0.02%; 24H: -0.98%; 7D: -6.59%; 30D: +6.09%; 200D: +33.40%
- Circulating Market Cap is approximately $122.8 billion, ranked 5th globally, with a 24H trading volume of about $1.05 billion

2. Trend Analysis (Technical)

- Short-term (1-3 days): Weak oscillation, supported by $880, with resistance at $895/$900; if it breaks $880, it may test the $870-$860 range.
- Medium-term (1-4 weeks): The monthly line remains upward; pay attention to whether it can stabilize above $890 with increased volume; stabilization could lead to testing the previous high of $900.24 (2025-08-23).
- Long-term (1-3 months): On-chain and platform ecosystem support, key level at $840; if it fails to hold, it may enter a fluctuating range.

3. Key Drivers and Risks

- Positive: Binance ecosystem activity, continuous BNB burn, Layer2 progress;
- Negative: Regulatory policies, market fluctuations, competition from other coins;
- Technical: Short-term indicators lean bearish; focus on the $880/$890 breakout and volume coordination.

4. Trading Strategy Suggestions

- Short-term: High sell and low buy in the $880-$890 range, stop loss at $870, take profit at $895-$900;
- Medium-term: Accumulate in batches at $870-$860 on pullbacks, stop loss at $840, target $900+;
- Positioning: Short-term ≤30%, medium-term ≤50%, strict risk control.
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bnb Selected Collection Content #bnb $BNB {future}(BNBUSDT) As of January 24, 2026, 11:28 (UTC+8), the latest price of BNB is approximately **$888–$892**, with slight fluctuations in the past 24 hours and moderate volume, overall showing a high-level consolidation with unclear direction. Below is a structured analysis with key cycles and drivers (including executable points): Short-term (1–7 days, intraday/segment) 1. Technical aspect: Price is in a **$880–$895 narrow range; RSI≈52 (neutral), MACD daily shows slight bearish divergence, EMA20 (approximately $904) is a strong short-term resistance, $865 (previous platform)/$818 (medium-term strong support)** is the key defensive level. 2. Conclusion: Short-term consolidation is slightly weak; a breakout above $904 with stability may turn bullish; if it falls below $865 with volume, look for $818. 3. Execution suggestion: Light position trial order, stop loss set below **$860**; if it breaks $904 with volume > 1.5 times the recent 20-day average volume, then add to the position. Medium-term (1–4 weeks, trend/holding) 1. Core pattern: In a high-level consolidation period, driven by three main factors: BTC linkage (high correlation), Binance ecosystem progress (Launchpool, DeFi/GameFi), and regulatory sentiment. 2. Target range: If it can stabilize above $904 with accompanying volume, the medium-term target is **$920–$950**; if BTC corrects and regulation tightens, it may dip to the **$818–$840** range. 3. Driving factors: - Positive: BNB quarterly buyback and burn (continuously reducing circulation), Binance Chain TVL rebounding, seamless integration of Launchpool projects bringing stable holding demand. - Negative: Tightening of U.S. cryptocurrency regulatory policies, high-level correction risks for BTC, and phase-tight liquidity in the market. Long-term (1–6 months, allocation/regular investment) 1. Core logic: The value of BNB is deeply tied to the Binance ecosystem, with long-term growth in on-chain activities, burn mechanisms, and ecological innovation as the three cores; if Binance can continue to expand its international market and launch more high-stickiness applications, BNB is expected to oscillate upwards. 2. Risk warning: Regulatory risk (global tightening of regulations on cryptocurrency exchanges), competition risk (emergence of other public chains and exchange tokens), macroeconomic risk (interest rate changes affecting risk asset allocation).
bnb Selected Collection Content #bnb $BNB

As of January 24, 2026, 11:28 (UTC+8), the latest price of BNB is approximately **$888–$892**, with slight fluctuations in the past 24 hours and moderate volume, overall showing a high-level consolidation with unclear direction. Below is a structured analysis with key cycles and drivers (including executable points):

Short-term (1–7 days, intraday/segment)

1. Technical aspect: Price is in a **$880–$895 narrow range; RSI≈52 (neutral), MACD daily shows slight bearish divergence, EMA20 (approximately $904) is a strong short-term resistance, $865 (previous platform)/$818 (medium-term strong support)** is the key defensive level.
2. Conclusion: Short-term consolidation is slightly weak; a breakout above $904 with stability may turn bullish; if it falls below $865 with volume, look for $818.
3. Execution suggestion: Light position trial order, stop loss set below **$860**; if it breaks $904 with volume > 1.5 times the recent 20-day average volume, then add to the position.

Medium-term (1–4 weeks, trend/holding)

1. Core pattern: In a high-level consolidation period, driven by three main factors: BTC linkage (high correlation), Binance ecosystem progress (Launchpool, DeFi/GameFi), and regulatory sentiment.
2. Target range: If it can stabilize above $904 with accompanying volume, the medium-term target is **$920–$950**; if BTC corrects and regulation tightens, it may dip to the **$818–$840** range.
3. Driving factors:
- Positive: BNB quarterly buyback and burn (continuously reducing circulation), Binance Chain TVL rebounding, seamless integration of Launchpool projects bringing stable holding demand.
- Negative: Tightening of U.S. cryptocurrency regulatory policies, high-level correction risks for BTC, and phase-tight liquidity in the market.

Long-term (1–6 months, allocation/regular investment)

1. Core logic: The value of BNB is deeply tied to the Binance ecosystem, with long-term growth in on-chain activities, burn mechanisms, and ecological innovation as the three cores; if Binance can continue to expand its international market and launch more high-stickiness applications, BNB is expected to oscillate upwards.
2. Risk warning: Regulatory risk (global tightening of regulations on cryptocurrency exchanges), competition risk (emergence of other public chains and exchange tokens), macroeconomic risk (interest rate changes affecting risk asset allocation).
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#bnb $BNB {future}(BNBUSDT) As of January 23, 2026, 20:21 (UTC+8), the core trends and key points of BNB are as follows: Short-term (1–7 days) - The price is fluctuating in the range of **$880–$895, with minor fluctuations over 24H, RSI neutral, and MACD showing slight bearish pressure, leaning towards weak fluctuation in the short term**; - Key levels: Resistance **$904/$905 (EMA20), Support $865/$818**; a breakout above resistance will turn bullish, while losing support will lead to a downturn. Medium-term (1–4 weeks) - Overall in high-level consolidation, influenced by BTC correlation, Binance ecosystem progress, and regulatory sentiment; institutions predict a target range of **$920–$950**, provided it holds above $904 with accompanying volume. Core drivers and risks 1. Positive: Growth of the Binance chain ecosystem, DeFi/GameFi applications, and ongoing buyback and burn; 2. Negative: Tightening of cryptocurrency regulatory policies, BTC pullback drag, and fluctuations in market liquidity.
#bnb $BNB

As of January 23, 2026, 20:21 (UTC+8), the core trends and key points of BNB are as follows:

Short-term (1–7 days)

- The price is fluctuating in the range of **$880–$895, with minor fluctuations over 24H, RSI neutral, and MACD showing slight bearish pressure, leaning towards weak fluctuation in the short term**;
- Key levels: Resistance **$904/$905 (EMA20), Support $865/$818**; a breakout above resistance will turn bullish, while losing support will lead to a downturn.

Medium-term (1–4 weeks)

- Overall in high-level consolidation, influenced by BTC correlation, Binance ecosystem progress, and regulatory sentiment; institutions predict a target range of **$920–$950**, provided it holds above $904 with accompanying volume.

Core drivers and risks

1. Positive: Growth of the Binance chain ecosystem, DeFi/GameFi applications, and ongoing buyback and burn;
2. Negative: Tightening of cryptocurrency regulatory policies, BTC pullback drag, and fluctuations in market liquidity.

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#bnb一輩子 $BNB {future}(BNBUSDT) Free sharing, free teaching, friends who listen to advice have already made a lot of money!!!
#bnb一輩子 $BNB
Free sharing, free teaching, friends who listen to advice have already made a lot of money!!!
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#bnb $BNB {future}(BNBUSDT) 2026-01-21 18:54, BNB price **$874.4**, 24H drop 4.3%, intraday range **$867.2–$915.8**, market cap approximately **$119.2B**, ranking #4. 1. Core Market Snapshot - Price and Volatility: 24H drop of 4.3%, volatility of 5.17%, volume supports the decline, short-term selling pressure not fully released. - Key Levels: Support **$851.8** (strong), $867 (intraday low); Resistance **$906** (EMA20), $915 (intraday high), $955 (trend resistance). - Indicator Signals: 1D/4H biased bearish; RSI(14)=42.61 (neutral to weak); price below EMA20, Supertrend bearish. 2. Multi-dimensional Analysis Highlights - Technicals (short-term bearish): Daily candle broke EMA20, increasing downside risk; $851.8 is the lifeline, breaking below or probing **$820–$800**; resistance on a bounce first looks at **$900–$915**, easy to fall back without volume. - Fundamentals (neutral to bullish): In Q34, approximately $1.277 billion worth of BNB was burned, deflationary support for long-term value; BNB Chain ecosystem expansion, on-chain activity stable; high correlation with BTC, significant impact from market volatility. - Market Sentiment (cautious): 24H net fund outflow, short-term investors reducing positions; institutional attitudes varied, some waiting for stabilization signals. 3. Trading Strategy and Risk Control Checklist (Executable) 1. Short-term Trading (Intraday/4H) - Short: Lightly short on rebound **$895–$905**, stop loss at **$915**, target **$865–$852**, look for break at **$820**. - Long: Stabilization near $850 can be a small position to bet on a rebound, stop loss at **$840**, target **$880–$890**, do not be greedy. 2. Position and Risk Control - Single asset position ≤ 10%, short-term ≤ 5%. - Strict stop loss: Short with **$915 as absolute stop loss; long with $840** as absolute stop loss. - Gradual entry and exit: Do not fully invest at once, do not add positions during a decline, add when stabilizing. 3. Wait-and-see Signals - Break below **$850 with volume, pause long positions; weak bounce at $900**, hold short positions. - Wait for RSI < 30 or volume to stop declining before considering swing long positions. 4. Future Focus - Key Price Levels: Contest between support at $851.8 and resistance at **$906** EMA20. - Event Catalysts: Regulatory dynamics, significant progress in the BNB Chain ecosystem, market (BTC) trends. - Capital Flow: Changes in 24H trading volume and net capital inflow, determine if selling pressure is easing.
#bnb $BNB

2026-01-21 18:54, BNB price **$874.4**, 24H drop 4.3%, intraday range **$867.2–$915.8**, market cap approximately **$119.2B**, ranking #4.

1. Core Market Snapshot

- Price and Volatility: 24H drop of 4.3%, volatility of 5.17%, volume supports the decline, short-term selling pressure not fully released.
- Key Levels: Support **$851.8** (strong), $867 (intraday low); Resistance **$906** (EMA20), $915 (intraday high), $955 (trend resistance).
- Indicator Signals: 1D/4H biased bearish; RSI(14)=42.61 (neutral to weak); price below EMA20, Supertrend bearish.

2. Multi-dimensional Analysis Highlights

- Technicals (short-term bearish): Daily candle broke EMA20, increasing downside risk; $851.8 is the lifeline, breaking below or probing **$820–$800**; resistance on a bounce first looks at **$900–$915**, easy to fall back without volume.
- Fundamentals (neutral to bullish): In Q34, approximately $1.277 billion worth of BNB was burned, deflationary support for long-term value; BNB Chain ecosystem expansion, on-chain activity stable; high correlation with BTC, significant impact from market volatility.
- Market Sentiment (cautious): 24H net fund outflow, short-term investors reducing positions; institutional attitudes varied, some waiting for stabilization signals.

3. Trading Strategy and Risk Control Checklist (Executable)

1. Short-term Trading (Intraday/4H)
- Short: Lightly short on rebound **$895–$905**, stop loss at **$915**, target **$865–$852**, look for break at **$820**.
- Long: Stabilization near $850 can be a small position to bet on a rebound, stop loss at **$840**, target **$880–$890**, do not be greedy.
2. Position and Risk Control
- Single asset position ≤ 10%, short-term ≤ 5%.
- Strict stop loss: Short with **$915 as absolute stop loss; long with $840** as absolute stop loss.
- Gradual entry and exit: Do not fully invest at once, do not add positions during a decline, add when stabilizing.
3. Wait-and-see Signals
- Break below **$850 with volume, pause long positions; weak bounce at $900**, hold short positions.
- Wait for RSI < 30 or volume to stop declining before considering swing long positions.

4. Future Focus

- Key Price Levels: Contest between support at $851.8 and resistance at **$906** EMA20.
- Event Catalysts: Regulatory dynamics, significant progress in the BNB Chain ecosystem, market (BTC) trends.
- Capital Flow: Changes in 24H trading volume and net capital inflow, determine if selling pressure is easing.
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BNB (Binance Coin) trend and executable strategies as of January 20, 2026, 16:45, data is a real-time market snapshot and does not constitute investment advice. 1. Core Price and Cycle Performance - Real-time Price: $917.7 ≈ ¥6417.48, 24H Volatility: -0.69%, Range $915.4-$933.2 - 7D: +6.84%; 30D: +2.22%; 1Y: +28.72%; Circulating Market Cap approximately **$1277.33 billion** - Key Drivers: 34th Quarterly Burn (approximately 1.37 million coins, worth $1.277 billion), Fermi upgrade enhances chain efficiency, active on-chain trading 2. Technical Aspects and Key Price Levels - Short-term Pattern: Moving averages concentrated around **$910.86-$914.06**, direction selection window; RSI≈51 (neutral), MACD short-term bearish, Supertrend short-term under pressure - Support Levels (Strong → Weak): $910-914 (moving averages concentrated), $900 (psychological/platform), $870 (mid-term strong support) - Resistance Levels (Weak → Strong): $918.5 (today's high), $930 (EMA20/Bollinger upper band), $990 (mid-term strong resistance) 3. Multi-cycle Trend Judgment - Short-term (1-3 days): Oscillating bearish, focus on $910-914 support, if broken look to $900; if above $930 then change to bullish - Mid-term (1-3 weeks): Oscillating upward, relying on burns and on-chain demand, target **$990-$1000**, if blocked then oscillate within the range - Long-term (1-4 months): Driven by institutional and ETF expectations, likely to challenge **$1200**, regulation and market volatility are the main risks 4. Executable Trading Strategies 1. Position Planning: Total position ≤ 15%; short-term 30%, mid-term 40%, long-term 30%, accumulate in batches 2. Entry: Buy small on retracement to **$910-914**; observe if it drops below $900, increase position if stable above $930 3. Stop Loss/Take Profit: Short-term stop loss $900, take profit $930; mid-term stop loss $870, take profit $990; long-term stop loss $840, take profit $1200 4. Risk Control: Single loss ≤ 2% of total funds; reduce position to ≤ 5% during severe market fluctuations 5. Risk Warning - Tightening regulatory policies, systemic market correction, declining on-chain activity, competitive ecosystem impact may trigger price fluctuations #bnb一輩子 $BNB {future}(BNBUSDT)
BNB (Binance Coin) trend and executable strategies as of January 20, 2026, 16:45, data is a real-time market snapshot and does not constitute investment advice.

1. Core Price and Cycle Performance

- Real-time Price: $917.7 ≈ ¥6417.48, 24H Volatility: -0.69%, Range $915.4-$933.2
- 7D: +6.84%; 30D: +2.22%; 1Y: +28.72%; Circulating Market Cap approximately **$1277.33 billion**
- Key Drivers: 34th Quarterly Burn (approximately 1.37 million coins, worth $1.277 billion), Fermi upgrade enhances chain efficiency, active on-chain trading

2. Technical Aspects and Key Price Levels

- Short-term Pattern: Moving averages concentrated around **$910.86-$914.06**, direction selection window; RSI≈51 (neutral), MACD short-term bearish, Supertrend short-term under pressure
- Support Levels (Strong → Weak): $910-914 (moving averages concentrated), $900 (psychological/platform), $870 (mid-term strong support)
- Resistance Levels (Weak → Strong): $918.5 (today's high), $930 (EMA20/Bollinger upper band), $990 (mid-term strong resistance)

3. Multi-cycle Trend Judgment

- Short-term (1-3 days): Oscillating bearish, focus on $910-914 support, if broken look to $900; if above $930 then change to bullish
- Mid-term (1-3 weeks): Oscillating upward, relying on burns and on-chain demand, target **$990-$1000**, if blocked then oscillate within the range
- Long-term (1-4 months): Driven by institutional and ETF expectations, likely to challenge **$1200**, regulation and market volatility are the main risks

4. Executable Trading Strategies

1. Position Planning: Total position ≤ 15%; short-term 30%, mid-term 40%, long-term 30%, accumulate in batches
2. Entry: Buy small on retracement to **$910-914**; observe if it drops below $900, increase position if stable above $930
3. Stop Loss/Take Profit: Short-term stop loss $900, take profit $930; mid-term stop loss $870, take profit $990; long-term stop loss $840, take profit $1200
4. Risk Control: Single loss ≤ 2% of total funds; reduce position to ≤ 5% during severe market fluctuations

5. Risk Warning

- Tightening regulatory policies, systemic market correction, declining on-chain activity, competitive ecosystem impact may trigger price fluctuations
#bnb一輩子 $BNB
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ETH Executable Trade List (January 20, 2026, 11:35 current price $3185) Core Positioning: Short-term fluctuations to find a bottom, primarily long-term bullish; Anchor support at 3150 and resistance at 3300, quantifying entry/stop-loss/take-profit/position, direct execution. I. Short-term Strategy (1-4 weeks) Direction Entry Range Stop-Loss Level Take-Profit 1 Take-Profit 2 Position Trigger Conditions Core Logic Long 3150-3185 3140 (lower edge of 3150) 3220 3300 ≤5% 4-hour closing price stabilizes above 3185, trading volume increases by 10%+ Daily upward structure not broken, staking yield rate at 4.5% support, L2 expansion continues Short below 3150 3180 3100 3080 ≤3% Daily closing price falls below 3150, trading volume decreases by 5%+ 4-hour MACD death cross, RSI neutral to weak, short-term macro risk aversion pressure II. Medium-term Strategy (1-6 months) Direction Entry Range Stop-Loss Level Take-Profit 1 Take-Profit 2 Position Trigger Conditions Core Logic Long 2900-3000 2700 3500 4200 ≤8% Pullback to the range and daily line shows stabilization candlestick Staking volume expected to break through 30 million pieces, ecological and liquidity easing resonance III. Risk Control and Execution Iron Rules 1. Single trade ≤5%, total crypto position ≤15%; single trade stop-loss not exceeding 1% of the account. 2. Long risk control: immediately reduce position if it falls below 3150 (daily close); clear positions and wait if it falls below 3080. 3. Short risk control: immediately stop-loss and exit if it rebounds back below 3180 (4-hour close). 4. Medium-term additional positions: after a 20% pullback, add 1% for every 5% drop, total position after adding ≤12%. 5. Daily tracking: ETH staking volume, L2 TVL, 4-hour trading volume and EMA20 position. IV. Market Overview (Key Price Levels) - Support: 3150 (EMA20), 3100 (high trading area), 3080 (daily key level) - Resistance: 3220 (4-hour EMA20), 3300 (previous high platform), 3430 (medium-term neck line) - Technical Analysis: 4-hour MACD death cross, RSI ≈ 43, 24h trading volume decreased by about 12%, capital observation enhanced #ETH $ETH {future}(ETHUSDT)
ETH Executable Trade List (January 20, 2026, 11:35 current price $3185)

Core Positioning: Short-term fluctuations to find a bottom, primarily long-term bullish; Anchor support at 3150 and resistance at 3300, quantifying entry/stop-loss/take-profit/position, direct execution.

I. Short-term Strategy (1-4 weeks)

Direction Entry Range Stop-Loss Level Take-Profit 1 Take-Profit 2 Position Trigger Conditions Core Logic
Long 3150-3185 3140 (lower edge of 3150) 3220 3300 ≤5% 4-hour closing price stabilizes above 3185, trading volume increases by 10%+ Daily upward structure not broken, staking yield rate at 4.5% support, L2 expansion continues
Short below 3150 3180 3100 3080 ≤3% Daily closing price falls below 3150, trading volume decreases by 5%+ 4-hour MACD death cross, RSI neutral to weak, short-term macro risk aversion pressure

II. Medium-term Strategy (1-6 months)

Direction Entry Range Stop-Loss Level Take-Profit 1 Take-Profit 2 Position Trigger Conditions Core Logic
Long 2900-3000 2700 3500 4200 ≤8% Pullback to the range and daily line shows stabilization candlestick Staking volume expected to break through 30 million pieces, ecological and liquidity easing resonance

III. Risk Control and Execution Iron Rules

1. Single trade ≤5%, total crypto position ≤15%; single trade stop-loss not exceeding 1% of the account.
2. Long risk control: immediately reduce position if it falls below 3150 (daily close); clear positions and wait if it falls below 3080.
3. Short risk control: immediately stop-loss and exit if it rebounds back below 3180 (4-hour close).
4. Medium-term additional positions: after a 20% pullback, add 1% for every 5% drop, total position after adding ≤12%.
5. Daily tracking: ETH staking volume, L2 TVL, 4-hour trading volume and EMA20 position.

IV. Market Overview (Key Price Levels)

- Support: 3150 (EMA20), 3100 (high trading area), 3080 (daily key level)
- Resistance: 3220 (4-hour EMA20), 3300 (previous high platform), 3430 (medium-term neck line)
- Technical Analysis: 4-hour MACD death cross, RSI ≈ 43, 24h trading volume decreased by about 12%, capital observation enhanced
#ETH $ETH
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#ETH $ETH {future}(ETHUSDT) As of January 19, 2026, 10 PM, ETH is showing weak fluctuations in the short term, currently reported around $3200, with a daily decline of about 3%. The upward trend on the daily chart remains intact but is currently under pressure from macro risk-averse sentiment and technical adjustments. Key Levels - Support: 3170-3180 (EMA20/trading volume zone), strong support at 3100, 3000 - Resistance: 3270-3300, strong resistance at 3400, 3590 (Fibonacci 0.382) Indicators and Strategies - 4-hour MACD shows a death cross, RSI is neutral to weak; a short-term rebound requires a volume breakout above 3300 - Strategy: For short-term stability at 3170, consider light long positions with a stop loss at 3130 and a target of 3270; if it breaks below 3170, remain cautious or consider light short positions with a stop loss at 3220 - Mid-term: If it holds above 3000, the upward structure remains intact; pay attention to changes in ETF funds and macro sentiment.
#ETH $ETH

As of January 19, 2026, 10 PM, ETH is showing weak fluctuations in the short term, currently reported around $3200, with a daily decline of about 3%. The upward trend on the daily chart remains intact but is currently under pressure from macro risk-averse sentiment and technical adjustments.

Key Levels

- Support: 3170-3180 (EMA20/trading volume zone), strong support at 3100, 3000
- Resistance: 3270-3300, strong resistance at 3400, 3590 (Fibonacci 0.382)

Indicators and Strategies

- 4-hour MACD shows a death cross, RSI is neutral to weak; a short-term rebound requires a volume breakout above 3300
- Strategy: For short-term stability at 3170, consider light long positions with a stop loss at 3130 and a target of 3270; if it breaks below 3170, remain cautious or consider light short positions with a stop loss at 3220
- Mid-term: If it holds above 3000, the upward structure remains intact; pay attention to changes in ETF funds and macro sentiment.
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#bnb一輩子 $BNB Current BNB priority short-term low position long, not recommended to short for now; need to anchor key positions and link with BTC, strict risk control. Core judgment (as of 13:36, ¥6471.60≈$925.44) - Trend and linkage: Weekly trend is bullish, 4H pullback with BTC is a healthy retracement, has not broken key support. - Key positions: Strong support ¥6370 ($910) / ¥6200 ($886); strong resistance ¥6660 ($952) / ¥6800 ($972). - Capital signals: Stablecoin inflows are increasing, small signs of accumulation at low levels, selling pressure has not significantly increased. - Risk points: If BTC falls below $92000, BNB may test ¥6200; before breaking, focus on low position long. Executable trading plan (quantitative parameters) 1. Entry: - Conservative: ¥6380-$912 nearby small position long, position ≤10% - Aggressive: ¥6420-$918 light position test long, position ≤5% 2. Stop loss: - Conservative: Break below ¥6350 ($907) immediately stop loss - Aggressive: Break below ¥6300 ($900) immediately stop loss 3. Take profit: - Gradually: ¥6600 ($944) reduce position by 50%, ¥6660 ($952) clear position - Target range: $940-$950, expected profit about 2%-3% 4. Add position: - If it retraces to ¥6200 ($886) and BTC stabilizes, can add to total position 15% 5. Short conditions (consider only when triggered): - Break below ¥6200 ($886) and BTC breaks $91000, light position short, stop loss ¥6300 ($900), target ¥6000 ($858) Position and risk control - Total position ≤15%, reserve funds to cope with extreme fluctuations - Single loss ≤ account 2%, strictly implement stop loss - Review BTC trend every 4 hours; if linkage breaks, decisively reduce position and exit
#bnb一輩子 $BNB
Current BNB priority short-term low position long, not recommended to short for now; need to anchor key positions and link with BTC, strict risk control.

Core judgment (as of 13:36, ¥6471.60≈$925.44)

- Trend and linkage: Weekly trend is bullish, 4H pullback with BTC is a healthy retracement, has not broken key support.
- Key positions: Strong support ¥6370 ($910) / ¥6200 ($886); strong resistance ¥6660 ($952) / ¥6800 ($972).
- Capital signals: Stablecoin inflows are increasing, small signs of accumulation at low levels, selling pressure has not significantly increased.
- Risk points: If BTC falls below $92000, BNB may test ¥6200; before breaking, focus on low position long.

Executable trading plan (quantitative parameters)

1. Entry:
- Conservative: ¥6380-$912 nearby small position long, position ≤10%
- Aggressive: ¥6420-$918 light position test long, position ≤5%
2. Stop loss:
- Conservative: Break below ¥6350 ($907) immediately stop loss
- Aggressive: Break below ¥6300 ($900) immediately stop loss
3. Take profit:
- Gradually: ¥6600 ($944) reduce position by 50%, ¥6660 ($952) clear position
- Target range: $940-$950, expected profit about 2%-3%
4. Add position:
- If it retraces to ¥6200 ($886) and BTC stabilizes, can add to total position 15%
5. Short conditions (consider only when triggered):
- Break below ¥6200 ($886) and BTC breaks $91000, light position short, stop loss ¥6300 ($900), target ¥6000 ($858)

Position and risk control

- Total position ≤15%, reserve funds to cope with extreme fluctuations
- Single loss ≤ account 2%, strictly implement stop loss
- Review BTC trend every 4 hours; if linkage breaks, decisively reduce position and exit
·
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#bnb一輩子 $BNB {future}(BNBUSDT) As of January 18, 2026, 22:00, BNB is currently at **$947.2**, with a slight increase of **+0.8%** in the last 24 hours, fluctuating between **$935.3-$959.3** in daily range, market cap approximately **$129B**, and trading volume **$3.5B**. Below are the structured trends and trading strategies: 1. Core Trend Overview - Short-term (daily): Strong linkage with BTC/ETH, oscillating upwards, testing **$950-$955 resistance, support $935-$940**. - Medium-term (7-30 days): Maintaining **$910-$960** box oscillation, repeatedly testing the upper edge, moderate volume, lacking clear direction. - Long-term (3-6 months): Relying on Binance ecosystem and burn mechanism, linked to the market, if BTC breaks through key levels, expected to test **$1000** integer level. 2. Key Technical Signals 1. Indicators: RSI around 52 (neutral), MACD flat near zero axis, no clear bullish or bearish signals, watch for continuation of oscillation. 2. Support and Resistance: - First support: $935 (daily low), second support: $910 (recent box lower edge). - First resistance: $955 (near daily high), second resistance: $960 (medium-term box upper edge). 3. Driving and Risk Factors - Positive: New projects on Binance Launchpad, growth of BNB chain ecosystem, quarterly burn expectations. - Risks: Regulatory policy changes, market systemic corrections, on-chain security incidents. 4. Executable Trading Strategies 1. Spot: - Position: No more than **20%** of total funds in a single transaction, build positions in 2-3 stages. - Entry: Buy in batches when the price retraces to **$935-$940**. - Take profit: Reduce positions by 50% at $950-$955, if it breaks **$960 look for $980-$1000**. - Stop loss: Exit if it falls below **$930, re-enter only if risk-reward ratio is above 1:2**. 2. Contracts (cautiously): - Leverage: No more than 5x, light position trial trades. - Direction: Mainly long on retracements, with short positions near resistance. - Risk control: Single trade stop loss **≤2%** of capital, strict stop loss, do not hold losing positions. 5. Key Operation Reminders - Monitor BTC/ETH linkage, prioritize observation or reduce positions when the market weakens. - Adjust positions 3-5 days in advance of the BNB burn announcement (quarter-end) to avoid volatility from expectation realization. - Liquidity: Prefer mainstream platforms like Binance to avoid slippage risks on smaller platforms.
#bnb一輩子 $BNB
As of January 18, 2026, 22:00, BNB is currently at **$947.2**, with a slight increase of **+0.8%** in the last 24 hours, fluctuating between **$935.3-$959.3** in daily range, market cap approximately **$129B**, and trading volume **$3.5B**. Below are the structured trends and trading strategies:

1. Core Trend Overview

- Short-term (daily): Strong linkage with BTC/ETH, oscillating upwards, testing **$950-$955 resistance, support $935-$940**.
- Medium-term (7-30 days): Maintaining **$910-$960** box oscillation, repeatedly testing the upper edge, moderate volume, lacking clear direction.
- Long-term (3-6 months): Relying on Binance ecosystem and burn mechanism, linked to the market, if BTC breaks through key levels, expected to test **$1000** integer level.

2. Key Technical Signals

1. Indicators: RSI around 52 (neutral), MACD flat near zero axis, no clear bullish or bearish signals, watch for continuation of oscillation.
2. Support and Resistance:
- First support: $935 (daily low), second support: $910 (recent box lower edge).
- First resistance: $955 (near daily high), second resistance: $960 (medium-term box upper edge).

3. Driving and Risk Factors

- Positive: New projects on Binance Launchpad, growth of BNB chain ecosystem, quarterly burn expectations.
- Risks: Regulatory policy changes, market systemic corrections, on-chain security incidents.

4. Executable Trading Strategies

1. Spot:
- Position: No more than **20%** of total funds in a single transaction, build positions in 2-3 stages.
- Entry: Buy in batches when the price retraces to **$935-$940**.
- Take profit: Reduce positions by 50% at $950-$955, if it breaks **$960 look for $980-$1000**.
- Stop loss: Exit if it falls below **$930, re-enter only if risk-reward ratio is above 1:2**.
2. Contracts (cautiously):
- Leverage: No more than 5x, light position trial trades.
- Direction: Mainly long on retracements, with short positions near resistance.
- Risk control: Single trade stop loss **≤2%** of capital, strict stop loss, do not hold losing positions.

5. Key Operation Reminders

- Monitor BTC/ETH linkage, prioritize observation or reduce positions when the market weakens.
- Adjust positions 3-5 days in advance of the BNB burn announcement (quarter-end) to avoid volatility from expectation realization.
- Liquidity: Prefer mainstream platforms like Binance to avoid slippage risks on smaller platforms.
·
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$BNB {future}(BNBUSDT) #bnb #bnb一輩子 BNB Short-term (24-72 hours) Structured Trading Strategy Core Premise: Based on mainstream exchanges' spot/within 10x leverage scenario, real-time tracking of BNB/USDT 4-hour candlestick + exchange platform announcements is required 1. Entry Conditions (must meet simultaneously) 1. Price Trigger: 4-hour candlestick stabilizes above the 24-hour weighted average price (VWAP), and the MACD indicator has a golden cross above the 0 axis, with trading volume increasing by ≥30% compared to the previous 3 candlesticks 2. Market Linkage: BTC/USDT 4-hour line does not break key support (within ±2% fluctuation), ETH correlation ≤1.2 times (to avoid extreme market conditions dragging down) 3. Platform Signals: Binance has no sudden announcements for new coin listings/removals, the contract position long-short ratio is within the 1.0-1.2 range (neutral sentiment) 2. Specific Execution Parameters Trading Dimension Spot Parameters 10x Leverage Parameters Position Ratio 10%-15% of total funds per transaction 5%-8% of total funds per transaction Entry Price Choose the price at which the 4-hour candlestick retraces to the MA20 moving average (limit order) Same as spot, need to reserve 5% fluctuation margin Take Profit Levels First Take Profit: Lower edge of prior high resistance level (profit 8%-10%) reduce position by 50% Second Take Profit: After breaking the prior high, look for 15%-18% (exit all) First Take Profit: Profit of 6%-8% reduce position by 50% Second Take Profit: 12%-15% (exit all) Stop Loss Levels 3.5%-4% below entry price (immediate stop loss if breaking below the 4-hour MA60 moving average) 2.5%-3% below entry price (mandatory reduction if margin falls below 80%) Additional Positioning Conditions Break above prior high and volume increases by 50%, add 5% of total funds Not recommended to add positions, focus on single transaction 3. Risk Control Rules (mandatory execution) 1. Time Stop Loss: If the first take profit level is not reached within 72 hours of entry, exit directly regardless of profit or loss 2. Sudden Risk Control: If BTC's daily decline ≥5%, immediately reduce position by half; if decline ≥8%, liquidate unconditionally 3. Position Limit: The short-term trading position for a single currency BNB does not exceed 20% of total funds (spot)/10% (leverage) 4. Exit Signals (execute if any one is met) 1. 4-hour candlestick closes with a long upper shadow (body ratio ≤30%), and trading volume sharply decreases 2. MACD has a death cross above the 0 axis, or the RSI indicator breaks through the 75 overbought range 3. Binance issues announcements for platform coin buyback/destroy (easy to surge and then pull back after positive news)
$BNB
#bnb #bnb一輩子 BNB Short-term (24-72 hours) Structured Trading Strategy

Core Premise: Based on mainstream exchanges' spot/within 10x leverage scenario, real-time tracking of BNB/USDT 4-hour candlestick + exchange platform announcements is required

1. Entry Conditions (must meet simultaneously)

1. Price Trigger: 4-hour candlestick stabilizes above the 24-hour weighted average price (VWAP), and the MACD indicator has a golden cross above the 0 axis, with trading volume increasing by ≥30% compared to the previous 3 candlesticks
2. Market Linkage: BTC/USDT 4-hour line does not break key support (within ±2% fluctuation), ETH correlation ≤1.2 times (to avoid extreme market conditions dragging down)
3. Platform Signals: Binance has no sudden announcements for new coin listings/removals, the contract position long-short ratio is within the 1.0-1.2 range (neutral sentiment)

2. Specific Execution Parameters

Trading Dimension Spot Parameters 10x Leverage Parameters
Position Ratio 10%-15% of total funds per transaction 5%-8% of total funds per transaction
Entry Price Choose the price at which the 4-hour candlestick retraces to the MA20 moving average (limit order) Same as spot, need to reserve 5% fluctuation margin
Take Profit Levels First Take Profit: Lower edge of prior high resistance level (profit 8%-10%) reduce position by 50% Second Take Profit: After breaking the prior high, look for 15%-18% (exit all) First Take Profit: Profit of 6%-8% reduce position by 50% Second Take Profit: 12%-15% (exit all)
Stop Loss Levels 3.5%-4% below entry price (immediate stop loss if breaking below the 4-hour MA60 moving average) 2.5%-3% below entry price (mandatory reduction if margin falls below 80%)
Additional Positioning Conditions Break above prior high and volume increases by 50%, add 5% of total funds Not recommended to add positions, focus on single transaction

3. Risk Control Rules (mandatory execution)

1. Time Stop Loss: If the first take profit level is not reached within 72 hours of entry, exit directly regardless of profit or loss
2. Sudden Risk Control: If BTC's daily decline ≥5%, immediately reduce position by half; if decline ≥8%, liquidate unconditionally
3. Position Limit: The short-term trading position for a single currency BNB does not exceed 20% of total funds (spot)/10% (leverage)

4. Exit Signals (execute if any one is met)

1. 4-hour candlestick closes with a long upper shadow (body ratio ≤30%), and trading volume sharply decreases
2. MACD has a death cross above the 0 axis, or the RSI indicator breaks through the 75 overbought range
3. Binance issues announcements for platform coin buyback/destroy (easy to surge and then pull back after positive news)
·
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$BNB {future}(BNBUSDT) Another wave of small takeoff, if you haven't boarded, go get two boards!
$BNB
Another wave of small takeoff, if you haven't boarded, go get two boards!
·
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#bnb $BNB {future}(BNBUSDT) BNB Simplified Trading and Risk Control Checklist (2026.1.17 14:33, $936.44) - Key Price Levels (USD) - Support: 920 (Strong), 900 (Strong), 870 (Weak) - Resistance: 940 (Strong), 955 (Strong), 970 (Weak) - Long Position Strategy - Entry: $930-935 (Stable EMA20, small position for long) - Stop Loss: $918 (Break below 920 support, exit quickly) - Take Profit: $945-950 (Reduce position in batches), $970 (Second target) - Position Size: Single trade ≤5%, Total position ≤15% - Short Position Strategy (Cautious) - Entry: $940-945 (Pressured pullback, light position for short) - Stop Loss: $958 (Break above 955 resistance, close immediately) - Take Profit: $925 (Reduce position in batches), $900 (Second target) - Position Size: Single trade ≤3%, Total position ≤10% - Risk Control Points - Strict stop loss, do not hold positions when breaking; weekend liquidity is low, do not chase highs/falls - Pay attention to Binance ecosystem news, regulatory dynamics, and market linkage - Focus on spot trading, contract leverage ≤3x, avoid heavy positions
#bnb $BNB

BNB Simplified Trading and Risk Control Checklist (2026.1.17 14:33, $936.44)

- Key Price Levels (USD)
- Support: 920 (Strong), 900 (Strong), 870 (Weak)
- Resistance: 940 (Strong), 955 (Strong), 970 (Weak)
- Long Position Strategy
- Entry: $930-935 (Stable EMA20, small position for long)
- Stop Loss: $918 (Break below 920 support, exit quickly)
- Take Profit: $945-950 (Reduce position in batches), $970 (Second target)
- Position Size: Single trade ≤5%, Total position ≤15%
- Short Position Strategy (Cautious)
- Entry: $940-945 (Pressured pullback, light position for short)
- Stop Loss: $958 (Break above 955 resistance, close immediately)
- Take Profit: $925 (Reduce position in batches), $900 (Second target)
- Position Size: Single trade ≤3%, Total position ≤10%
- Risk Control Points
- Strict stop loss, do not hold positions when breaking; weekend liquidity is low, do not chase highs/falls
- Pay attention to Binance ecosystem news, regulatory dynamics, and market linkage
- Focus on spot trading, contract leverage ≤3x, avoid heavy positions
·
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$BNB {future}(BNBUSDT) #bnb BNB Short-term Investment Strategy Execution Checklist (2026.1.16, current price ~945) 1. Position & Capital: Short-term capital ≤ 30% of total capital; single position ≤ 10%, remaining for margin buying/liquidity 2. Entry: Buy on support at 900-910; add on stability at 930-940; lightly chase after breakout confirmation at 980-1000 3. Stop-loss: 880 (key support); liquidate immediately if below 840 4. Take-profit: Take partial profits at 1000 (first), 1050 (second); reduce position if pullback by 5% or break below 5-day MA 5. Technicals: Reduce position if RSI > 70; consider adding if RSI < 30; hold on MACD golden cross, reduce on death cross; exit if break below 20/50-day MA 6. Fundamentals: Monitor Binance announcements, regulations, whale addresses; reduce position immediately on sudden negative news 7. Execution Rules: Set limit orders in advance, avoid chasing rallies or panic selling; move stop-loss to break-even after profit; pause trading during emotional volatility 8. Hedging: Use grid strategy (880-1000, interval 20-30) in ranging markets; use small-leverage contracts to hedge in trending markets
$BNB
#bnb BNB Short-term Investment Strategy Execution Checklist (2026.1.16, current price ~945)

1. Position & Capital: Short-term capital ≤ 30% of total capital; single position ≤ 10%, remaining for margin buying/liquidity
2. Entry: Buy on support at 900-910; add on stability at 930-940; lightly chase after breakout confirmation at 980-1000
3. Stop-loss: 880 (key support); liquidate immediately if below 840
4. Take-profit: Take partial profits at 1000 (first), 1050 (second); reduce position if pullback by 5% or break below 5-day MA
5. Technicals: Reduce position if RSI > 70; consider adding if RSI < 30; hold on MACD golden cross, reduce on death cross; exit if break below 20/50-day MA
6. Fundamentals: Monitor Binance announcements, regulations, whale addresses; reduce position immediately on sudden negative news
7. Execution Rules: Set limit orders in advance, avoid chasing rallies or panic selling; move stop-loss to break-even after profit; pause trading during emotional volatility
8. Hedging: Use grid strategy (880-1000, interval 20-30) in ranging markets; use small-leverage contracts to hedge in trending markets
·
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#bnb $BNB {future}(BNBUSDT) (2026-01-16, price around $937) Short-term (4h/1h) position reference and key levels, directly applicable for quick position building and risk management: 📊 Core Levels (Short-term Bullish/Bearish Anchor Points) Type Key Levels Notes Resistance 950/974 950 is the intraday previous high, 974 is the short-term strong resistance Support 930/920 930 is the 20EMA support, 920 is the 24h low Stop-loss Below 920 Break below 920 indicates shift to bearish, exit position 📈 Positioning and Timing Suggestions - Long positions: Enter lightly in the 930-935 range, stop-loss at 920, target 950-974, position size controlled within 20%-30%. - Short positions: Enter lightly short at 950-955, stop-loss at 960, target 930, position size ≤20%. - Watch signal: When price is ranging between 930-950 and volume is shrinking, refrain from opening new positions. ⚠️ Risk Management Highlights 1. Strict stop-loss, single trade loss ≤ 2% of total capital. 2. Leverage ≤ 5x, avoid extreme market conditions leading to liquidation. 3. Monitor BTC movement and Binance platform announcements, be alert for sudden liquidity risks.
#bnb
$BNB
(2026-01-16, price around $937) Short-term (4h/1h) position reference and key levels, directly applicable for quick position building and risk management:

📊 Core Levels (Short-term Bullish/Bearish Anchor Points)

Type Key Levels Notes
Resistance 950/974 950 is the intraday previous high, 974 is the short-term strong resistance
Support 930/920 930 is the 20EMA support, 920 is the 24h low
Stop-loss Below 920 Break below 920 indicates shift to bearish, exit position

📈 Positioning and Timing Suggestions

- Long positions: Enter lightly in the 930-935 range, stop-loss at 920, target 950-974, position size controlled within 20%-30%.
- Short positions: Enter lightly short at 950-955, stop-loss at 960, target 930, position size ≤20%.
- Watch signal: When price is ranging between 930-950 and volume is shrinking, refrain from opening new positions.

⚠️ Risk Management Highlights

1. Strict stop-loss, single trade loss ≤ 2% of total capital.
2. Leverage ≤ 5x, avoid extreme market conditions leading to liquidation.
3. Monitor BTC movement and Binance platform announcements, be alert for sudden liquidity risks.
·
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$BNB {future}(BNBUSDT) #bnb BNB Positioning Key Points and Risk Control Checklist 1. Position Layering: Allocate total capital in a 3:4:3 ratio—30% base position held long-term, 40% swing position for trend trading, and 30% flexible position to respond to sudden market movements. 2. Position Building Rhythm: Add to positions in a stepwise manner during declines—add 10% of the base position for every 10% drop; add to the swing position only after breaking key resistance levels (e.g., $350, $400). 3. Profit Taking and Stop-Loss: For the base position, take profit based on long-term goals (e.g., ecosystem boom of the platform token), and set stop-loss at 20% below cost basis; for the swing position, target 15%-20% profit and set stop-loss at 5%-8%. 4. Risk Hedging: Allocate 10%-15% in stablecoins, ensure BNB single-asset exposure does not exceed 40% of total capital, to avoid concentrated exposure to platform policy risks.
$BNB
#bnb
BNB Positioning Key Points and Risk Control Checklist

1. Position Layering: Allocate total capital in a 3:4:3 ratio—30% base position held long-term, 40% swing position for trend trading, and 30% flexible position to respond to sudden market movements.
2. Position Building Rhythm: Add to positions in a stepwise manner during declines—add 10% of the base position for every 10% drop; add to the swing position only after breaking key resistance levels (e.g., $350, $400).
3. Profit Taking and Stop-Loss: For the base position, take profit based on long-term goals (e.g., ecosystem boom of the platform token), and set stop-loss at 20% below cost basis; for the swing position, target 15%-20% profit and set stop-loss at 5%-8%.
4. Risk Hedging: Allocate 10%-15% in stablecoins, ensure BNB single-asset exposure does not exceed 40% of total capital, to avoid concentrated exposure to platform policy risks.
·
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$BNB {future}(BNBUSDT) #bnb Based on the BNB spot price of approximately $937 on January 14, 2026, 19:00, the following is the position adjustment and stop-loss/additional position list (default long positions, stop-loss only moved upward, never downward): I. Base Position and Stop-Loss (Total position ≤30%, strict risk control) - First position (10%): Entry price 935–939, stop-loss below 920 (triggered immediately if 926 near-term support is broken). - Second position (10%): Add position upon retest and stabilization at 926–928 (EMA20 / trading volume concentration zone), stop-loss moved to below 920. - Third position (10%): Add position upon retest and stabilization at 885–890 (previous support level), stop-loss moved to below 880. - Mid-term position (optional, ≤10%): Add position upon stabilization at 847–856 (medium-term lower boundary), stop-loss below 840; if below 847 is broken, shift to medium-term bearish. II. Trigger Conditions and Risk Management - Add position trigger: Volume expansion upon retest and stabilization in support zone (volume ≤60% of previous upswing day), closing price above support level, indicator recovery (RSI drops to 50–60). - Stop-loss rule: Immediate stop-loss if support level is broken effectively (4H close + volume expansion); after profit, only move stop-loss upward, never increase risk. - Reduce position signal: Volume expansion without new high, break below key support with insufficient recovery (less than 40%), reduce position by 1/3–1/2. III. Targets and Advanced Strategies - Short-term target: 960–970; mid-term target: 1000–1020; break above 1020 targets 1050–1080. - Advanced technique: If profit exceeds 5%, set trailing stop-loss at 5–8 USD to lock in gains while preserving upside potential.
$BNB
#bnb
Based on the BNB spot price of approximately $937 on January 14, 2026, 19:00, the following is the position adjustment and stop-loss/additional position list (default long positions, stop-loss only moved upward, never downward):

I. Base Position and Stop-Loss (Total position ≤30%, strict risk control)

- First position (10%): Entry price 935–939, stop-loss below 920 (triggered immediately if 926 near-term support is broken).
- Second position (10%): Add position upon retest and stabilization at 926–928 (EMA20 / trading volume concentration zone), stop-loss moved to below 920.
- Third position (10%): Add position upon retest and stabilization at 885–890 (previous support level), stop-loss moved to below 880.
- Mid-term position (optional, ≤10%): Add position upon stabilization at 847–856 (medium-term lower boundary), stop-loss below 840; if below 847 is broken, shift to medium-term bearish.

II. Trigger Conditions and Risk Management

- Add position trigger: Volume expansion upon retest and stabilization in support zone (volume ≤60% of previous upswing day), closing price above support level, indicator recovery (RSI drops to 50–60).
- Stop-loss rule: Immediate stop-loss if support level is broken effectively (4H close + volume expansion); after profit, only move stop-loss upward, never increase risk.
- Reduce position signal: Volume expansion without new high, break below key support with insufficient recovery (less than 40%), reduce position by 1/3–1/2.

III. Targets and Advanced Strategies

- Short-term target: 960–970; mid-term target: 1000–1020; break above 1020 targets 1050–1080.
- Advanced technique: If profit exceeds 5%, set trailing stop-loss at 5–8 USD to lock in gains while preserving upside potential.
·
--
As of 14:00 on January 14, 2026, BNB is trading at $936.6, up 2.88% in 24 hours and approximately 3.5% in 7 days. The short-term trend is moderately strong, while the medium-term phase remains consolidation and buildup near $900. Below are the core trends and key information: 1. Recent Price Movement (January 2026) - From the beginning of the month to mid-January, BNB oscillated between $890 and $910. On January 14, it broke above $930, surpassing MA20 and MA50, indicating short-term bullish dominance. - After the year-end correction, price recovery is supported by ecosystem developments and ETF expectations, with declining volatility awaiting a directional breakout. 2. Core Drivers and Resistance/Support Levels - Bullish factors: Accelerated Fermi upgrade, institutional ETF rumors, active BSC ecosystem (56.4 million weekly active addresses), and RWA TVL exceeding $2.1 billion. - Resistance: $950–$970; Support: $890–$900; a breakdown could lead to a strong support level at $860. 3. Short-term and Medium-to-Long-term Trend Outlook - Short-term (1–4 weeks): Consolidation with a bullish bias, potentially targeting $970; monitor volume and breakout validity. - Medium-term (1–3 months): Likely to continue consolidating within the $900–$950 range, requiring fundamental or policy catalysts to break the balance. - Long-term (6–12 months): Driven by ecosystem growth and regulatory progress, institutional forecasts suggest a 1-year target price of approximately $1,060 (+13.25%). 4. Risk Warnings - Regulatory changes, market-wide volatility, or on-chain security incidents may trigger corrections; manage position size and set stop-losses. $BNB {future}(BNBUSDT) #bnb
As of 14:00 on January 14, 2026, BNB is trading at $936.6, up 2.88% in 24 hours and approximately 3.5% in 7 days. The short-term trend is moderately strong, while the medium-term phase remains consolidation and buildup near $900. Below are the core trends and key information:

1. Recent Price Movement (January 2026)

- From the beginning of the month to mid-January, BNB oscillated between $890 and $910. On January 14, it broke above $930, surpassing MA20 and MA50, indicating short-term bullish dominance.
- After the year-end correction, price recovery is supported by ecosystem developments and ETF expectations, with declining volatility awaiting a directional breakout.

2. Core Drivers and Resistance/Support Levels

- Bullish factors: Accelerated Fermi upgrade, institutional ETF rumors, active BSC ecosystem (56.4 million weekly active addresses), and RWA TVL exceeding $2.1 billion.
- Resistance: $950–$970; Support: $890–$900; a breakdown could lead to a strong support level at $860.

3. Short-term and Medium-to-Long-term Trend Outlook

- Short-term (1–4 weeks): Consolidation with a bullish bias, potentially targeting $970; monitor volume and breakout validity.
- Medium-term (1–3 months): Likely to continue consolidating within the $900–$950 range, requiring fundamental or policy catalysts to break the balance.
- Long-term (6–12 months): Driven by ecosystem growth and regulatory progress, institutional forecasts suggest a 1-year target price of approximately $1,060 (+13.25%).

4. Risk Warnings

- Regulatory changes, market-wide volatility, or on-chain security incidents may trigger corrections; manage position size and set stop-losses.
$BNB
#bnb
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