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2026年7月24日星期五 BTC合约分析技术性
一、盘面现价总览
BTC current price is 65,114 USD, with a 24-hour drop of 0,90%. The intraday trading range is 64,564~65,805. In the past two trading days, attempts to push up into the 66,500~67,000 range ran into dense, heavy chip supply repeatedly and faced continuous rejection. Bullish momentum has been steadily exhausting; in the short term, profit-taking by long positions has clustered and exited the market. The market has switched from upward consolidation from the high level to a pattern of pullback and consolidation in the later stage of the up move.
On the long-term capital side, US spot ETFs have maintained net inflows for 7 consecutive days. Institutional accumulation at the bottom remains solid, and the room for a deep crash has effectively been locked. This pullback is a healthy correction within an ongoing up structure, not a reversal of the larger-cycle trend. On the macro front, geopolitical conflict in the Middle East has escalated, pushing oil prices higher. US Treasury yields are rising, and the market has increased its hawkish expectations for the Federal Reserve; risk assets are under collective pressure. This is the core external catalyst behind BTC’s short-term weakness.
二、多周期技术拆解
日线周期(中长期基调)
1. The price is still holding above the short-term EMA15 and EMA30. The medium-term MA50 at 63,670 has formed a hard daily defense support. The larger-cycle repair-and-up structure remains intact; meanwhile, the 200-day moving average is still trending downward, so the market is defined as a recovery rebound after a period of downward correction.
2. In the MACD, the red bars above the zero axis are continuously shrinking and converging, showing marginal attenuation of bullish momentum. RSI has pulled back to the neutral 55 range, exiting the earlier overbought zone. There is no clear bearish reversal signal yet—only weakening bullish force.
3. Volume has increased moderately as price fell, which is consistent with profit-taking and兑现 volume rather than panic selling with a surge. The on-chain heavy-transaction dense zone at 61,840~63,111 contains a large volume of historical turnover, indicating extremely strong buy-side absorption.
4小时主控周期(日内核心周期)
1. The 4-hour Bollinger Bands are tightening downward toward the lower band. The upper band at 65,970 has turned into strong intraday resistance. The Bollinger midline at 64,900 is the key short-term line separating intraday bulls and bears. Price remains under the midline and has been under pressure; short-term bears have a slight edge.
2. The structure formed by rising channel lows has not been broken. The core pivot support at 64,500 is the key level at the bottom of the box range. As long as this point holds, the market stays in range consolidation. A valid breakdown would open downside room to test the 63,670 medium-term defense level.
3. The ADX trend indicator is declining; the single-direction uptrend has dissipated. The market has officially entered a range-bound, back-and-forth game cycle.
1小时短线周期
On the hourly chart, a bearish pressure structure is forming with successive lower highs. Short-term moving averages are arranged bearishly, indicating clear suppression in the short term. Hourly strong support is 64,560; the first resistance is 65,400. Expect narrow-range consolidation but with a bearish tilt.
三、分层精准关键价位
压力位(自上而下)
1. Intraday short-term first resistance: 65,400~65,970 (4-hour Bollinger upper band + prior intraday highs)
2. Swing-core inflection point pressure: 66,500~67,000 (dense supply/swing-loot lock-up zone). Once it holds and repairs, the bullish uptrend can resume.
3. Medium-term swing target pressure: 68,030
支撑位(自近至远)
1. Intraday short-term box life line: 64,500 (bottom of the consolidation box; core boundary for intraday strength/weakness)
2. Daily medium-term structural defense: 63,670 (MA50). The trend’s life-and-death line for the current repair move.
3. Deep pullback strong absorption support: 61,840~63,111 (historical large-amount heavy transaction dense zone)
四、盘面核心逻辑
1. Bull/bear power-switch logic: The earlier rally relied on long-term ETF capital plus the short squeeze. After price reached above 66,500 into the dense lock-up zone, short-term longs took profit and exited. Combined with warming hawkish macro expectations, bullish momentum in the short term has ebbed. Long-term institutional funds only deploy systematically on dips rather than chasing highs proactively—so the upside has lacked strength.
2. Structural characterization: Pullbacks and oscillations during the up move are not a reversal into a bear market. As long as the 63,670 daily MA support is not broken by a full-bodied decline, the larger-cycle bullish repair structure remains intact. All down moves are essentially “washing and accumulating power.”
3. Inter-market linkage: High-beta coins such as ETH and SOL have followed BTC and weakened in sync. The larger drawdowns in altcoins further suppress BTC’s short-term rebound strength. Only after BTC stabilizes can it help altcoins warm back up.
4. Pre-FOMC effects: The end of July Fed meeting is approaching. Market funds have tightened leverage in advance to hedge policy uncertainty. Volatility compresses, “needle” shake-outs occur more frequently, and the market remains range-bound overall.
五、三种行情情景推演
情景1:守住64500箱体支撑,区间震荡(最高概率)
Throughout the day, price ranges 64,500~65,970 in a narrow box, consolidating and digesting profits. Repeatedly test both the upper and lower box edges with needle shakedowns, while waiting for the Fed meeting outcome to choose direction.
情景2:放量反弹站稳65970(中性偏低概率)
Trading volume expands to more than 1,8 times the intraday average to break short-term resistance. After a second test of the 66,500 inflection point, if volume holds and stabilizes, it would restart a wave of bullish rally.
情景3:实体有效跌破64500支撑
A valid full-bodied breakdown of the 64,500 box structure would destroy the short-term box structure. The first downside target is the 63,670 daily core defense. If 63,670 is also breached, the rebound’s up-structure would be partially invalidated, and the market would transition into a deep pullback.
六、日内基础交易思路
1. Main line: Range strategy—go long on dips near 64,500 after stabilization within the box; targets 65,400 / 65,970.
2. Secondary line (under pressure): 65,800~65,970 stalls with shrinking volume and then turns—try a lightly sized short at the turn to bet on the box pulling back; target around 64,600. Limit this to intraday short-term positioning only.
3. Break-and-follow: If volume breaks and holds 65,970, follow the trend to chase longs. If a full-bodied break occurs below 64,450, follow the trend to short.
4. Strictly control total position size during the range-bound cycle to avoid whipsaw stop-outs caused by repeated needle entries/exits. In the middle of the box, blurry prices are prohibited from frequent opening trades and rapid order cycling. #夏日创作营 $BTC
一、盘面现价总览
BTC现价65114美金,24小时跌幅0,90%,日内运行区间64564~65805美金。前两个交易日向上冲击66500~67000筹码密集承压区连续遇阻,多头上攻动能持续衰竭,短线多头获利盘集中止盈离场,行情由高位震荡上行切换为上涨后阶段性回调整理格局。
长线资金层面美国现货ETF连续7日保持净流入,机构底部承接力度稳固,深度暴跌空间被锁死,本轮回落属于上涨结构内良性回调,并非大周期趋势反转。宏观端中东地缘冲突升级推升油价走高,美债收益率上行,市场上调美联储偏鹰预期,风险资产集体承压,是BTC短线走弱的核心外部诱因。
二、多周期技术拆解
日线周期(中长期基调)
1. 价格依旧站稳短期EMA15、EMA30均线,中期MA50均线63670形成硬核日线防守支撑,大周期修复上行结构完整保留,中长期200日均线依旧下行,行情定性下跌后的修复反弹行情。
2. MACD零轴上方红柱持续收缩收敛,多头动能边际衰减;RSI回落至55中性区间,脱离前期超买区间,暂无明确空头反转信号,仅多头力度衰减。
3. 成交量伴随价格回落温和放量,属于获利盘兑现量能,并未出现恐慌式抛盘放量,链上大额筹码成交密集区61840~63111存在海量历史换手盘,具备极强买盘承接力。
4小时主控周期(日内核心周期)
1. 4小时布林带收口向下轨靠拢,上轨65970转化日内强压,布林中轨64900成为日内多空短线分水岭,价格持续承压在中轨下方运行,短线空头小幅占优。
2. 上行上升通道低点抬升结构未破,核心中枢支撑64500为箱体下沿关键位,守住该点位维持区间震荡;有效跌破则打开下行空间测试63670中期防守位。
3. ADX趋势指标下行,单边上涨趋势消散,正式进入区间震荡博弈周期。
1小时短线周期
小时线形成连续高点下移的弱势承压结构,短期均线空头排列,短线压制明显;小时级强支撑64560,第一压力65400,窄幅震荡偏弱运行。
三、分层精准关键价位
压力位(自上而下)
1. 日内短线第一压力:65400~65970(4小时布林上轨+日内前高)
2. 波段核心分水岭重压:66500~67000(筹码密集套牢区,站稳后修复多头上涨趋势)
3. 中期波段目标压力:68030
支撑位(自近至远)
1. 日内短线箱体生命线:64500(震荡箱体下沿,日内强弱核心分界)
2. 日线中期结构防守位:63670(MA50均线,本轮修复行情趋势生死线)
3. 深度回调强承接支撑:61840~63111(历史大额筹码成交密集区)
四、盘面核心逻辑
1. 多空力量切换逻辑:前期上涨依靠ETF长线资金+空头挤仓驱动,价格抵达66500上方密集套牢区后,场内短线多头止盈,叠加宏观鹰派预期升温,短期多头动能退潮,长线机构资金只逢低定投不主动追高,所以上涨乏力。
2. 结构定性:上涨途中回调震荡,不是反转空头。只要63670日线均线支撑不被实体跌破,大周期多头修复结构完好,所有下跌均为洗盘蓄力。
3. 联动盘面:ETH、SOL等高贝塔币种跟随BTC同步走弱,山寨跌幅放大进一步压制BTC短线反弹力度,BTC企稳后方可带动山寨回暖。
4. 议息前置效应:7月底美联储议息会议临近,市场资金提前收缩杠杆规避政策不确定性,波动率压缩,插针洗盘频次增多,震荡行情为主。
五、三种行情情景推演
情景1:守住64500箱体支撑,区间震荡(最高概率)
全天运行64500~65970窄幅箱体震荡消化获利盘,反复测试上下沿插针洗盘,等待美联储议息落地选择方向。
情景2:放量反弹站稳65970(中性偏低概率)
成交量放大至日内均值1,8倍以上突破短线压力,二次测试66500分水岭,放量站稳重启波段多头拉升行情。
情景3:实体有效跌破64500支撑
短线箱体结构破坏,下行第一目标63670日线核心防守;击穿63670则本轮反弹上行结构阶段性失效,行情转入深度回踩行情。
六、日内基础交易思路
1. 主线区间思路:箱体下沿64500附近企稳低多,目标65400/65970
2. 辅线承压思路:65800~65970滞涨缩量拐头轻仓试空,博弈箱体回落,目标64600附近,仅限日内短线持仓
3. 破位跟单:放量站稳65970顺势追多;实体跌破64450顺势短空
4. 震荡周期严控总仓位,规避来回插针扫损,箱体中间模糊价位禁止频繁开仓刷单。#夏日创作营 $BTC