On the general trend, it is expected that next week or next week can break through the previous high of 49,000, and the weekly line will only be repaired or directly pulled.
There is only one position where there may be a quick insertion, that is, after breaking through the previous high, two reasons, the back to the previous high to short in advance and the low to the new high stage of profit.
These two reasons are the main factors for the rapid upward insertion of the pin after breaking through the new high, because the new high will be attractive to knock out the contract that is short in advance, and the selling of the low position will be the main reason for the pin, which depends on how many people are chasing the high.
Of course, it may not be adjusted, but the contract needs to pay attention to the reduction action near the new high, which is a potential risk, **up, 46600 becomes the **low, **low, will be the starting point of the next round of rise, so the intraday operation near 47000 continues to be more.
ps: Yesterday's real 47000 and ether 2490 nearby, the flatbread is around 48200, the ether is still around 2500, the flatbread must be the first choice for long, but the ether can be used as a second choice for short.
To sum up: on the general trend, our long-term first target 51888 will come, next week or next week will break through the previous high of 49000, but it is necessary to pay attention to the sweeping contract action at this level, breaking through the new high will be the contract stage take profit, and no longer chasing the high, the day ** near 47000 will continue to be more.