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#SOL# Long and Short Strategy Deployment
▶ Pullback Long Strategy (Light Position Test Order)
Trigger conditions:
① The 30-minute K-line closed above 144.20 (staying above the BOLL lower band)
② RSI(6) breaks 32 + MACD green bars turn red (bearish momentum exhaustion)
Action:
Build positions in the range of 143.50-144.00 (≤2% position)
Target 144.95 (EMA5, +1.0%) → 146.05 (high from hours ago, +1.8%)
Stop Loss: 142.80 (below the early session low by 0.5%, loss ≈ 0.5%)
▶ Trend Strengthening Strategy
Bullish reversal: If it breaks through 148.29 (EMA15) with volume, target 150.76 (EMA30, +5.1%), stop loss at 146.00.
Continuation of short: After effectively breaking below 143.18 (BOLL lower band), follow up with a short position, target 139.26 (previous low, -3.0%), stop loss at 144.50.
Three major risk control alerts
Fake rebound risk:
Before the MACD golden cross (DIF crosses above DEA) appears, the height of the pullback is difficult to break through 146.05.
Volume Verification:
Breaking through EMA5 (144.95) requires increased volume (Vol > 8,000), otherwise it is prone to pull back.
Leverage Protection:
Contract position leverage ≤ 5 times, preventing a spike to 139.26 (on-chain data shows $139 as the liquidation concentration area)
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