U.S.-Iran Storm + Market Manipulation | Ethereum's Latest Violent Rally: Full Breakdown of Patterns + Capital + Shakeouts (Exclusive by the Reversal Master)



The U.S.-Iran conflict sparks risk aversion, ETH surges briefly to 2090 then drops sharply. This is not a reversal, but precise harvesting by the market makers! Understanding the structure, capital flow, and shakeout techniques will help you avoid traps and seize real opportunities!

1. The True Impact of U.S.-Iran Tensions on ETH (Don’t Be Fooled by the News)

- Short-term: Geopolitical risk aversion + institutional manipulation via news, pulse-like rally, not a trend reversal
- Mid-term: Situation eases → capital withdraws → returns to technical analysis; conflict escalates → wide-range volatility, main players shake out
- Core: News is a tool, capital is the truth, the rally is only to trigger short positions + lure in longs

2. Pattern Structure: Bearish Dominance, Rebound as a Trap

- Daily Chart: Downtrend channel intact, moving averages in a bearish alignment, rebound is a weak correction
- 4-Hour Chart: Spike to 2090 with long upper wick, bearish engulfing bullish candles, bulls exhausted
- Key Zones:
- Resistance: 2050–2100 strong resistance zone
- Support: 1960–1980 short-term support; 1830–1850 critical support line
- Conclusion: Structure leans bearish, don’t chase rebounds, face resistance = short

3. Capital Flow: Main players manipulate with both hands

- Spot Market: Whales slightly accumulate, retail chase high and buy in
- Futures: 370 million liquidation in 24h, shorts cleared, longs take over, typical harvesting
- ETF: Short-term net inflow, unsustainable, mainly institutions trading T+0
- Signal: Volume surges during rallies, declines on low volume, capital is fleeing, not entering

4. Recent Shakeout Techniques: Market maker textbook operations

1. Sudden plunge to create a trap: Drop to 1835 to induce panic selling
2. News-driven rally: Rapid rise to 2090 via U.S.-Iran conflict, lure longs to chase high
3. High-level dump: Fail to hold key levels, sudden plunge to trap traders
4. Range killing: Repeated shakeouts between 2000–2050, both bulls and bears get caught

- Purpose: Shake out weak hands, prepare for the next wave

5. Future Trend Prediction (Precise Levels)

- Short-term (1–3 days): Resistance at 2050–2100, pullback, retest 1960–1980
- Break risk: If 1960 is lost → head straight to 1850–1830
- Extreme scenario: U.S.-Iran escalation intensifies → wide-range volatility, no chasing rallies
- Trading strategy: Focus on shorting at highs, cautious longs at lows, strictly control stop-loss

6. Reversal Master Reminder (Must Read)

U.S.-Iran situation is a quick shakeout driven by main players, not a bullish signal! Don’t chase highs, don’t hold onto positions blindly, don’t guess bottoms. Follow the capital flow and structure, ride the waves wisely!#美伊局势影响
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LateStageOfFoundationBuildingvip
· 3h ago
Master, last night I asked you about the daily chart box, and you gave a confirming answer😂. Today, I'm enjoying some meat.
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纽约翻仓大神vip
· 3h ago
Wishing you great wealth in the Year of the Horse 🐴
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