FOMC hawkish minutes are released, BTC resists declines and holds above 70,000 USD, market sentiment briefly warms up, but the fear and greed index falls back to 14, showing extreme fear for 21 consecutive days, indicating that the funding situation is not truly optimistic.
Today's Pro research report clearly states: this round of resistance is not due to "bad news fully priced in", but rather a balance of four forces: macroeconomic pressure digestion, capital divergence, on-chain selling pressure, and celestial resonance. ETH performs significantly weaker than BTC, with a greater decrease in OI, differentiation in funding rates, and significant market divergence.
From an institutional perspective, there is only one core observation indicator: whether ETF funds can reverse and flow back on April 9. If the outflow continues, the support at 70,000 will face serious testing; if it turns into a net inflow, combined with celestial window resonance, BTC may test the 50-day EMA resistance level.
The complete research framework has been established, providing clear and executable trading strategies from five major dimensions: technical structure, capital flow, on-chain data, regulatory progress, and celestial time windows.
Preview ends — the full report also includes: full dissection of BTC/ETH technical aspects and key boundary levels, decisive impact of ETF fund divergence on mid-term market trends, real selling pressure assessment of 42,000 BTC inflow to exchanges, interpretation of Hyperliquid on-chain liquidation's impact on the market, countdown to CLARITY bill legislation and regulatory catalysts, four scenario decision-making models, and practical position management plans.
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(This article is a preview of paid content, showing only the core framework and some key data; for a complete analysis, please join the group for reading).
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