Bitcoin (BTCUSD) hit a fresh 4-week high of $74,900 early Tuesday morning before giving up some gains, reflecting improved investor risk appetite.
Bitcoin (BTCUSD) hit a fresh 4-week high of $74,900 early Tuesday morning before giving up some gains, reflecting improved investor risk appetite. Risk sentiment improved after the US and Iran considered resuming peace talks following a recent breakdown in negotiations. Looking ahead, investors should closely monitor geopolitical developments and US-Iran updates, as any escalation in the Middle East could prompt caution. Additionally, the start of the new quarterly earnings season and Federal Reserve speakers’ comments this week will provide insights into the central bank’s rate cut trajectory.
From a technical perspective, Bitcoin is likely to remain strong and stabilize at current levels or move higher. Key resistance lies around $75,800–$76,000, which will be crucial for bulls aiming to reach the next resistance levels at $77,800 and then $79,000. Conversely, a decline toward the $70,000 support level would be important to monitor, as it could signal renewed bearish pressure and challenge the current upward momentum.

Since the US-Iran conflict began, cryptocurrencies have emerged as the best-performing risk asset class. BTCUSD is showing early signals of a potential bounce after retesting the $70,000 support zone. The latest fall from $73,600 to $70,000 appears to be a healthy pullback within a broader sideways channel, paving the door for a potential reversal in the coming sessions. However, sharp single-day swings like Monday's bounce necessitate cautious monitoring over the next 2 days. If follow-through buying fails to appear, particularly on higher timeframes, it may signal that the rise was motivated by short-covering or position squaring rather than strong conviction buying.
Warning! This material is not intended as investment advice. Past performance data does not guarantee future returns. Investing in foreign currencies may affect your returns due to their fluctuations. Any transaction in securities may result in both profits and losses. The assumptions and expectations set forth in this material are only estimates that may not be accurate and may change depending on current economic conditions. These statements do not guarantee future returns.
모든 투자자는 시장에서 확실성을 추구하며, 단 한 번의 변동도 없이 계속 상승하는 차트를 원합니다. 완벽하게 매끄러운 수익 곡선을 보면 안정감과 무적이라는 느낌이 듭니다. 하지만 가장 매력적인 성과 곡선 뒤에는 종종 가장 큰 위험이 도사리고 있는데, 이는 단 한 순간에 투자 자금을 완전히 날려버릴 수 있는 공격적인 전략의 형태로 나타납니다.
더 보기 →모든 투자자는 단 한 번의 차질도 없이 자산이 늘어나는 계좌를 꿈꿉니다. 하지만 시장의 현실은 무자비하며, 적자 수치를 마주하면 많은 사람들이 당황하고 실패했다고 느끼게 됩니다. 하지만 ‘드로다운’이라 불리는 일시적인 자본 감소는 시스템의 결함이 아니라, 거래 과정에서 발생하는 지극히 자연스러운 비용일 뿐입니다.
더 보기 →