End of December 2025 Cryptocurrency Market Trading Execution Plan (12.20-12.31)
I. Key Price Levels for Core Assets (Real-time Updated Benchmark: 12.20 8:00)
Asset Core Support (Stop-Loss) Strong Support (Extreme Defense) Core Resistance (Breakthrough Line) Strong Resistance (Target Level) BTC $84,000-$85,000 $80,000-$82,000 $88,000-$90,000 $92,000-$94,000 ETH $2,750-$2,800 $2,630-$2,700 $2,900-$2,950 $3,000-$3,300 Mainstream Altcoins (SOL/XRP/ADA) Recent Low Point -5% Recent Low Point -10% Recent High Point +3% Recent High Point +8%
II. Time Windows and Trigger Conditions
1. Short-term Critical Window (12.20-12.25)
- Long Entry Trigger: BTC stabilizes above $88,000 with 24-hour trading volume increase ≥20%; ETH breaks through $2,950 and stabilizes above the 50-day moving average - Reduce Position Trigger: BTC falls below $84,000 and is not recovered within 30 minutes; ETH loses support at $2,750 accompanied by increased bearish volume - Neutral Observation: Price fluctuates within the core support-resistance zone with volume below the 7-day moving average
2. End-of-Month Closure Window (12.26-12.31)
- Optimistic Scenario: Federal Reserve short-term treasury bond purchases release liquidity, BTC surges to $92,000-$94,000, ETH tests $3,300 - Pessimistic Scenario: No progress in regulatory negotiations + institutional funds continue to withdraw, BTC drops to $80,000, ETH touches $2,630 - Baseline Scenario: Range-bound consolidation, BTC around $85,000-$88,000, ETH around $2,750-$2,900
III. Position Management Rules
1. Total Position Limit: Crypto assets ≤40%, Stablecoins ≥60% (cash is king to cope with liquidity contraction) 2. Asset Allocation: BTC/ETH account for 70%-80% of crypto holdings, Altcoins ≤20% (avoid liquidity risk of small-cap coins) 3. Leverage Control: Strictly prohibit high leverage (≤2x), single trade risk exposure ≤3%-5% of account net value 4. Replenishment Rules: Only add to positions at strong support levels with bullish RSI divergence, maximum of 1 replenishment, replenishment amount ≤50% of initial position
IV. Long and Short Operation Trigger Signals
Long Entry Signal (execute if 2 or more conditions are met)
- Technical: Price stabilizes above core resistance on ≥4-hour chart, RSI exits oversold zone (BTC/ETH RSI >50) - Capital: BTC/ETH exchange balances decrease, stablecoin (USDT) net inflow into the crypto market - News: Positive progress in US crypto legislation negotiations, institutional funds flow back into ETFs
Short Entry Signal (execute if 2 or more conditions are met)
- Technical: Core support level is broken and not recovered, ETH head-and-shoulders pattern confirmed (break below $2,900 neckline) - Capital: USDC continues to outflow from exchanges, futures short positions increase ≥15% - News: Regulatory disagreements escalate, or large long positions are liquidated (single-day liquidation ≥$500 million)
V. Risk Prevention Points
1. Avoided Assets: MEME coins, low-liquidity altcoins (volume below 50% of 7-day average), DeFi sector temporarily avoid due to regulatory uncertainty 2. Time Risk Control: Gradually reduce leverage before December 31, cross-year positions ≤50% of crypto holdings 3. News Risk Control: Focus on December 28 US crypto legislation negotiations, Federal Reserve liquidity injection data, suspend opening positions on the day of sudden news
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BogeTalkCoin
· 12-20 16:09
Haha, I just spent time working on the trading strategy😀.
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BtcSteadyMaster
· 12-20 13:09
Why isn't Boger online yet tonight? What's going on? Is he just tired from work?
View OriginalReply0
象山阿脚
· 12-20 12:58
What's going on? Are you just tired from work?
View OriginalReply0
象山阿脚
· 12-20 12:58
Why isn't Boger online yet tonight?
View OriginalReply0
TooUgly
· 12-20 01:36
Hold on tight, we're about to take off 🛫Hold on tight, we're about to take off 🛫Hold on tight, we're about to take off 🛫🤣🤣🤣🤣
End of December 2025 Cryptocurrency Market Trading Execution Plan (12.20-12.31)
I. Key Price Levels for Core Assets (Real-time Updated Benchmark: 12.20 8:00)
Asset Core Support (Stop-Loss) Strong Support (Extreme Defense) Core Resistance (Breakthrough Line) Strong Resistance (Target Level)
BTC $84,000-$85,000 $80,000-$82,000 $88,000-$90,000 $92,000-$94,000
ETH $2,750-$2,800 $2,630-$2,700 $2,900-$2,950 $3,000-$3,300
Mainstream Altcoins (SOL/XRP/ADA) Recent Low Point -5% Recent Low Point -10% Recent High Point +3% Recent High Point +8%
II. Time Windows and Trigger Conditions
1. Short-term Critical Window (12.20-12.25)
- Long Entry Trigger: BTC stabilizes above $88,000 with 24-hour trading volume increase ≥20%; ETH breaks through $2,950 and stabilizes above the 50-day moving average
- Reduce Position Trigger: BTC falls below $84,000 and is not recovered within 30 minutes; ETH loses support at $2,750 accompanied by increased bearish volume
- Neutral Observation: Price fluctuates within the core support-resistance zone with volume below the 7-day moving average
2. End-of-Month Closure Window (12.26-12.31)
- Optimistic Scenario: Federal Reserve short-term treasury bond purchases release liquidity, BTC surges to $92,000-$94,000, ETH tests $3,300
- Pessimistic Scenario: No progress in regulatory negotiations + institutional funds continue to withdraw, BTC drops to $80,000, ETH touches $2,630
- Baseline Scenario: Range-bound consolidation, BTC around $85,000-$88,000, ETH around $2,750-$2,900
III. Position Management Rules
1. Total Position Limit: Crypto assets ≤40%, Stablecoins ≥60% (cash is king to cope with liquidity contraction)
2. Asset Allocation: BTC/ETH account for 70%-80% of crypto holdings, Altcoins ≤20% (avoid liquidity risk of small-cap coins)
3. Leverage Control: Strictly prohibit high leverage (≤2x), single trade risk exposure ≤3%-5% of account net value
4. Replenishment Rules: Only add to positions at strong support levels with bullish RSI divergence, maximum of 1 replenishment, replenishment amount ≤50% of initial position
IV. Long and Short Operation Trigger Signals
Long Entry Signal (execute if 2 or more conditions are met)
- Technical: Price stabilizes above core resistance on ≥4-hour chart, RSI exits oversold zone (BTC/ETH RSI >50)
- Capital: BTC/ETH exchange balances decrease, stablecoin (USDT) net inflow into the crypto market
- News: Positive progress in US crypto legislation negotiations, institutional funds flow back into ETFs
Short Entry Signal (execute if 2 or more conditions are met)
- Technical: Core support level is broken and not recovered, ETH head-and-shoulders pattern confirmed (break below $2,900 neckline)
- Capital: USDC continues to outflow from exchanges, futures short positions increase ≥15%
- News: Regulatory disagreements escalate, or large long positions are liquidated (single-day liquidation ≥$500 million)
V. Risk Prevention Points
1. Avoided Assets: MEME coins, low-liquidity altcoins (volume below 50% of 7-day average), DeFi sector temporarily avoid due to regulatory uncertainty
2. Time Risk Control: Gradually reduce leverage before December 31, cross-year positions ≤50% of crypto holdings
3. News Risk Control: Focus on December 28 US crypto legislation negotiations, Federal Reserve liquidity injection data, suspend opening positions on the day of sudden news