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Tomorrow's Federal Reserve FOMC meeting will release policy signals for 2026. If rate cut expectations are disappointed, it may trigger a sell-off in the long position logic.
Short Position Risks
✅ Breaking above 93,000 opens up upside potential, with targets at $94,500-$96,200.
⚠️ $93,958 is a key daily resistance level. Failure to hold above it may lead to a pullback.
✅ Institutional funds continue to flow in (e.g., yesterday's BTC ETF net inflow of $58.5 million).
⚠️ Funding rates have turned negative, and market sentiment remains fragile.
✅ Leverage liquidations are intensifying (about $1.5 billion today). Breaking previous highs will trigger more short covering.
⚠️ Options market sentiment is bearish, and selling pressure from long-term holders is emerging.