#比特币流动性 Ethereum options delivery window is here, and this recent market rhythm is quite interesting.



After a sharp rise earlier, it clearly encountered resistance, which actually aligns with historical patterns—option expiration days usually follow a pattern of falling first, then rising, then falling again. Currently, it’s still on the expected trajectory. From a technical perspective, short-term short positions offer good value, and the opportunity window is right in front of us.

If you are tracking contract movements, this is a key time to pay attention. The recent intraday market changes are rapid, and seizing the rebound short opportunities is much more reliable than blindly chasing longs. Ethereum’s volatility has been particularly noticeable recently, and with proper risk management, you can benefit from this wave of gains.
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GasFeeBeggarvip
· 2025-12-29 02:49
Here comes the options settlement drama again, I’m familiar with this routine The short side has a pretty good cost-performance ratio, it all depends on who can hold on until the end Ethereum’s recent volatility is definitely a good opportunity to profit Proper risk management is the key, don’t get carried away The settlement window is indeed prone to sharp rises and falls, very exciting
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LayerZeroHerovip
· 2025-12-28 23:32
This wave of market movement is indeed interesting, but I think shorting also requires precise timing; getting caught by a rebound would be uncomfortable. I understand the tactics of options expiration, but are the shorting opportunities really that obvious? It feels like the risks are not small either. A sudden surge encountering resistance is normal, but the key is whether the next move is a continued decline or a trap to induce short positions. Contracts are essentially about betting on probabilities; setting proper stop-losses is more important than anything else, as losses can happen very quickly. Ethereum's volatility is so high that I think it's safer to wait until the signals are clearer before taking action—there's no need to rush.
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CodeAuditQueenvip
· 2025-12-26 04:09
Getting tired of hearing this set of language about the delivery window... To be blunt, historical patterns are worthless in the face of smart contract vulnerabilities. Risk management at the contract level is the key; it's not just about "doing good risk management."
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WhaleWatchervip
· 2025-12-26 04:06
The script for the delivery day is about to repeat itself again. The short opportunity is indeed tempting, but I'm just worried about getting caught in a reverse squeeze.
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SybilSlayervip
· 2025-12-26 03:59
Short-selling opportunities are indeed right in front of you, but don't fall for the tricks.
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MEVictimvip
· 2025-12-26 03:56
Sudden pullback under pressure, I'm tired of this routine. Let's wait for a rebound to talk about it.
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ShitcoinArbitrageurvip
· 2025-12-26 03:51
Here we go again with this set of arguments. Every delivery window, you act like it's the real deal. So, what's the result? I just want to ask, was your "script track" also this accurate last time?
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