ETH in a sticky market

Currently ETH implied volatility vs realized volatility is showing a discount, barely. We are in a sticky market because options traders are long volatility and buy and sell the edges to adjust their deltas. If Im bullish ETH, I would be waiting for three things, 1. a move down to the lower end of the expected move range, 2. a volatility premium and 3. above average volume. I have added a note with market conditions as well as volatility ratio and premium/discount.
Multiple Time Frame AnalysisVolatilityVolume

Aviso legal