1H structure shows a clear rejection from the $2,706 to $2,718 resistance and supply zone. Price is now testing the upper part of this zone after a short recovery, making this area important for a bearish continuation setup.
The recent upside move lacks a confirmed breakout above resistance, while the broader structure remains range bound with sellers defending the upper liquidity area. A rejection here can push price back toward the lower support and liquidity zone.
EP: $2,698 to $2,706
TP1: $2,685 TP2: $2,665 TP3: $2,645
SL: $2,720
Momentum is weakening near resistance, with the $2,706 to $2,718 area acting as the key supply zone.
A sustained rejection below $2,706 keeps the short term structure bearish and opens room toward $2,685, followed by $2,665 and the major support near $2,645.
The setup is invalidated if ETH breaks and holds above $2,720, as that would indicate the resistance zone has been reclaimed.
Current trend strength: BNB remains below the recent $807.49 swing high and is consolidating under the $790 resistance zone. The recovery has lost momentum, while repeated rejection near the upper range keeps the short term structure vulnerable to downside continuation.
Momentum and structure bias: The 4H structure favors bearish continuation while price remains below $790. The $768 to $760 area is the first downside liquidity zone, and a clean break below it can open the path toward $744.
Why price is likely to move toward the targets: Sellers have repeatedly defended the upper range, while the current price is trading close to the lower side of the consolidation. A confirmed break below $768 would strengthen the downside setup and expose $744 followed by $721. A 4H close above $794 invalidates the short structure.
The 1H structure is strongly bullish, with a sharp breakout from the $0.0450 to $0.0530 accumulation zone followed by higher highs and higher lows.
Momentum remains positive after the breakout, while the current pullback is testing the former breakout area around $0.0610 to $0.0620. Holding this zone keeps the bullish structure intact.
Liquidity sits above the recent $0.06965 high. A clean break and 1H close above that level would open the path toward $0.0750, while losing $0.0580 would weaken the continuation setup.
Risk should remain controlled because the recent move has been fast and a deeper retracement is possible.
Trend strength: The short term structure is bearish, with price forming lower highs after rejection around $776.60 to $777.00. The recent move back toward $773.50 shows sellers are still active.
Momentum and structure bias: Momentum remains tilted to the downside while BNB stays below $774.53 and especially $776.62. The order book shown also has heavier ask liquidity, supporting near term selling pressure.
Why price can reach the targets: A clean break below $772.40 would expose $770.35, followed by the 24H low near $768.60. The bearish setup becomes invalid if price reclaims $776.80 with sustained 15M strength.
Risk should remain controlled, and the setup should be reassessed if market structure changes.
4H strukturu bullish olaraq qalır: ZEC aşağı aralıqdan güclü şəkildə bərpa olur və daha yüksək minimumlar ardıcıllığını qoruyur. Yüksələn trend xətti mövcud strukturu dəstəkləməyə davam edir, $780-dən $790-a isə əsas tələbat zonasıdır.
$810-a doğru kəskin genişlənmədən sonra impuls müsbətdir, amma qiymət indi konsolidasiya edir; bu da alıcılara hərəkəti qovalamadan qırılma (breakout) zonasını müdafiə etmək imkanı verir.
Likvidlik $810-dan yuxarıda cəmlənib. $810-dan yuxarı təmiz 4H qırılması və orada qalmaq $825 və $840-a doğru yolu aça bilər. $770 qorunduqca bullish ssenari etibarlı qalır.
The daily structure is bullish, with BTC breaking above the previous $80,000 area and holding near $84,000 after the breakout. Trend strength remains positive as price continues to form higher highs and higher lows.
Momentum favors continuation while $80,000 remains protected. The breakout volume and strong displacement from the $76,000 to $80,000 zone show clear buyer participation.
Liquidity above $87,000 is the next important target. A clean break through that area can expose $90,000 and then the larger $95,000 resistance zone.
If BTC loses $79,200 on a daily closing basis, this bullish setup is invalidated.
🔥 $ENA — Likvidasiya təzyiqini diqqətlə izləyirəm və bu uzun flush bizə qısa müddətli mühüm reaksiya zonası verə bilər.
$ENA hazırda $0.209 civarındadır və təxminən $98.5K həcmində long mövqelər likvidasiya olunub. Bu, cari qiymət səviyyəsi üçün əhəmiyyətli likvidasiya təzyiqidir.
📊 Bazar Analizi
Ağır long likvidasiyası onu göstərir ki, ENA aşağı hərəkət etdikcə yüksək leverageli alıcılar bazardan çıxarılıb. İndi əsas sual budur: satıcılar təzyiqi davam etdirəcək, yoxsa alıcılar likvidasiya zonasından istifadə edərək mövqelərini yenidən qura biləcəklər.
Dərhal dəstək zonası təxminən $0.205–$0.209 arasındadır. Əgər bu zona qorunarsa və alıcılıq həcmi geri dönməyə başlayarsa, ENA bərpa cəhdi göstərə bilər.
Təsdiq üçün, qiymətin təxminən $0.215–$0.218 səviyyəsini yenidən ələ almasını görmək istəyirəm. Bu zonadan yuxarıda momentum növbəti müqavimət səviyyələrinə doğru, $0.225 və $0.235 civarına itələyə bilər.
$0.200-dən aşağı qəti fasilə (breakdown) bullish ssenarini etibarsız edər və aşağı riskini artırar.
🎯 TİCARƏT QURULUŞU — LONG
Giriş nöqtəsi (EP): $0.205–$0.210
TP1: $0.218 TP2: $0.228 TP3: $0.240
SL: $0.198
⚠️ Risk İpucu: ENA sürətlə hərəkət edə bilər, ona görə mövqe ölçüsünü adətənkiindən kiçik saxlayın və TP1-dən sonra SL-ni girişə doğru köçürməyi düşünün.
Mən $0.205–$0.210 zonasını yaxından izləyirəm. Əgər alıcılar daxil olub hərəkətin həcmlə təsdiqlənməsini təmin etsələr, bu likvidasiya flush-i bərpa quraşdırmasına (recovery setup) çevrilə bilər.
Maliyyə məsləhəti deyil. Həmişə öz araşdırmanızı edin.
🔥 $BTC — I've been watching the leverage around Bitcoin, and this liquidation is a reminder that the next support reaction could be very important.
$BTC is currently around $85,660.80, with approximately $60.2K in long positions liquidated.
📊 Market Analysis
The liquidation of long positions shows that leveraged buyers were forced out as price moved against them. That kind of flush can temporarily remove weak positions from the market, but BTC still needs confirmation before any aggressive entry.
The immediate support zone I'm watching is around $85,300–$85,700. If Bitcoin holds this region and buying volume starts increasing, a rebound toward the $86K–$87K area becomes possible.
The first resistance is around $86,500, with another important area near $87,200–$87,500. A strong breakout through resistance would provide better confirmation for the long setup.
🎯 TRADE SETUP — LONG
Entry Point (EP): $85,400–$85,800
TP1: $86,500 TP2: $87,200 TP3: $88,000
SL: $84,700
⚠️ Risk Tip: Keep leverage low and position size disciplined. After TP1, consider moving SL toward entry if momentum remains strong.
I'm not interested in chasing BTC after a large candle — I want to see buyers defend the support zone and confirm the reaction.
Not financial advice. Always do your own research.
🔥 $ETH — I've been watching the leverage buildup closely, and this liquidation flush is exactly the kind of move that can create a new trading opportunity.
$ETH is currently around $2,733.08, with approximately $166K in long positions liquidated. That tells me leveraged buyers have already taken a hit, so the next reaction from this area is important.
📊 Market Analysis
The long liquidation indicates strong short-term selling pressure, but liquidation itself does not automatically mean the trend must continue lower. I want to see whether ETH can hold the nearby support zone and attract fresh spot buying.
The first support area is around $2,700–$2,730. If buyers defend this region and volume begins increasing, ETH could attempt a recovery toward the next resistance zones.
Initial resistance sits around $2,800, followed by the $2,850–$2,900 area. A sustained move through those levels would improve the bullish setup.
🎯 TRADE SETUP — LONG
Entry Point (EP): $2,710–$2,750
TP1: $2,800 TP2: $2,860 TP3: $2,950
SL: $2,650
⚠️ Risk Tip: Don't chase a breakout candle. If TP1 hits, protect the position by reducing risk or moving SL closer to entry.
The key for me is simple: if ETH holds the liquidation zone and buyers return with volume, the recovery setup becomes much more attractive.
Not financial advice. Always do your own research.
🔥 $CL — I've been watching this move closely, and the fresh long liquidations are giving me a setup worth paying attention to.
$CL is currently around $90.59, where approximately $251K in long positions were liquidated. That is a significant flush of leveraged buyers and can create an important short-term reaction zone.
📊 Market Analysis
The liquidation event suggests aggressive longs were caught on the wrong side of the move. After a flush like this, I want to see whether price can stabilize around $90.50–$90.60 and start building buying volume.
For the bullish setup, the first important resistance area is around $91.20–$91.50. A clean break above that zone with stronger volume would indicate that buyers are regaining control.
On the downside, $90.00 is the key psychological support. Losing that level with strong momentum would weaken the bullish setup and could trigger another round of liquidations.
🎯 TRADE SETUP — LONG
Entry Point (EP): $90.35–$90.75
TP1: $91.30 TP2: $92.00 TP3: $93.00
SL: $89.70
⚠️ Risk Tip: Keep position size controlled, and after TP1 is reached, consider moving your SL toward entry to protect the trade.
I'm watching the reaction around $90.00–$90.60 closely — if buyers defend this zone, the recovery can become interesting.
Not financial advice. Always do your own research.
Mən son $UNI hərəkətini yaxından izləyirəm və likvidasiya məlumatları mənə bunu deyir ki, leverec çox aqressiv şəkildə bazardan “yuyulub”.
💰 Cari qiymət: təxminən $9.04
Burada vacib siqnal $9.04–$8.75 zonasıdır. Təxminən $8.7488 ətrafında $9K-dan çox uzun (long) mövqelər likvidasiya olunub və bu, satıcıların leveraged long-ları bazardan çıxartmağa nail olduğunu göstərir. Eyni zamanda UNI son yüksəliş zamanı yüksək həcmdə ticarət edir, ona görə də mən qırılmanı kor-koranə təqib etmək istəmirəm.
📊 BAZAR ANALİZİ
Böyük bir yüksəlişdən sonra struktur olaraq hələ də güclüdir, amma son long-likvidasiya qısamüddətli volatilliyin yüksək olduğunu göstərir. $8.70–$8.80 aralığı mühüm dəstək/sınaq (support/retest) zonası olur.
Əgər alıcılar bu zonanı müdafiə edib qiymət daha yüksək minimumlar (higher lows) formalaşdırmağa başlayarsa, impuls yenidən yuxarıya doğru dəyişə bilər. İlk əsas müqavimət sahəsi $9.20–$9.30 ətrafındadır, ardınca isə psixoloji $9.50 səviyyəsi.
Burada həcm təsdiqi vacibdir. Zəif bir rebound zamanı girməkdənsə, bərpa zamanı alıcıların geri qayıtdığını görmək istəyirəm.
⚠️ Risk tövsiyəsi: Mövqe ölçüsünü nəzarətdə saxlayın və TP1-ə çatandan sonra SL-i girişə yaxınlaşdırmağı düşünün.
Likvidasiya “flush”ı izləmək üçün daha təmiz bir sahə yaradıb. Dəstək zonası saxlanarsa və həcm geri qayıdarsa, mən təsadüfi şamları qovmaqdansa, davamlılığı gözləyəcəyəm.
Maliyyə məsləhəti deyil. Həmişə öz araşdırmanızı edin.
I've been watching $GRASS closely because the latest move has the kind of momentum that can create both opportunity and dangerous late entries.
💰 Current Price: ~$0.424
The liquidation data shows approximately $9.79K in long positions liquidated around $0.45617. That matters because recently pushed sharply higher before experiencing a leverage flush. Current market data also shows GRASS up strongly over the recent period, with elevated trading activity and the price near the upper end of its recent range.
📊 MARKET ANALYSIS
The broader short-term structure is bullish, but the key question now is whether buyers can defend the pullback.
The $0.400–$0.415 area is the first support zone I would watch. If buyers step in there and volume increases, can attempt another move toward $0.45 and then higher resistance.
However, chasing after a strong vertical move is risky. I prefer a controlled entry on a retest rather than buying directly into resistance.
🟢 TRADE DIRECTION: LONG
📍 Entry Point (EP): $0.405 – $0.425
🎯 Take Profit: TP1: $0.450 TP2: $0.480 TP3: $0.520
🛑 Stop Loss (SL): $0.385
⚠️ Risk Tip: After TP1, consider taking partial profit and moving SL closer to entry to protect capital.
The key for me is simple: support must hold, volume must confirm the bounce, and buyers need to reclaim the recent high area. If those conditions appear, remains interesting for continuation.
Not financial advice. Always do your own research.
I've been watching the $KERNEL liquidation side closely, and this is the kind of setup where the direction of the liquidation matters just as much as the size.
💰 Current Reference Price: ~$0.06537 (Reference based on the liquidation price supplied in your feed.)
The latest data shows approximately $1.00K in short positions liquidated around $0.06537. Unlike a long liquidation, a short liquidation means sellers were forced out as price moved upward through their positions.
📊 MARKET ANALYSIS
That gives us an important clue: buyers were strong enough around the liquidation zone to pressure leveraged shorts.
The $0.064–$0.065 area becomes an important support region. If stays above that zone and volume remains healthy, another upside push becomes possible.
The first resistance area is around $0.068–$0.070. A clean breakout above that region could bring additional momentum and potentially trigger more short covering.
I would not chase a sudden candle. The better setup is a controlled retest followed by confirmation from buyers.
🟢 TRADE DIRECTION: LONG
📍 Entry Point (EP): $0.0655 – $0.0670
🎯 Take Profit: TP1: $0.0690 TP2: $0.0720 TP3: $0.0760
🛑 Stop Loss (SL): $0.0625
⚠️ Risk Tip: Keep leverage low and consider moving SL to entry once TP1 is reached, especially because small-cap tokens can move extremely quickly.
The short liquidation gives us an interesting momentum clue, but confirmation is everything. If holds support and breaks resistance with volume, I'll be watching the upside continuation closely.
Not financial advice. Always do your own research.
Bir fasilədən sonra rəsmi şəkildə Binance-ə geri dönürəm. 💪📈
Təzə başlanğıc, daha iti düşüncə tərzi və öyrənməyə, nizam-intizama və ağıllı ticarətə daha güclü fokus. Bu dəfə məqsəd bazanı təqib etmək deyil—onu anlamaq, riski idarə etmək və ardıcıl qalmaqdır.