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Tərcüməyə bax
my yesterday post and current rate $SOL #BTC #CryptocurrencyWealth
my yesterday post and current rate $SOL #BTC #CryptocurrencyWealth
SWAMI09
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2:15 PM

SOL/USDT Technical Analysis (1H Chart)

Current Price: $80.62 | ₹7,304.17

📊 Indicator Reading

Bollinger Bands (20,2)

Upper Band: 81.38

Middle Band: 80.07

Lower Band: 78.75

Price is currently between MB and UB, just above the middle band — neutral to slightly bullish short-term

MACD

DIF: -0.32 | DEA: -0.56 | MACD Histogram: +0.24

Histogram is positive and growing — bullish crossover forming

DIF crossing above DEA = early bullish signal

Volume

Current Vol: 41,489 SOL

MA(5): 63,992 | MA(10): 76,596

Volume is below both MAs — no strong conviction yet; breakout needs volume confirmation

📉 Overall Trend Bias: BEARISH (Macro) / Potentially Reversing (Short-term)

The chart shows a clear downtrend from ~86.85 to 78.04 over the visible period. Price made a low at 78.04 and has since bounced. The MACD histogram turning positive suggests a short-term reversal attempt, but the macro structure is still bearish.

🟢 LONG / BUY Setup

ParameterLevelEntry Zone80.20 – 80.70 (current consolidation)ConfirmationBreak & close above 81.38 (Upper BB) with volume spikeTarget 182.18 (prior resistance)Target 283.17 (24h High)Target 384.46 (chart resistance zone)Stop LossBelow 78.75 (Lower BB) / 78.00

✅ Buy is valid only if price closes above 81.38 with strong volume exceeding MA(10) ~76K

🔴 SHORT / SELL Setup

ParameterLevelEntry Zone81.20 – 81.38 (rejection at Upper BB)ConfirmationRejection candle + bearish volume at UBTarget 180.07 (Middle BB)Target 278.75 (Lower BB)Target 378.04 (swing low retest)Stop LossAbove 82.20

🎯 Conclusion

Short-term: Neutral-to-bullish with caution. Wait for a decisive breakout above 81.38 before buying. If price fails at UB and drops below 80.07, short toward 78.75–78.04 is the higher probability trade given the macro downtrend. #solana #BTC #cryptouniverseofficial #CZAMAonBinanceSquare #bullish $BTC
Tərcüməyə bax
2:15 PM SOL/USDT Technical Analysis (1H Chart) Current Price: $80.62 | ₹7,304.17 📊 Indicator Reading Bollinger Bands (20,2) Upper Band: 81.38 Middle Band: 80.07 Lower Band: 78.75 Price is currently between MB and UB, just above the middle band — neutral to slightly bullish short-term MACD DIF: -0.32 | DEA: -0.56 | MACD Histogram: +0.24 Histogram is positive and growing — bullish crossover forming DIF crossing above DEA = early bullish signal Volume Current Vol: 41,489 SOL MA(5): 63,992 | MA(10): 76,596 Volume is below both MAs — no strong conviction yet; breakout needs volume confirmation 📉 Overall Trend Bias: BEARISH (Macro) / Potentially Reversing (Short-term) The chart shows a clear downtrend from ~86.85 to 78.04 over the visible period. Price made a low at 78.04 and has since bounced. The MACD histogram turning positive suggests a short-term reversal attempt, but the macro structure is still bearish. 🟢 LONG / BUY Setup ParameterLevelEntry Zone80.20 – 80.70 (current consolidation)ConfirmationBreak & close above 81.38 (Upper BB) with volume spikeTarget 182.18 (prior resistance)Target 283.17 (24h High)Target 384.46 (chart resistance zone)Stop LossBelow 78.75 (Lower BB) / 78.00 ✅ Buy is valid only if price closes above 81.38 with strong volume exceeding MA(10) ~76K 🔴 SHORT / SELL Setup ParameterLevelEntry Zone81.20 – 81.38 (rejection at Upper BB)ConfirmationRejection candle + bearish volume at UBTarget 180.07 (Middle BB)Target 278.75 (Lower BB)Target 378.04 (swing low retest)Stop LossAbove 82.20 🎯 Conclusion Short-term: Neutral-to-bullish with caution. Wait for a decisive breakout above 81.38 before buying. If price fails at UB and drops below 80.07, short toward 78.75–78.04 is the higher probability trade given the macro downtrend. #solana #BTC #cryptouniverseofficial #CZAMAonBinanceSquare #bullish $BTC
2:15 PM

SOL/USDT Technical Analysis (1H Chart)

Current Price: $80.62 | ₹7,304.17

📊 Indicator Reading

Bollinger Bands (20,2)

Upper Band: 81.38

Middle Band: 80.07

Lower Band: 78.75

Price is currently between MB and UB, just above the middle band — neutral to slightly bullish short-term

MACD

DIF: -0.32 | DEA: -0.56 | MACD Histogram: +0.24

Histogram is positive and growing — bullish crossover forming

DIF crossing above DEA = early bullish signal

Volume

Current Vol: 41,489 SOL

MA(5): 63,992 | MA(10): 76,596

Volume is below both MAs — no strong conviction yet; breakout needs volume confirmation

📉 Overall Trend Bias: BEARISH (Macro) / Potentially Reversing (Short-term)

The chart shows a clear downtrend from ~86.85 to 78.04 over the visible period. Price made a low at 78.04 and has since bounced. The MACD histogram turning positive suggests a short-term reversal attempt, but the macro structure is still bearish.

🟢 LONG / BUY Setup

ParameterLevelEntry Zone80.20 – 80.70 (current consolidation)ConfirmationBreak & close above 81.38 (Upper BB) with volume spikeTarget 182.18 (prior resistance)Target 283.17 (24h High)Target 384.46 (chart resistance zone)Stop LossBelow 78.75 (Lower BB) / 78.00

✅ Buy is valid only if price closes above 81.38 with strong volume exceeding MA(10) ~76K

🔴 SHORT / SELL Setup

ParameterLevelEntry Zone81.20 – 81.38 (rejection at Upper BB)ConfirmationRejection candle + bearish volume at UBTarget 180.07 (Middle BB)Target 278.75 (Lower BB)Target 378.04 (swing low retest)Stop LossAbove 82.20

🎯 Conclusion

Short-term: Neutral-to-bullish with caution. Wait for a decisive breakout above 81.38 before buying. If price fails at UB and drops below 80.07, short toward 78.75–78.04 is the higher probability trade given the macro downtrend. #solana #BTC #cryptouniverseofficial #CZAMAonBinanceSquare #bullish $BTC
Tərcüməyə bax
2:15 PM SOL/USDT Technical Analysis (1H Chart) Current Price: $80.62 | ₹7,304.17 📊 Indicator Reading Bollinger Bands (20,2) Upper Band: 81.38 Middle Band: 80.07 Lower Band: 78.75 Price is currently between MB and UB, just above the middle band — neutral to slightly bullish short-term MACD DIF: -0.32 | DEA: -0.56 | MACD Histogram: +0.24 Histogram is positive and growing — bullish crossover forming DIF crossing above DEA = early bullish signal Volume Current Vol: 41,489 SOL MA(5): 63,992 | MA(10): 76,596 Volume is below both MAs — no strong conviction yet; breakout needs volume confirmation 📉 Overall Trend Bias: BEARISH (Macro) / Potentially Reversing (Short-term) The chart shows a clear downtrend from ~86.85 to 78.04 over the visible period. Price made a low at 78.04 and has since bounced. The MACD histogram turning positive suggests a short-term reversal attempt, but the macro structure is still bearish. 🟢 LONG / BUY Setup ParameterLevelEntry Zone80.20 – 80.70 (current consolidation)ConfirmationBreak & close above 81.38 (Upper BB) with volume spikeTarget 182.18 (prior resistance)Target 283.17 (24h High)Target 384.46 (chart resistance zone)Stop LossBelow 78.75 (Lower BB) / 78.00 ✅ Buy is valid only if price closes above 81.38 with strong volume exceeding MA(10) ~76K 🔴 SHORT / SELL Setup ParameterLevelEntry Zone81.20 – 81.38 (rejection at Upper BB)ConfirmationRejection candle + bearish volume at UBTarget 180.07 (Middle BB)Target 278.75 (Lower BB)Target 378.04 (swing low retest)Stop LossAbove 82.20 🎯 Conclusion Short-term: Neutral-to-bullish with caution. Wait for a decisive breakout above 81.38 before buying. If price fails at UB and drops below 80.07, short toward 78.75–78.04 is the higher probability trade given the macro downtrend.
2:15 PM

SOL/USDT Technical Analysis (1H Chart)

Current Price: $80.62 | ₹7,304.17

📊 Indicator Reading

Bollinger Bands (20,2)

Upper Band: 81.38

Middle Band: 80.07

Lower Band: 78.75

Price is currently between MB and UB, just above the middle band — neutral to slightly bullish short-term

MACD

DIF: -0.32 | DEA: -0.56 | MACD Histogram: +0.24

Histogram is positive and growing — bullish crossover forming

DIF crossing above DEA = early bullish signal

Volume

Current Vol: 41,489 SOL

MA(5): 63,992 | MA(10): 76,596

Volume is below both MAs — no strong conviction yet; breakout needs volume confirmation

📉 Overall Trend Bias: BEARISH (Macro) / Potentially Reversing (Short-term)

The chart shows a clear downtrend from ~86.85 to 78.04 over the visible period. Price made a low at 78.04 and has since bounced. The MACD histogram turning positive suggests a short-term reversal attempt, but the macro structure is still bearish.

🟢 LONG / BUY Setup

ParameterLevelEntry Zone80.20 – 80.70 (current consolidation)ConfirmationBreak & close above 81.38 (Upper BB) with volume spikeTarget 182.18 (prior resistance)Target 283.17 (24h High)Target 384.46 (chart resistance zone)Stop LossBelow 78.75 (Lower BB) / 78.00

✅ Buy is valid only if price closes above 81.38 with strong volume exceeding MA(10) ~76K

🔴 SHORT / SELL Setup

ParameterLevelEntry Zone81.20 – 81.38 (rejection at Upper BB)ConfirmationRejection candle + bearish volume at UBTarget 180.07 (Middle BB)Target 278.75 (Lower BB)Target 378.04 (swing low retest)Stop LossAbove 82.20

🎯 Conclusion

Short-term: Neutral-to-bullish with caution. Wait for a decisive breakout above 81.38 before buying. If price fails at UB and drops below 80.07, short toward 78.75–78.04 is the higher probability trade given the macro downtrend.
Ümumi Sentiment: Qısa Müddətli Bullish Bərpa, Lakin Ehtiyatla Qarışıq / Neytral Tərəfdən Bearish Yüksək Zaman Çərçivələrində (BTCUSDT Perpetual, 8 Fevral 2026) $BTC $BTC {future}(BTCUSDT) Bitcoin təxminən $70,956–$71,000 (son qiymət ~$70,956, işarə ~$70,967) ətrafında ticarət edir, bu gün kəskin həftəlik enişdən $60k-a doğru geri dönməsindən sonra +2.6% artıb. Güclü həcmlə (~132k BTC / $9.25B USDT 24 saatda) $70k-dan yuxarıda bərpa etdi, institusional eniş alqı dəstəyi göstərir. Əsas Texniki Məlumatlar: Qiymət 24 saatlıq aşağıdan $68,478-dən bərpa olundu, indi Bollinger orta bandına yaxın (~$71,104), üst band müqaviməti $71,494 (son yüksək $71,525). MACD mənfi qalır (histogram -76), sıçrayışa baxmayaraq qısa müddətli bearish momentumu davam etdirdiyini bildirir. Geniş kontekst: Dərin düzəlişlər davam edir (-10% 7g, -22% 30g, -31% 90g), əvvəlki yüksəkdən sonra post-peak geri çəkilmə fazasını əks etdirir. Yön: Qısa müddətli bullish bərpa (rahatsızlıq sıçrayışı + yuxarıya doğru həcmi), lakin ümumilikdə ehtiyatlı/neytral. Gündəlik/4 saat ərzində moment toplanır, lakin mənfi MACD və $71.5k-da rədd etmə riski tam bir dönüş olmadığını göstərir—daha çox konsolidasiya və ya $69k–$68.5k-nın mümkün yenidən test edilməsi əgər uğursuz olarsa. Tez Qərar: Gündəlik mülayim bullish (alıcılar $70k+ müdafiə edir), $72k+ yönündə gücü təsdiq etmək üçün $71,500-dən yuxarı bağlanmağı izləyin. $70,714-dən aşağı düşsə bearish. Yüksək volatillik—sıx risk idarəçiliyi vacibdir. Bu, ekstremal satışdan sonra geri dönüş haqqında bazar hesabatları ilə uyğun gəlir, institusiyalar müdaxilə edir. Maliyyə məsləhəti deyil—DYOR.
Ümumi Sentiment: Qısa Müddətli Bullish Bərpa, Lakin Ehtiyatla Qarışıq / Neytral Tərəfdən Bearish Yüksək Zaman Çərçivələrində (BTCUSDT Perpetual, 8 Fevral 2026)
$BTC $BTC

Bitcoin təxminən $70,956–$71,000 (son qiymət ~$70,956, işarə ~$70,967) ətrafında ticarət edir, bu gün kəskin həftəlik enişdən $60k-a doğru geri dönməsindən sonra +2.6% artıb. Güclü həcmlə (~132k BTC / $9.25B USDT 24 saatda) $70k-dan yuxarıda bərpa etdi, institusional eniş alqı dəstəyi göstərir.

Əsas Texniki Məlumatlar:
Qiymət 24 saatlıq aşağıdan $68,478-dən bərpa olundu, indi Bollinger orta bandına yaxın (~$71,104), üst band müqaviməti $71,494 (son yüksək $71,525).
MACD mənfi qalır (histogram -76), sıçrayışa baxmayaraq qısa müddətli bearish momentumu davam etdirdiyini bildirir.

Geniş kontekst: Dərin düzəlişlər davam edir (-10% 7g, -22% 30g, -31% 90g), əvvəlki yüksəkdən sonra post-peak geri çəkilmə fazasını əks etdirir.

Yön: Qısa müddətli bullish bərpa (rahatsızlıq sıçrayışı + yuxarıya doğru həcmi), lakin ümumilikdə ehtiyatlı/neytral.

Gündəlik/4 saat ərzində moment toplanır, lakin mənfi MACD və $71.5k-da rədd etmə riski tam bir dönüş olmadığını göstərir—daha çox konsolidasiya və ya $69k–$68.5k-nın mümkün yenidən test edilməsi əgər uğursuz olarsa.

Tez Qərar: Gündəlik mülayim bullish (alıcılar $70k+ müdafiə edir), $72k+ yönündə gücü təsdiq etmək üçün $71,500-dən yuxarı bağlanmağı izləyin. $70,714-dən aşağı düşsə bearish. Yüksək volatillik—sıx risk idarəçiliyi vacibdir.

Bu, ekstremal satışdan sonra geri dönüş haqqında bazar hesabatları ilə uyğun gəlir, institusiyalar müdaxilə edir. Maliyyə məsləhəti deyil—DYOR.
Bitcoin (BTC/USDT Davamlı) Qrafik TəhliliBitcoin (BTC/USDT Davamlı) Qrafik Təhlili 7 Fevral 2026-cı il tarixində saat 11:33-də təqdim olunan Binance qrafik ekran görüntüsünə əsasən, burada əsas elementlərin və texniki anlayışların bölünməsi: Qiymət Hərəkəti Ümumi Baxış Cari Son Qiymət: 70,050.9 USDT, +4.98% artımı qeyd edir (yerli valyuta göstəricisinə uyğun olaraq ₹6,344,510.01). Marka Qiyməti: 70,048.4 USDT (son qiymətə yaxın, davamlı müqavilədə aşağı baza riskini göstərir). 24-Saat Metrləri: Yüksək: 71,714.4 USDT Aşağı: 64,438.9 USDT

Bitcoin (BTC/USDT Davamlı) Qrafik Təhlili

Bitcoin (BTC/USDT Davamlı) Qrafik Təhlili
7 Fevral 2026-cı il tarixində saat 11:33-də təqdim olunan Binance qrafik ekran görüntüsünə əsasən, burada əsas elementlərin və texniki anlayışların bölünməsi:
Qiymət Hərəkəti Ümumi Baxış
Cari Son Qiymət: 70,050.9 USDT, +4.98% artımı qeyd edir (yerli valyuta göstəricisinə uyğun olaraq ₹6,344,510.01).
Marka Qiyməti: 70,048.4 USDT (son qiymətə yaxın, davamlı müqavilədə aşağı baza riskini göstərir).
24-Saat Metrləri:
Yüksək: 71,714.4 USDT
Aşağı: 64,438.9 USDT
Tərcüməyə bax
Yes, the cryptocurrency market is experiencing a significant crash in early 2026. As of February 6, 2026, Bitcoin (BTC) has plunged dramatically from its all-time high of around $126,000 in October 2025. Recent reports indicate BTC trading in the low-to-mid $60,000 range (with intraday lows dipping toward $60,000–$63,000 in some updates), marking a drop of nearly 50% from that peak. This has triggered widespread liquidations and panic selling. The broader crypto market has shed approximately $2 trillion in value since the October 2025 high (from a peak market cap of around $4.3–$4.4 trillion). This includes heavy losses in major altcoins like Ethereum (ETH falling below $2,000 in places) and others. Key highlights from recent coverage: Bitcoin fell below key psychological levels like $70,000 and $66,000, with some sessions seeing 10–15% daily drops — the largest single-day declines since 2022. Analysts describe this as a "crypto winter" phase, with institutional demand reversing (e.g., U.S. Bitcoin ETFs turning into net sellers), leveraged positions unwinding (billions in liquidations), and investors rotating out of risky assets toward safer ones like gold. Contributing factors include macro uncertainty, risk-off sentiment, potential policy/economic shifts, and fading post-2025 election hype around pro-crypto expectations. Some forecasts warn of further downside, with worst-case scenarios pointing to $38,000–$40,000 (or even lower in extreme views), while others see potential stabilization or recovery later in the year if supports hold. This isn't unprecedented — crypto has seen brutal drawdowns before (e.g., 2021–2022, 2018), often followed by recoveries — but the speed and scale here have many calling it a capitulation event flushing out leverage and weak hands. sentiment ranges from warnings of deeper pain and project failures to cautious notes on potential bounces if key supports (like $58K–$60K) hold. Many advise patience, DCA (dollar-cost averaging) for long-term holders, and avoiding panic moves. #CryptoCrash #bitcoincrash
Yes, the cryptocurrency market is experiencing a significant crash in early 2026.

As of February 6, 2026, Bitcoin (BTC) has plunged dramatically from its all-time high of around $126,000 in October 2025. Recent reports indicate BTC trading in the low-to-mid $60,000 range (with intraday lows dipping toward $60,000–$63,000 in some updates), marking a drop of nearly 50% from that peak. This has triggered widespread liquidations and panic selling.

The broader crypto market has shed approximately $2 trillion in value since the October 2025 high (from a peak market cap of around $4.3–$4.4 trillion). This includes heavy losses in major altcoins like Ethereum (ETH falling below $2,000 in places) and others.
Key highlights from recent coverage:

Bitcoin fell below key psychological levels like $70,000 and $66,000, with some sessions seeing 10–15% daily drops — the largest single-day declines since 2022.

Analysts describe this as a "crypto winter" phase, with institutional demand reversing (e.g., U.S. Bitcoin ETFs turning into net sellers), leveraged positions unwinding (billions in liquidations), and investors rotating out of risky assets toward safer ones like gold.

Contributing factors include macro uncertainty, risk-off sentiment, potential policy/economic shifts, and fading post-2025 election hype around pro-crypto expectations.

Some forecasts warn of further downside, with worst-case scenarios pointing to $38,000–$40,000 (or even lower in extreme views), while others see potential stabilization or recovery later in the year if supports hold.

This isn't unprecedented — crypto has seen brutal drawdowns before (e.g., 2021–2022, 2018), often followed by recoveries — but the speed and scale here have many calling it a capitulation event flushing out leverage and weak hands.

sentiment ranges from warnings of deeper pain and project failures to cautious notes on potential bounces if key supports (like $58K–$60K) hold. Many advise patience, DCA (dollar-cost averaging) for long-term holders, and avoiding panic moves.
#CryptoCrash #bitcoincrash
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Azalma
PAXG Analizi Fevral 2026: Giriş Nöqtələri, Hədəflər və Qızılın $4,800–$5,000 Səviyyəsində Strateji
PAXG Analizi Fevral 2026: Giriş Nöqtələri, Hədəflər və Qızılın $4,800–$5,000 Səviyyəsində Strateji
SWAMI09
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PAXG Analizi Fevral 2026: Giriş Nöqtələri, Hədəflər və Qızılın $4,800–$5,000 Dalğası Arasında Strategiya
Cari Ümumi Tendensiya
Qrafik qısa müddətdə bearish tendensiyanı göstərir. Qiymət son yüksəkdən $5,082-dən $4,871-ə düşdü, bu da 24 saat ərzində -3.83% enişi əks etdirir. Əsas dəstək göstəriciləri arasında qiymətin orta Bollinger Bandının (MB $4,885-də) altında ticarət etməsi və yuxarı bandla ($4,932) nisbətdə zəiflik göstərməsi daxildir. MACD mənfidir, DIF -15.78, DEA -13.69, və MACD histogramı -2.09-dır, aşağı doğru impulsu bildirir. Həcmin aşağı olduğu görünür, bu da satış təzyiqinin azalmasını göstərə bilər, lakin ümumi struktur şam qrafikində aşağı yüksək və aşağı qiymətləri göstərir. Bundan əlavə, daha geniş məlumatlar 14 günlük RSI-nin 18.41 olduğunu göstərir, bu da dönüşü işarələyə biləcək aşırı satılmış şərtləri təklif edir.4f3499 Müqavimət $4,957 ətrafında görünür, dəstək isə $4,808 yaxınlığındadır.
PAXG Analizi Fevral 2026: Giriş Nöqtələri, Hədəflər və Qızılın $4,800–$5,000 Dalğası Arasında StrategiyaCari Ümumi Tendensiya Qrafik qısa müddətdə bearish tendensiyanı göstərir. Qiymət son yüksəkdən $5,082-dən $4,871-ə düşdü, bu da 24 saat ərzində -3.83% enişi əks etdirir. Əsas dəstək göstəriciləri arasında qiymətin orta Bollinger Bandının (MB $4,885-də) altında ticarət etməsi və yuxarı bandla ($4,932) nisbətdə zəiflik göstərməsi daxildir. MACD mənfidir, DIF -15.78, DEA -13.69, və MACD histogramı -2.09-dır, aşağı doğru impulsu bildirir. Həcmin aşağı olduğu görünür, bu da satış təzyiqinin azalmasını göstərə bilər, lakin ümumi struktur şam qrafikində aşağı yüksək və aşağı qiymətləri göstərir. Bundan əlavə, daha geniş məlumatlar 14 günlük RSI-nin 18.41 olduğunu göstərir, bu da dönüşü işarələyə biləcək aşırı satılmış şərtləri təklif edir.4f3499 Müqavimət $4,957 ətrafında görünür, dəstək isə $4,808 yaxınlığındadır.

PAXG Analizi Fevral 2026: Giriş Nöqtələri, Hədəflər və Qızılın $4,800–$5,000 Dalğası Arasında Strategiya

Cari Ümumi Tendensiya
Qrafik qısa müddətdə bearish tendensiyanı göstərir. Qiymət son yüksəkdən $5,082-dən $4,871-ə düşdü, bu da 24 saat ərzində -3.83% enişi əks etdirir. Əsas dəstək göstəriciləri arasında qiymətin orta Bollinger Bandının (MB $4,885-də) altında ticarət etməsi və yuxarı bandla ($4,932) nisbətdə zəiflik göstərməsi daxildir. MACD mənfidir, DIF -15.78, DEA -13.69, və MACD histogramı -2.09-dır, aşağı doğru impulsu bildirir. Həcmin aşağı olduğu görünür, bu da satış təzyiqinin azalmasını göstərə bilər, lakin ümumi struktur şam qrafikində aşağı yüksək və aşağı qiymətləri göstərir. Bundan əlavə, daha geniş məlumatlar 14 günlük RSI-nin 18.41 olduğunu göstərir, bu da dönüşü işarələyə biləcək aşırı satılmış şərtləri təklif edir.4f3499 Müqavimət $4,957 ətrafında görünür, dəstək isə $4,808 yaxınlığındadır.
Tərcüməyə bax
Gold's Short-Term Indecision: Key Entry/Exit Levels for Bulls and Bears on Binance PerpsThe screenshot shows a Binance futures chart for XAUUSDT Perpetual (Gold vs USDT) at approximately $4,884.75, with the price appearing stable or flat in the very short term (last price matches mark price, 0.00% change shown in the recent candle). The chart displays: Recent candles showing a pullback or consolidation after what looks like a down move (from higher levels around ~$5,065 high referenced in the 24h stats). Price hovering near the lower part of the recent range, with visible moving averages (MA7 yellow ~4,884.88, MA25 purple ~4,885.31, MA99 blue ~4,885.17) clustered tightly around current levels — this suggests short-term consolidation or indecision. Volume profile and order book show bids building below current price, with some ask pressure above. Overall 24h change is negative (-3.40% or -172 points from high), indicating bearish pressure in the broader session, but the immediate chart is range-bound/flat. Current Market Context (as of February 5, 2026) Gold (XAU/USD spot equivalent) is trading in the $4,850–$4,920 range today after sharp volatility — a big drop from recent all-time highs near $5,600+ in January 2026, followed by partial recovery attempts (some sources note brief reclaim of $5,000 yesterday). The current futures price at ~$4,885 aligns with this corrective/consolidative phase amid macro factors (e.g., Fed policy caution, dollar moves, and profit-taking after the massive 2025–early 2026 rally). Bullish Signals (Potential Buy/Long Setup) Support cluster around $4,880–$4,885 (current price zone + tight MAs + order book bids) — holding here could signal exhaustion of sellers. If price holds above ~$4,885 and breaks back above the recent small highs (~$4,890–$4,895), look for bullish momentum toward $4,920–$4,950 (near-term resistance / potential previous support flip). Entry point (bullish): Buy/Long on a confirmed hold or bounce from $4,880–$4,885, or breakout above $4,890 with volume. Targets: First $4,920–$4,950, then higher to $5,000+ if recovery strengthens (some analysts eye $5,100–$5,115 in bullish Wolfe wave or channel scenarios). Bullish invalidation: Clear break below $4,880 (especially with volume) shifts to bear control. Bearish Signals (Potential Sell/Short Setup) Broader context remains corrective after overextended rally — path of least resistance still lower in many technical views (e.g., rising wedge patterns or post-breakdown pullbacks noted in recent analyses). Price rejected higher levels recently, with 24h high at $5,065 not reclaimed. Entry point (bearish): Sell/Short on failure to hold $4,885 or rejection at $4,890–$4,895 (e.g., bearish candle close below current level). Targets: Downside to $4,850–$4,820 (near supports), then deeper to $4,790–$4,750 or lower if momentum builds (some short-term targets near $4,842 or $4,783 mentioned in hourly setups). Bearish invalidation: Strong close above $4,900–$4,920 flips to bullish. Suggested Exit/Trade Management For longs: Exit partial profits at $4,920+ resistance; trail stop below recent swing low (~$4,880 or lower on confirmation). Full exit on break below entry zone. For shorts: Exit partial at $4,850 support; trail stop above recent swing high (~$4,895). Full exit on break above $4,900+. Use tight stops (e.g., 10–20 points beyond key levels) given high volatility in gold perps — funding rate is near 0%, so no strong bias from that. Risk: This is high-volatility chop right now (consolidation after big drop). Avoid over-leveraging; wait for clear breakout/confirmation candle on your timeframe (e.g., 15m/1h close). Overall bias today leans slightly bearish/neutral (short-term consolidation with downside risk), but a hold here could spark a relief bounce. Monitor for volume spikes or news catalysts (e.g., USD strength or macro data). This is not financial advice — always use your own risk management. #XAUUSD #gold #Forex #Trading #XAUUSDT

Gold's Short-Term Indecision: Key Entry/Exit Levels for Bulls and Bears on Binance Perps

The screenshot shows a Binance futures chart for XAUUSDT Perpetual (Gold vs USDT) at approximately $4,884.75, with the price appearing stable or flat in the very short term (last price matches mark price, 0.00% change shown in the recent candle). The chart displays:

Recent candles showing a pullback or consolidation after what looks like a down move (from higher levels around ~$5,065 high referenced in the 24h stats).

Price hovering near the lower part of the recent range, with visible moving averages (MA7 yellow ~4,884.88, MA25 purple ~4,885.31, MA99 blue ~4,885.17) clustered tightly around current levels — this suggests short-term consolidation or indecision.

Volume profile and order book show bids building below current price, with some ask pressure above.

Overall 24h change is negative (-3.40% or -172 points from high), indicating bearish pressure in the broader session, but the immediate chart is range-bound/flat.

Current Market Context (as of February 5, 2026)

Gold (XAU/USD spot equivalent) is trading in the $4,850–$4,920 range today after sharp volatility — a big drop from recent all-time highs near $5,600+ in January 2026, followed by partial recovery attempts (some sources note brief reclaim of $5,000 yesterday). The current futures price at ~$4,885 aligns with this corrective/consolidative phase amid macro factors (e.g., Fed policy caution, dollar moves, and profit-taking after the massive 2025–early 2026 rally).

Bullish Signals (Potential Buy/Long Setup)

Support cluster around $4,880–$4,885 (current price zone + tight MAs + order book bids) — holding here could signal exhaustion of sellers.
If price holds above ~$4,885 and breaks back above the recent small highs (~$4,890–$4,895), look for bullish momentum toward $4,920–$4,950 (near-term resistance / potential previous support flip).
Entry point (bullish): Buy/Long on a confirmed hold or bounce from $4,880–$4,885, or breakout above $4,890 with volume.
Targets: First $4,920–$4,950, then higher to $5,000+ if recovery strengthens (some analysts eye $5,100–$5,115 in bullish Wolfe wave or channel scenarios).
Bullish invalidation: Clear break below $4,880 (especially with volume) shifts to bear control.

Bearish Signals (Potential Sell/Short Setup)

Broader context remains corrective after overextended rally — path of least resistance still lower in many technical views (e.g., rising wedge patterns or post-breakdown pullbacks noted in recent analyses).
Price rejected higher levels recently, with 24h high at $5,065 not reclaimed.
Entry point (bearish): Sell/Short on failure to hold $4,885 or rejection at $4,890–$4,895 (e.g., bearish candle close below current level).
Targets: Downside to $4,850–$4,820 (near supports), then deeper to $4,790–$4,750 or lower if momentum builds (some short-term targets near $4,842 or $4,783 mentioned in hourly setups).
Bearish invalidation: Strong close above $4,900–$4,920 flips to bullish.

Suggested Exit/Trade Management

For longs: Exit partial profits at $4,920+ resistance; trail stop below recent swing low (~$4,880 or lower on confirmation). Full exit on break below entry zone.
For shorts: Exit partial at $4,850 support; trail stop above recent swing high (~$4,895). Full exit on break above $4,900+.
Use tight stops (e.g., 10–20 points beyond key levels) given high volatility in gold perps — funding rate is near 0%, so no strong bias from that.
Risk: This is high-volatility chop right now (consolidation after big drop). Avoid over-leveraging; wait for clear breakout/confirmation candle on your timeframe (e.g., 15m/1h close).

Overall bias today leans slightly bearish/neutral (short-term consolidation with downside risk), but a hold here could spark a relief bounce. Monitor for volume spikes or news catalysts (e.g., USD strength or macro data). This is not financial advice — always use your own risk management. #XAUUSD #gold #Forex #Trading #XAUUSDT
Tərcüməyə bax
be carefull always in PAXG future trades
be carefull always in PAXG future trades
SWAMI09
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"PAXG Just Broke – Here’s the High-Probability Short I’m Taking Right Now"
The chart shows PAXGUSDT (tokenized gold) in a clear downtrend on the daily/4H timeframe: price broke below the MA7 (~4,876) and MA25 (~4,965), with the last candles forming lower highs/lows after rejecting near 4,900–5,000.
Short/Sell strategy (higher probability right now):
Enter short below 4,880 (current level or on retest of broken support as resistance) → target 4,807–4,850 zone (recent low + visible demand area) → stop-loss above 4,900 (to invalidate if bulls reclaim MA crossover).
Long/Buy strategy (counter-trend, lower probability until reversal):
Enter long only on strong rejection + close above 4,900–4,910 (regain MA7/25) with volume spike → target 4,950–5,000 (previous structure) → stop-loss below 4,880 (tight risk to avoid continuation lower).
Overall bias leans bearish short-term due to momentum and -4.14% daily move; watch gold spot for confirmation. Trade small, use proper risk (1–2%).
#CryptoTrading #XAU #PAXG #Gold #PAXGUSDT
{future}(PAXGUSDT)
Tərcüməyə bax
"PAXG Just Broke – Here’s the High-Probability Short I’m Taking Right Now"The chart shows PAXGUSDT (tokenized gold) in a clear downtrend on the daily/4H timeframe: price broke below the MA7 (~4,876) and MA25 (~4,965), with the last candles forming lower highs/lows after rejecting near 4,900–5,000. Short/Sell strategy (higher probability right now): Enter short below 4,880 (current level or on retest of broken support as resistance) → target 4,807–4,850 zone (recent low + visible demand area) → stop-loss above 4,900 (to invalidate if bulls reclaim MA crossover). Long/Buy strategy (counter-trend, lower probability until reversal): Enter long only on strong rejection + close above 4,900–4,910 (regain MA7/25) with volume spike → target 4,950–5,000 (previous structure) → stop-loss below 4,880 (tight risk to avoid continuation lower). Overall bias leans bearish short-term due to momentum and -4.14% daily move; watch gold spot for confirmation. Trade small, use proper risk (1–2%). #CryptoTrading #XAU #PAXG #Gold #PAXGUSDT {future}(PAXGUSDT)

"PAXG Just Broke – Here’s the High-Probability Short I’m Taking Right Now"

The chart shows PAXGUSDT (tokenized gold) in a clear downtrend on the daily/4H timeframe: price broke below the MA7 (~4,876) and MA25 (~4,965), with the last candles forming lower highs/lows after rejecting near 4,900–5,000.
Short/Sell strategy (higher probability right now):
Enter short below 4,880 (current level or on retest of broken support as resistance) → target 4,807–4,850 zone (recent low + visible demand area) → stop-loss above 4,900 (to invalidate if bulls reclaim MA crossover).
Long/Buy strategy (counter-trend, lower probability until reversal):
Enter long only on strong rejection + close above 4,900–4,910 (regain MA7/25) with volume spike → target 4,950–5,000 (previous structure) → stop-loss below 4,880 (tight risk to avoid continuation lower).
Overall bias leans bearish short-term due to momentum and -4.14% daily move; watch gold spot for confirmation. Trade small, use proper risk (1–2%).
#CryptoTrading #XAU #PAXG #Gold #PAXGUSDT
$BTC #PAXGUSDT Başqa bir uğurla tamamlanmış PAXG Ticarəti
$BTC #PAXGUSDT Başqa bir uğurla tamamlanmış PAXG Ticarəti
B
PAXGUSDT
Bağlıdır
PnL
+1,26USDT
Tərcüməyə bax
just closed my ptofit trade for the day....
just closed my ptofit trade for the day....
B
PAXGUSDT
Bağlıdır
PnL
+1,41USDT
Tərcüməyə bax
PAXGUSDT Perpetual (as of February 4, 2026), based on the chart and current market data. Gold (and thus PAXG) has rallied strongly, with spot PAXG hovering around $5,050–$5,100 (Binance perp closely tracking at ~5,017–5,100 recently, up ~3–5% in 24h sessions amid volatility). Current Price / Momentum — ~5,100 (last ~5,103 in your screenshot) — strong bullish breakout, trading near/above upper Bollinger Band (~5,109), +5%+ recent session, gold spot pushing $5,000+ levels. Key Supports — Middle BB ~4,988 | Lower BB ~4,866 | Recent low ~4,840–4,768 — pullback to 4,950–5,000 zone ideal for longs if holds. Key Resistances — Immediate ~5,109–5,132 (upper BB/extension) | Next ~5,200–5,300 — ATH vicinity ~5,600–5,637 from late Jan 2026. Indicators Snapshot — MACD bullish (positive histogram ~9+), MA5/MA10 below price (uptrend intact), volume rising on greens — favors continuation higher short-term. Long Entry/Exit Quick — Buy dips to 4,988–5,018 (middle BB/MA zone) with SL below 4,866 | TP partial at 5,150–5,200, trail rest using middle BB or +8–12%. Short/Caution — Only on clear rejection at 5,109+ with bearish MACD divergence | SL above 5,132 | Targets 4,988–4,866 — but trend strongly bullish (gold up ~75–77% YoY), avoid aggressive shorts. Trade with tight risk (1–2% per trade), watch funding rate (~0.005% positive), and gold macro news. Not financial advice — DYOR, markets volatile! #TrumpEndsShutdown #PAXGUSDT #GOLD #BTC #TrumpProCrypto
PAXGUSDT Perpetual (as of February 4, 2026), based on the chart and current market data. Gold (and thus PAXG) has rallied strongly, with spot PAXG hovering around $5,050–$5,100 (Binance perp closely tracking at ~5,017–5,100 recently, up ~3–5% in 24h sessions amid volatility).

Current Price / Momentum — ~5,100 (last ~5,103 in your screenshot) — strong bullish breakout, trading near/above upper Bollinger Band (~5,109), +5%+ recent session, gold spot pushing $5,000+ levels.
Key Supports — Middle BB ~4,988 | Lower BB ~4,866 | Recent low ~4,840–4,768 — pullback to 4,950–5,000 zone ideal for longs if holds.

Key Resistances — Immediate ~5,109–5,132 (upper BB/extension) | Next ~5,200–5,300 — ATH vicinity ~5,600–5,637 from late Jan 2026.

Indicators Snapshot — MACD bullish (positive histogram ~9+), MA5/MA10 below price (uptrend intact), volume rising on greens — favors continuation higher short-term.

Long Entry/Exit Quick — Buy dips to 4,988–5,018 (middle BB/MA zone) with SL below 4,866 | TP partial at 5,150–5,200, trail rest using middle BB or +8–12%.
Short/Caution — Only on clear rejection at 5,109+ with bearish MACD divergence | SL above 5,132 | Targets 4,988–4,866 — but trend strongly bullish (gold up ~75–77% YoY), avoid aggressive shorts.

Trade with tight risk (1–2% per trade), watch funding rate (~0.005% positive), and gold macro news. Not financial advice — DYOR, markets volatile! #TrumpEndsShutdown #PAXGUSDT #GOLD #BTC #TrumpProCrypto
·
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Azalma
B
PAXGUSDT
Bağlıdır
PnL
+15,18USDT
Tərcüməyə bax
SWAMI09
·
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Binance-da PAXGUSDT Perpetual üçün paylaşdığınız qrafik qısa müddətdə güclü aşağı istiqamət göstərir.
Binance-da PAXGUSDT Perpetual üçün paylaşdığınız qrafik qısa müddətdə güclü aşağı istiqamət göstərir. Qiymət təxminən 4,664.69 USDT-dir, -4.37% azalıb (qrafikdə son zamanlar əsasən qırmızı olan və kəskin düşüş nümayiş etdirən şamlar var). Bu, PAX Gold (PAXG, fiziki qızıl qiymətlərini izləyən tokenizə edilmiş qızıl aktiv) ilə bağlı daha geniş bazar məlumatları ilə uyğundur, çünki o, son zamanlardakı yüksək qiymətlərdən (2026-cı ilin yanvar ayının sonlarında təxminən 5,500–5,600+ ətrafında) əhəmiyyətli dərəcədə geri çəkilib, qızıl qiymətlərində kəskin düzəliş baş verdiyi müddətdə.
Qrafikdən əsas müşahidələr:
Tərcüməyə bax
check full article https://app.binance.com/uni-qr/cpos/35907428775026?r=DBPRQH7A&l=en&uco=0mXCm6eVzLYMFbh_bz7TKg&uc=app_square_share_link&us=copylink
check full article https://app.binance.com/uni-qr/cpos/35907428775026?r=DBPRQH7A&l=en&uco=0mXCm6eVzLYMFbh_bz7TKg&uc=app_square_share_link&us=copylink
SWAMI09
·
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Binance-da PAXGUSDT Perpetual üçün paylaşdığınız qrafik qısa müddətdə güclü aşağı istiqamət göstərir.
Binance-da PAXGUSDT Perpetual üçün paylaşdığınız qrafik qısa müddətdə güclü aşağı istiqamət göstərir. Qiymət təxminən 4,664.69 USDT-dir, -4.37% azalıb (qrafikdə son zamanlar əsasən qırmızı olan və kəskin düşüş nümayiş etdirən şamlar var). Bu, PAX Gold (PAXG, fiziki qızıl qiymətlərini izləyən tokenizə edilmiş qızıl aktiv) ilə bağlı daha geniş bazar məlumatları ilə uyğundur, çünki o, son zamanlardakı yüksək qiymətlərdən (2026-cı ilin yanvar ayının sonlarında təxminən 5,500–5,600+ ətrafında) əhəmiyyətli dərəcədə geri çəkilib, qızıl qiymətlərində kəskin düzəliş baş verdiyi müddətdə.
Qrafikdən əsas müşahidələr:
Tərcüməyə bax
check full article https://app.binance.com/uni-qr/cart/35907139389890?r=DBPRQH7A&l=en&uco=0mXCm6eVzLYMFbh_bz7TKg&uc=app_square_share_link&us=copylink
check full article
https://app.binance.com/uni-qr/cart/35907139389890?r=DBPRQH7A&l=en&uco=0mXCm6eVzLYMFbh_bz7TKg&uc=app_square_share_link&us=copylink
SWAMI09
·
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"Sadəcə PAXG uzunumu mənfəətlə bağladım! Gözəl sıçrayış tutdum 🔥 Şəbəkə ilə bir neçə gəlirimi paylaşırım 💰" #WhenWillBTCRebound #PAXG #PreciousMetalsTurbulence #PAXGUSDT #Binance
Tərcüməyə bax
follow and share to your family and friends
follow and share to your family and friends
SWAMI09
·
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"Sadəcə PAXG uzunumu mənfəətlə bağladım! Gözəl sıçrayış tutdum 🔥 Şəbəkə ilə bir neçə gəlirimi paylaşırım 💰" #WhenWillBTCRebound #PAXG #PreciousMetalsTurbulence #PAXGUSDT #Binance
B
PAXGUSDT
Bağlıdır
PnL
+15,06USDT
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