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BTC/USDT Market Structure UpdateBTC/USDT Market Structure Update After printing ATH around 126K, BTC is now in a corrective phase on higher timeframes. Weekly and Monthly structures show clear distribution followed by strong breakdown. This means the current movement around 69K is more likely a technical rebound rather than a confirmed trend reversal. 🔎 Higher Timeframe View (1W / 1M) Trend bias remains bearish. Supertrend is still red. Major supply zone sits around 85K–92K. Strong historical demand remains at 58K–62K. 🔎 Mid Timeframe (1D / 3D) Daily structure shows a sharp drop to 60K followed by relief bounce to 69K. However, price is still forming a lower high below 72K. Until daily closes above 72K, the broader correction remains valid. 🔎 Short Term (4H) 4H momentum turned green, indicating short-term recovery. Immediate resistance: 70K–72K. Immediate support: 66K–67K. 📌 Dominant Scenario If BTC fails to break 71K–72K zone, rejection could push price back toward 65K. A breakdown below 65K opens path to retest 60K. 📌 Alternative Scenario If BTC reclaims 72K with strong daily close, next targets are 78K–80K. Still considered a relief rally unless 85K is reclaimed. Conclusion: Current structure suggests pullback within a broader corrective trend, not a confirmed new bull phase. The 71K–72K area is the key decision zone for the next major move. $BTC #Bitcoin #Crypto #TradingSignals #TechnicalAnalysis

BTC/USDT Market Structure Update

BTC/USDT Market Structure Update
After printing ATH around 126K, BTC is now in a corrective phase on higher timeframes. Weekly and Monthly structures show clear distribution followed by strong breakdown. This means the current movement around 69K is more likely a technical rebound rather than a confirmed trend reversal.
🔎 Higher Timeframe View (1W / 1M)
Trend bias remains bearish. Supertrend is still red. Major supply zone sits around 85K–92K. Strong historical demand remains at 58K–62K.
🔎 Mid Timeframe (1D / 3D)
Daily structure shows a sharp drop to 60K followed by relief bounce to 69K. However, price is still forming a lower high below 72K. Until daily closes above 72K, the broader correction remains valid.
🔎 Short Term (4H)
4H momentum turned green, indicating short-term recovery. Immediate resistance: 70K–72K.
Immediate support: 66K–67K.
📌 Dominant Scenario
If BTC fails to break 71K–72K zone, rejection could push price back toward 65K. A breakdown below 65K opens path to retest 60K.
📌 Alternative Scenario
If BTC reclaims 72K with strong daily close, next targets are 78K–80K. Still considered a relief rally unless 85K is reclaimed.
Conclusion:
Current structure suggests pullback within a broader corrective trend, not a confirmed new bull phase. The 71K–72K area is the key decision zone for the next major move.
$BTC #Bitcoin #Crypto #TradingSignals #TechnicalAnalysis
FOGO CURENT CRYPTOIn the current crypto cycle, many projects compete for short-term attention, but only a few aim to build long-term structural value. After observing the development approach of @fogo , I see an interesting direction that goes beyond simple token distribution. $FOGO appears to be positioned not only as a reward mechanism, but as a tool to coordinate community participation, trading activity, and social engagement within a measurable framework. What stands out is how the ecosystem encourages organic contribution. Instead of relying purely on incentives, the structure emphasizes visible performance through leaderboards and transparent activity metrics. This creates a competitive yet open environment where participants can evaluate their own strategy: whether to focus on content creation, interaction quality, or trading efficiency. In that sense, $FOGO becomes a behavioral driver rather than just a speculative asset. However, sustainability will depend on several factors: token supply management, liquidity depth, and long-term utility expansion. If @fogo continues to strengthen real use cases and maintain fair distribution mechanisms, $FOGO could transition from a campaign-based reward token into a recognized ecosystem asset. Community consistency and disciplined participation will determine how strong #fogo can grow beyond the campaign phase.

FOGO CURENT CRYPTO

In the current crypto cycle, many projects compete for short-term attention, but only a few aim to build long-term structural value. After observing the development approach of @Fogo Official , I see an interesting direction that goes beyond simple token distribution. $FOGO appears to be positioned not only as a reward mechanism, but as a tool to coordinate community participation, trading activity, and social engagement within a measurable framework.
What stands out is how the ecosystem encourages organic contribution. Instead of relying purely on incentives, the structure emphasizes visible performance through leaderboards and transparent activity metrics. This creates a competitive yet open environment where participants can evaluate their own strategy: whether to focus on content creation, interaction quality, or trading efficiency. In that sense, $FOGO becomes a behavioral driver rather than just a speculative asset.
However, sustainability will depend on several factors: token supply management, liquidity depth, and long-term utility expansion. If @Fogo Official continues to strengthen real use cases and maintain fair distribution mechanisms, $FOGO could transition from a campaign-based reward token into a recognized ecosystem asset. Community consistency and disciplined participation will determine how strong #fogo can grow beyond the campaign phase.
#fogo $FOGO Innovation in blockchain is not just about speed, but about sustainable ecosystem growth. I’m watching how @fogo positions $FOGO to build real community-driven momentum rather than short-term hype. If execution matches vision, #fogo could evolve from campaign token to long-term network value driver.
#fogo $FOGO
Innovation in blockchain is not just about speed, but about sustainable ecosystem growth. I’m watching how @Fogo Official positions $FOGO to build real community-driven momentum rather than short-term hype. If execution matches vision, #fogo could evolve from campaign token to long-term network value driver.
$BNB BNB/USDT – Major Swing Setup Forming Daily trend remains strongly bearish. Structure is clear: lower highs, lower lows. Supertrend has not flipped yet. Current price: 606 Recent low: 570 Key supply zone: 640–660 The logical move is not to chase price below 600. Wait for value. Let price come to you. — Primary Scenario (Higher Probability) SHORT on pullback Entry: 640–660 SL: 705 TP1: 570 TP2: 520 TP3: 480 If price rejects from supply, this is continuation — not guessing. — Alternative Scenario (If Structure Shifts) BUY only after a daily close above 670 SL: 610 TP: 720–780 Without a break of structure, reversal is just hope. — Conclusion: Market is still in a distribution phase. Disciplined traders wait for retracement. Emotional traders chase red candles. Positioning matters more than prediction. Is BNB preparing for another leg down — or setting a trap?
$BNB
BNB/USDT – Major Swing Setup Forming
Daily trend remains strongly bearish.
Structure is clear: lower highs, lower lows.
Supertrend has not flipped yet.
Current price: 606
Recent low: 570
Key supply zone: 640–660
The logical move is not to chase price below 600.
Wait for value. Let price come to you.

Primary Scenario (Higher Probability)
SHORT on pullback
Entry: 640–660
SL: 705
TP1: 570
TP2: 520
TP3: 480
If price rejects from supply, this is continuation — not guessing.

Alternative Scenario (If Structure Shifts)
BUY only after a daily close above 670
SL: 610
TP: 720–780
Without a break of structure, reversal is just hope.

Conclusion:
Market is still in a distribution phase.
Disciplined traders wait for retracement.
Emotional traders chase red candles.
Positioning matters more than prediction.
Is BNB preparing for another leg down — or setting a trap?
$XAU $ H4 — Smart Money Concept Analysis Market Structure Bearish Break of Structure (BOS) from the recent high → distribution phase Price is trading inside the premium zone (50–61.8% retracement) Main bias remains SELL unless the upper structure is reclaimed 🔴 SELL Setup (High Probability) Entry: 5,050 – 5,080 Stop Loss: 5,180 (above liquidity & invalidation zone) Take Profit: TP1: 4,920 TP2: 4,750 TP3: 4,550 Risk : Reward: TP1 ≈ 1 : 1.2 TP2 ≈ 1 : 2.9 TP3 ≈ 1 : 5 🟢 BUY Scenario (Only if Invalidated)$ H4 candle closes above 5,180 Bullish BOS + retest confirmation Buy Entry: 5,190 – 5,210 Stop Loss: 5,090 Take Profit: 5,350 → 5,520 Conclusion Market remains in distribution → markdown phase Trades are based on structure, probability, and risk-reward SELL bias stays valid until structure flips bullish
$XAU $ H4 — Smart Money Concept Analysis
Market Structure
Bearish Break of Structure (BOS) from the recent high → distribution phase
Price is trading inside the premium zone (50–61.8% retracement)
Main bias remains SELL unless the upper structure is reclaimed
🔴 SELL Setup (High Probability)
Entry:
5,050 – 5,080
Stop Loss:
5,180 (above liquidity & invalidation zone)
Take Profit:
TP1: 4,920
TP2: 4,750
TP3: 4,550
Risk : Reward:
TP1 ≈ 1 : 1.2
TP2 ≈ 1 : 2.9
TP3 ≈ 1 : 5
🟢 BUY Scenario (Only if Invalidated)$
H4 candle closes above 5,180
Bullish BOS + retest confirmation
Buy Entry: 5,190 – 5,210
Stop Loss: 5,090
Take Profit: 5,350 → 5,520
Conclusion
Market remains in distribution → markdown phase
Trades are based on structure, probability, and risk-reward
SELL bias stays valid until structure flips bullish
ETH/USDT – Weekly Outlook Price around $2,290, currently below key resistance. Weekly structure shows: Lower high formed after rejection from $4,000–$4,800 Strong bearish impulse No confirmed weekly reversal yet Bias: 🔴 SELL / WAIT Key levels: Support: $2,100 If $2,100 breaks → potential continuation to $1,800–$1,600 Bullish shift only valid if weekly close above $2,700–$2,900 Until structure flips, risk remains to the downside $ETH #Price-Prediction
ETH/USDT – Weekly Outlook
Price around $2,290, currently below key resistance.
Weekly structure shows:
Lower high formed after rejection from $4,000–$4,800
Strong bearish impulse
No confirmed weekly reversal yet
Bias: 🔴 SELL / WAIT
Key levels:
Support: $2,100
If $2,100 breaks → potential continuation to $1,800–$1,600
Bullish shift only valid if weekly close above $2,700–$2,900
Until structure flips, risk remains to the downside
$ETH #Price-Prediction
SOL/USDT – Weekly Outlook Price is around $98, sitting right on a key psychological support. From a weekly structure perspective: Clear lower high & lower low Strong rejection from $200–$250 No valid weekly reversal pattern yet Bias: 🔴 SELL / WAIT (No Buy for now) If $100 breaks with weekly close, downside opens toward $85–$75. Bullish scenario only valid if: Strong base forms Weekly close above $120–$130 Until structure shifts, buying here means fighting the trend. $SOL {future}(SOLUSDT) #PriceAction
SOL/USDT – Weekly Outlook
Price is around $98, sitting right on a key psychological support.
From a weekly structure perspective:
Clear lower high & lower low
Strong rejection from $200–$250
No valid weekly reversal pattern yet
Bias: 🔴 SELL / WAIT (No Buy for now)
If $100 breaks with weekly close, downside opens toward $85–$75.
Bullish scenario only valid if:
Strong base forms
Weekly close above $120–$130
Until structure shifts, buying here means fighting the trend.
$SOL
#PriceAction
$BLESS {alpha}(560x7c8217517ed4711fe2deccdfeffe8d906b9ae11f) Price is consolidating after a sharp dump from 0.016 to ~0.010. Current price trades below MA25 (0.01285) and MA99 (0.01239), indicating the medium-term trend remains bearish. Key Levels Support: 0.0110 → 0.0100 (strong) Resistance: 0.0123–0.0125 (MA99 zone), then 0.0136 and 0.0160 Volume Massive volume spike during the dump suggests panic selling. Post-dump volume is decreasing → buyers not dominant yet. Scenarios Short-term rebound: If price holds above 0.0110, a pullback toward 0.0123–0.0125 is possible. Bear continuation: Loss of 0.0110 opens room for a retest of 0.0100. Trade Idea (speculative) Aggressive long: 0.0110–0.0112 SL: below 0.0100 TP: 0.0123 / 0.0136 Conservative long: Wait for a 4H close above 0.0125 with volume expansion. Conclusion Trend is not bullish yet. Current structure favors scalp/rebound trades, not confirmed swing holds. $BNB {future}(BNBUSDT) $BTC {future}(BTCUSDT)
$BLESS
Price is consolidating after a sharp dump from 0.016 to ~0.010. Current price trades below MA25 (0.01285) and MA99 (0.01239), indicating the medium-term trend remains bearish.
Key Levels
Support: 0.0110 → 0.0100 (strong)
Resistance: 0.0123–0.0125 (MA99 zone), then 0.0136 and 0.0160
Volume
Massive volume spike during the dump suggests panic selling.
Post-dump volume is decreasing → buyers not dominant yet.
Scenarios
Short-term rebound: If price holds above 0.0110, a pullback toward 0.0123–0.0125 is possible.
Bear continuation: Loss of 0.0110 opens room for a retest of 0.0100.
Trade Idea (speculative)
Aggressive long: 0.0110–0.0112
SL: below 0.0100
TP: 0.0123 / 0.0136
Conservative long: Wait for a 4H close above 0.0125 with volume expansion.
Conclusion Trend is not bullish yet. Current structure favors scalp/rebound trades, not confirmed swing holds.
$BNB
$BTC
$AT {future}(ATUSDT) @APRO-Oracle Price is currently consolidating after a strong bullish impulse, forming a clear sideways range. Key Levels Support: 0.168 – 0.170 Resistance: 0.180 Major Resistance: 0.195 – 0.200 Trading Scenarios Long (Range Support) Entry: 0.170 – 0.172 SL: 0.158 TP1: 0.180 TP2: 0.195 Breakout Long Entry: 4H close above 0.182 SL: 0.172 TP: 0.195 → 0.210 Short (Only at Strong Rejection) Entry: 0.195 – 0.200 SL: 0.205 TP: 0.175 → 0.168 Current price is in the middle of the range, not an ideal FOMO zone. Best approach is wait for reaction at support or confirmed breakout. #AT #Crypto #Altcoins #TechnicalAnalysis
$AT
@APRO Oracle Price is currently consolidating after a strong bullish impulse, forming a clear sideways range.
Key Levels
Support: 0.168 – 0.170
Resistance: 0.180
Major Resistance: 0.195 – 0.200
Trading Scenarios

Long (Range Support)
Entry: 0.170 – 0.172
SL: 0.158
TP1: 0.180
TP2: 0.195

Breakout Long
Entry: 4H close above 0.182
SL: 0.172
TP: 0.195 → 0.210

Short (Only at Strong Rejection)
Entry: 0.195 – 0.200
SL: 0.205
TP: 0.175 → 0.168

Current price is in the middle of the range, not an ideal FOMO zone. Best approach is wait for reaction at support or confirmed breakout.
#AT #Crypto #Altcoins #TechnicalAnalysis
#apro $AT {future}(ATUSDT) Decentralized finance only works if on-chain smart contracts can trust off-chain data. This is where decentralized oracles become critical infrastructure, not just a “support tool.” A weak oracle can break an entire DeFi protocol, no matter how good the code is. @APRO-Oracle focuses on delivering verifiable, decentralized data feeds that reduce single points of failure and manipulation risk. In a multi-chain Web3 environment, reliable oracles are what connect real-world data, prices, and events to trustless execution on-chain. The value proposition of APRO lies in resilience and data integrity. If DeFi is about removing intermediaries, then oracles must follow the same principle. That’s why the long-term relevance of $AT depends less on hype and more on real adoption by protocols that need secure, censorship-resistant data. Infrastructure tokens often move quietly before they matter loudly. #APRO
#apro $AT
Decentralized finance only works if on-chain smart contracts can trust off-chain data. This is where decentralized oracles become critical infrastructure, not just a “support tool.” A weak oracle can break an entire DeFi protocol, no matter how good the code is.
@APRO Oracle focuses on delivering verifiable, decentralized data feeds that reduce single points of failure and manipulation risk. In a multi-chain Web3 environment, reliable oracles are what connect real-world data, prices, and events to trustless execution on-chain.
The value proposition of APRO lies in resilience and data integrity. If DeFi is about removing intermediaries, then oracles must follow the same principle. That’s why the long-term relevance of $AT depends less on hype and more on real adoption by protocols that need secure, censorship-resistant data.
Infrastructure tokens often move quietly before they matter loudly. #APRO
$BROCCOLI714 {future}(BROCCOLI714USDT) Price just experienced a parabolic pump (+70%+), indicating strong speculative momentum. Structure before the pump was sideways → breakout, but current price is already extended. Key Observations Massive bullish impulse with long wick → signs of profit-taking pressure No solid base formed yet above the breakout High volatility = high risk (suitable only for short-term plays) Key Levels Local Resistance: 0.0350 – 0.0380 Psychological Resistance: 0.0500 Support (retest zone): 0.0250 – 0.0230 Strong Support: 0.0190 Scenario 1 — Short (mean reversion after pump) Logic: price is far from equilibrium after vertical move. Entry: 0.0340 – 0.0380 SL: 0.0505 TP1: 0.0260 TP2: 0.0200 Scenario 2 — Long (only on pullback) Logic: avoid FOMO, wait for structure. Entry: 0.0230 – 0.0250 SL: 0.0190 TP1: 0.0320 TP2: 0.0380 Notes Long at current price = late entry Best probability comes from retest or rejection, not chasing Treat this as high-risk, momentum-driven asset Risk management is mandatory.
$BROCCOLI714
Price just experienced a parabolic pump (+70%+), indicating strong speculative momentum. Structure before the pump was sideways → breakout, but current price is already extended.

Key Observations
Massive bullish impulse with long wick → signs of profit-taking pressure
No solid base formed yet above the breakout
High volatility = high risk (suitable only for short-term plays)

Key Levels
Local Resistance: 0.0350 – 0.0380
Psychological Resistance: 0.0500
Support (retest zone): 0.0250 – 0.0230
Strong Support: 0.0190

Scenario 1 — Short (mean reversion after pump)
Logic: price is far from equilibrium after vertical move.
Entry: 0.0340 – 0.0380
SL: 0.0505
TP1: 0.0260
TP2: 0.0200

Scenario 2 — Long (only on pullback)
Logic: avoid FOMO, wait for structure.
Entry: 0.0230 – 0.0250
SL: 0.0190
TP1: 0.0320
TP2: 0.0380

Notes
Long at current price = late entry
Best probability comes from retest or rejection, not chasing
Treat this as high-risk, momentum-driven asset
Risk management is mandatory.
$BTC {future}(BTCUSDT) Price is still in a broader downtrend. The current move toward 91k is a relief rally, not a confirmed trend reversal yet. Key Levels Resistance: 92,000 – 93,500 Major Resistance: 95,000 Support: 88,000 Strong Support: 85,000 Primary Scenario – Short (trend-following) Entry: 92,000 – 93,200 Stop Loss: 95,500 TP1: 88,500 TP2: 85,500 Alternative Scenario – Long (counter-trend, higher risk) Entry: 89,000 – 90,000 Stop Loss: 87,400 TP1: 92,000 TP2: 95,000 Trend shift confirmation: Bullish structure only if daily close above 95,000. DYOR & manage risk. #BTC
$BTC
Price is still in a broader downtrend. The current move toward 91k is a relief rally, not a confirmed trend reversal yet.

Key Levels
Resistance: 92,000 – 93,500
Major Resistance: 95,000
Support: 88,000
Strong Support: 85,000

Primary Scenario – Short (trend-following)
Entry: 92,000 – 93,200
Stop Loss: 95,500
TP1: 88,500
TP2: 85,500

Alternative Scenario – Long (counter-trend, higher risk)
Entry: 89,000 – 90,000
Stop Loss: 87,400
TP1: 92,000
TP2: 95,000

Trend shift confirmation:
Bullish structure only if daily close above 95,000.
DYOR & manage risk.
#BTC
$ZEC {future}(ZECUSDT) Range → bullish corrective, momentum weakening near resistance. Levels Resistance: 515–520 / 530–550 Support: 480–490 / 430–450 Plan A — Short (Resistance Rejection) Entry: 515–525 SL: 555 TP: 490 → 460 → 430 Plan B — Long (Pullback, Preferred) Entry: 470–490 SL: 450 TP: 520 → 550 → 600 Plan C — Long Breakout (High Risk) Trigger: Daily close > 550 Entry: Retest 540–550 SL: 510 TP: 620–680 Trade levels, manage risk. No FOMO.
$ZEC

Range → bullish corrective, momentum weakening near resistance.

Levels
Resistance: 515–520 / 530–550

Support: 480–490 / 430–450

Plan A — Short (Resistance Rejection)
Entry: 515–525
SL: 555
TP: 490 → 460 → 430

Plan B — Long (Pullback, Preferred)
Entry: 470–490
SL: 450
TP: 520 → 550 → 600

Plan C — Long Breakout (High Risk)
Trigger: Daily close > 550
Entry: Retest 540–550
SL: 510
TP: 620–680
Trade levels, manage risk. No FOMO.
$CVX {future}(CVXUSDT) Market Context Strong bullish impulse (+50%) followed by rejection near the high → profit taking likely. Structure suggests a short-term breakout, not a confirmed uptrend. Scenario A — Short (Preferred / Mean Reversion) Valid if price fails to hold above 2.20 Entry: 2.15 – 2.22 Stop Loss: 2.45 TP1: 2.00 TP2: 1.85 TP3: 1.75 Rationale: Vertical pump + rejection → higher pullback probability. Better risk–reward. Scenario B — Long (Pullback Only, No FOMO) Valid on healthy pullback with bullish reaction Entry: 1.90 – 2.00 Stop Loss: 1.75 TP1: 2.20 TP2: 2.35 TP3: 2.45 Rationale: Buy support after confirmation, not strength. Scenario C — Long Breakout (High Risk) Only if daily close above 2.45 Entry: Retest 2.40 – 2.45 Stop Loss: 2.20 TP: 2.80 – 3.00 Key Levels Resistance: 2.30 – 2.45 Support: 2.00 / 1.75 – 1.80 Trade the level, manage risk.
$CVX

Market Context Strong bullish impulse (+50%) followed by rejection near the high → profit taking likely. Structure suggests a short-term breakout, not a confirmed uptrend.
Scenario A — Short (Preferred / Mean Reversion)
Valid if price fails to hold above 2.20
Entry: 2.15 – 2.22
Stop Loss: 2.45
TP1: 2.00
TP2: 1.85
TP3: 1.75
Rationale: Vertical pump + rejection → higher pullback probability. Better risk–reward.
Scenario B — Long (Pullback Only, No FOMO)
Valid on healthy pullback with bullish reaction
Entry: 1.90 – 2.00
Stop Loss: 1.75
TP1: 2.20
TP2: 2.35
TP3: 2.45
Rationale: Buy support after confirmation, not strength.
Scenario C — Long Breakout (High Risk)
Only if daily close above 2.45
Entry: Retest 2.40 – 2.45
Stop Loss: 2.20
TP: 2.80 – 3.00
Key Levels
Resistance: 2.30 – 2.45
Support: 2.00 / 1.75 – 1.80
Trade the level, manage risk.
$CHZ {future}(CHZUSDT) Market Context CHZ is showing an early bullish reversal but is currently trading near a key daily resistance. Both long and short setups are valid depending on price reaction. 🔵 LONG SETUP (Primary) Entry: 0.0418 – 0.0425 Stop Loss: 0.0395 Take Profit: TP1: 0.0458 TP2: 0.0485 TP3: 0.0520 Logic: Buy pullback into demand while higher-low structure holds. 🔴 SHORT SETUP 1 (Resistance Rejection) Condition: Strong rejection at 0.0458 – 0.0465 Entry: 0.0455 – 0.0463 Stop Loss: 0.0480 Take Profit: TP1: 0.0430 TP2: 0.0415 TP3: 0.0398 🔴 SHORT SETUP 2 (Breakdown) Condition: Daily close below 0.0410 and failed reclaim Entry: 0.0408 – 0.0412 Stop Loss: 0.0430 Take Profit: TP1: 0.0385 TP2: 0.0360 TP3: 0.0335 Notes: • Avoid entries in mid-range (0.043–0.044) • Wait for confirmation, don’t chase price • Risk management first Bias: Neutral → reactive to price action
$CHZ
Market Context
CHZ is showing an early bullish reversal but is currently trading near a key daily resistance. Both long and short setups are valid depending on price reaction.

🔵 LONG SETUP (Primary)
Entry: 0.0418 – 0.0425
Stop Loss: 0.0395
Take Profit:
TP1: 0.0458
TP2: 0.0485
TP3: 0.0520
Logic: Buy pullback into demand while higher-low structure holds.

🔴 SHORT SETUP 1 (Resistance Rejection)
Condition: Strong rejection at 0.0458 – 0.0465
Entry: 0.0455 – 0.0463
Stop Loss: 0.0480
Take Profit:
TP1: 0.0430
TP2: 0.0415
TP3: 0.0398

🔴 SHORT SETUP 2 (Breakdown)
Condition: Daily close below 0.0410 and failed reclaim
Entry: 0.0408 – 0.0412
Stop Loss: 0.0430
Take Profit:
TP1: 0.0385
TP2: 0.0360
TP3: 0.0335

Notes:
• Avoid entries in mid-range (0.043–0.044)
• Wait for confirmation, don’t chase price
• Risk management first
Bias: Neutral → reactive to price action
$OG {future}(OGUSDT) SHORT Setup (trend-following) Entry: 8.80 – 9.30 SL: 10.30 TP1: 8.20 TP2: 7.50 TP3: 6.20 LONG Setup (counter-trend, high risk) Entry: 7.80 – 8.10 (wait for clear rejection) SL: 7.20 TP1: 8.90 TP2: 10.20 TP3: 12.50 Notes Volatility is high after the dump → use small size. If daily close < 7.20, long invalid; focus on shorts. Secure partial profits; move SL to BE after TP1.
$OG
SHORT Setup (trend-following)
Entry: 8.80 – 9.30
SL: 10.30
TP1: 8.20
TP2: 7.50
TP3: 6.20

LONG Setup (counter-trend, high risk)
Entry: 7.80 – 8.10 (wait for clear rejection)
SL: 7.20
TP1: 8.90
TP2: 10.20
TP3: 12.50
Notes
Volatility is high after the dump → use small size.
If daily close < 7.20, long invalid; focus on shorts.
Secure partial profits; move SL to BE after TP1.
$LIGHT {future}(LIGHTUSDT) #dump #BTC90kChristmas #StrategyBTCPurchase 📉 Massive dump → structure still bearish Current move = technical rebound / dead cat bounce Primary Bias: SHORT (trend-following) 🔴 Entry: 0.68 – 0.72 ❌ SL: 0.78 🎯 TP1: 0.62 🎯 TP2: 0.58 🎯 TP3: 0.53 Alternative (Counter-trend scalp) 🟢 Entry: 0.60 – 0.62 ❌ SL: 0.56 🎯 TP1: 0.68 🎯 TP2: 0.74 🎯 TP3: 0.80 ⚠️ Avoid mid-range (0.63–0.67) 📌 Best play: short on retracement + rejection
$LIGHT
#dump #BTC90kChristmas #StrategyBTCPurchase
📉 Massive dump → structure still bearish
Current move = technical rebound / dead cat bounce
Primary Bias: SHORT (trend-following)
🔴 Entry: 0.68 – 0.72
❌ SL: 0.78
🎯 TP1: 0.62
🎯 TP2: 0.58
🎯 TP3: 0.53
Alternative (Counter-trend scalp)
🟢 Entry: 0.60 – 0.62
❌ SL: 0.56
🎯 TP1: 0.68
🎯 TP2: 0.74
🎯 TP3: 0.80
⚠️ Avoid mid-range (0.63–0.67)
📌 Best play: short on retracement + rejection
$MAGMA {future}(MAGMAUSDT) Perp — Trade Setup Range: 0.1585 – 0.1660 Long (Support Rebound) Entry: 0.1590 – 0.1600 SL: 0.1568 TP1: 0.1635 TP2: 0.1655 Short (Resistance Rejection) Entry: 0.1650 – 0.1660 SL: 0.1685 TP1: 0.1615 TP2: 0.1590 Breakout Long (Confirmation Only) Entry: Close > 0.1665 SL: 0.1635 TP: 0.1700 – 0.1720
$MAGMA
Perp — Trade Setup

Range: 0.1585 – 0.1660
Long (Support Rebound)
Entry: 0.1590 – 0.1600
SL: 0.1568
TP1: 0.1635
TP2: 0.1655

Short (Resistance Rejection)
Entry: 0.1650 – 0.1660
SL: 0.1685
TP1: 0.1615
TP2: 0.1590

Breakout Long (Confirmation Only)
Entry: Close > 0.1665
SL: 0.1635
TP: 0.1700 – 0.1720
BTC/USDT Entry–Exit Plan (Range-Based, Risk Controlled) 📉 Market structure: BTC is ranging between 85k – 90k on the 1D timeframe. No clear trend. Best strategy is trade the range or wait for confirmation. 🔵 BUY setup (support play) • Entry: 86,000 – 85,200 • Stop loss: 84,500 • Take profit: 88,800 → 90,000 → 92,500 • Idea: Buy near support with rejection, not in the middle. 🔴 SELL / SHORT setup (resistance play) • Entry: 89,800 – 90,500 • Stop loss: 91,300 • Take profit: 87,500 → 86,000 → 84,800 • Idea: Sell rejection below 90.5k. ⚡ Breakout scenarios • Bullish: Daily close above 90,500 → targets 93k – 96k • Bearish: Daily close below 85,000 → targets 82k – 80.5k 🧠 Key logic: No FOMO. No all-in. Best entries are near edges of the range, not the center. #RiskManagement $BTC {future}(BTCUSDT)
BTC/USDT Entry–Exit Plan (Range-Based, Risk Controlled)
📉 Market structure:
BTC is ranging between 85k – 90k on the 1D timeframe. No clear trend. Best strategy is trade the range or wait for confirmation.
🔵 BUY setup (support play)
• Entry: 86,000 – 85,200
• Stop loss: 84,500
• Take profit: 88,800 → 90,000 → 92,500
• Idea: Buy near support with rejection, not in the middle.
🔴 SELL / SHORT setup (resistance play)
• Entry: 89,800 – 90,500
• Stop loss: 91,300
• Take profit: 87,500 → 86,000 → 84,800
• Idea: Sell rejection below 90.5k.
⚡ Breakout scenarios
• Bullish: Daily close above 90,500 → targets 93k – 96k
• Bearish: Daily close below 85,000 → targets 82k – 80.5k
🧠 Key logic:
No FOMO. No all-in.
Best entries are near edges of the range, not the center.
#RiskManagement
$BTC
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Мечи
don't Ask Short $QNT now
don't Ask Short $QNT now
S
QNTUSDT
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