$ZEC – Liquidation Map (7 Days) – Index ~507.6
🔎 The 7-day liquidation map shows roughly 60 million in long liquidations below the current price, exceeding approximately 40 million in short liquidations above. However, the nearest major liquidity clusters are denser on the upside, giving an initial short-sweep scenario a modest near-term edge.
📈 Short-liquidation density begins increasing around 515.4 and becomes significantly stronger across 519–533.4. The most notable clusters sit around 519–522.6 and especially near 529.8, where the largest upside bar appears. Holding above 515.4 could open the way toward 519–522.6 and then 526.2–529.8.
📉 Below the market, the nearest long-liquidation zone is concentrated around 502.8–499.2, followed by denser liquidity across 495.6–481.2. Larger clusters also appear around 466.8–463.2. Losing 502.8 would increase downside risk toward 499.2 and then 495.6–492.
🧭 The higher-probability scenario is an initial test of 515.4–522.6 because the upside liquidity is both close and relatively dense. A breakout could trigger a short-liquidation sweep toward 526.2–529.8, while rejection followed by a loss of 502.8 would raise the probability of a long-liquidation sweep toward 499.2–492.
#LiquidationMap
🔎 The 7-day liquidation map shows roughly 60 million in long liquidations below the current price, exceeding approximately 40 million in short liquidations above. However, the nearest major liquidity clusters are denser on the upside, giving an initial short-sweep scenario a modest near-term edge.
📈 Short-liquidation density begins increasing around 515.4 and becomes significantly stronger across 519–533.4. The most notable clusters sit around 519–522.6 and especially near 529.8, where the largest upside bar appears. Holding above 515.4 could open the way toward 519–522.6 and then 526.2–529.8.
📉 Below the market, the nearest long-liquidation zone is concentrated around 502.8–499.2, followed by denser liquidity across 495.6–481.2. Larger clusters also appear around 466.8–463.2. Losing 502.8 would increase downside risk toward 499.2 and then 495.6–492.
🧭 The higher-probability scenario is an initial test of 515.4–522.6 because the upside liquidity is both close and relatively dense. A breakout could trigger a short-liquidation sweep toward 526.2–529.8, while rejection followed by a loss of 502.8 would raise the probability of a long-liquidation sweep toward 499.2–492.
#LiquidationMap