🏛 ASSET: $NEAR / USDT 4H (Binance Perpetual)
🔴 DIRECTION: SHORT
📉 TREND: Steady decline from 2.0+ down to 1.62 (-19% over 3 months). EMA 20 (1.53) crossed below EMA 50 (1.50) from top to bottom — a bearish crossover. SuperTrend is red. RSI at 44.49 indicates a neutral-to-bearish bias. MACD is negative with a red histogram. Volume dropped by 40% — buyer interest is exhausted. Down -92% from its ATH of 20.44. Fear & Greed Index is 31 (Fear). 7-day change at -5.84% and 30-day change at -16.85% reflect accelerating downside momentum. August forecast range: min 1.37, max $1.61.
🎯 Trade Setup
Entry: 1.60 – 1.65
Stop-Loss: $1.70 (above R1 resistance + buffer against fakeouts)
🟢 Take-Profits
TP1: $1.50 — S1 Support level
TP2: $1.42 — S2 / Psychological round number
TP3: $1.37 — S3 / Projected August minimum target
🔑 Key Levels
Stop-Loss ($1.70): Above R1 structural ceiling
Entry Zone (1.60–1.65): Current trading range / potential retest
Resistance ($1.80): 200 SMA, key macro barrier
Support ($1.50): S1 local boundary
ATH ($20.44): Historical maximum
📊 Risk & Warnings
Risk/Reward Ratio: 1:2.0 ➔ 1:5.6
Market Context: Volatility is at 7.36% with robust liquidity ($2.1B market cap), making short-term fakeouts and liquidity sweeps likely. Use low leverage only (3x–5x)!
⚠️ Disclaimer: This analysis is not financial advice. Trade at your own risk.$NEAR
🔴 DIRECTION: SHORT
📉 TREND: Steady decline from 2.0+ down to 1.62 (-19% over 3 months). EMA 20 (1.53) crossed below EMA 50 (1.50) from top to bottom — a bearish crossover. SuperTrend is red. RSI at 44.49 indicates a neutral-to-bearish bias. MACD is negative with a red histogram. Volume dropped by 40% — buyer interest is exhausted. Down -92% from its ATH of 20.44. Fear & Greed Index is 31 (Fear). 7-day change at -5.84% and 30-day change at -16.85% reflect accelerating downside momentum. August forecast range: min 1.37, max $1.61.
🎯 Trade Setup
Entry: 1.60 – 1.65
Stop-Loss: $1.70 (above R1 resistance + buffer against fakeouts)
🟢 Take-Profits
TP1: $1.50 — S1 Support level
TP2: $1.42 — S2 / Psychological round number
TP3: $1.37 — S3 / Projected August minimum target
🔑 Key Levels
Stop-Loss ($1.70): Above R1 structural ceiling
Entry Zone (1.60–1.65): Current trading range / potential retest
Resistance ($1.80): 200 SMA, key macro barrier
Support ($1.50): S1 local boundary
ATH ($20.44): Historical maximum
📊 Risk & Warnings
Risk/Reward Ratio: 1:2.0 ➔ 1:5.6
Market Context: Volatility is at 7.36% with robust liquidity ($2.1B market cap), making short-term fakeouts and liquidity sweeps likely. Use low leverage only (3x–5x)!
⚠️ Disclaimer: This analysis is not financial advice. Trade at your own risk.$NEAR