$SOL sitting at a make-or-break level around $110. This HTF resistance zone is where the next macro move gets decided.
Two scenarios in play:
Bullish case → Weekly close above $110-$115 + clean retest = confirmation. Next stops: $140, $200, then potentially new ATH. Buyers need to prove they're back in control.
Bearish case → Rejection here sends us back to $80-$70. Deeper flush to $50 would set up a prime accumulation zone if base holds strong.
Long-term thesis: Still eyeing $500-$1K targets. Not hopium, just patient conviction on fundamentals and adoption trajectory.
Right now $110 is the line in the sand. Watch for breakout + volume confirmation. Don't trade your feelings, trade the setup.
NFA. Risk management always.
Two scenarios in play:
Bullish case → Weekly close above $110-$115 + clean retest = confirmation. Next stops: $140, $200, then potentially new ATH. Buyers need to prove they're back in control.
Bearish case → Rejection here sends us back to $80-$70. Deeper flush to $50 would set up a prime accumulation zone if base holds strong.
Long-term thesis: Still eyeing $500-$1K targets. Not hopium, just patient conviction on fundamentals and adoption trajectory.
Right now $110 is the line in the sand. Watch for breakout + volume confirmation. Don't trade your feelings, trade the setup.
NFA. Risk management always.
