🚨🚨 $MARSCOIN IS APPROACHING A LEVEL WHERE ONE MOVE COULD TRAP BOTH BULLS AND BEARS… 👀⚠️

Price is currently around $0.1211, sitting near a key sell-side liquidity area.

I’m not chasing here. Instead, I’m watching two possible scenarios:

🔹 1️⃣ Pullback & Liquidity Sweep

If price gets rejected, I’d watch for a deeper pullback into demand/order-block areas.

📍 Potential buy zones:
$0.1030
$0.0950

🎯 Targets:
$0.1110 → $0.1150 → $0.1185

🔹 2️⃣ Clean Breakout

If $MARSCOIN gets a 4H candle close above $0.1250 with strong volume, I’d want to see a successful retest before considering the breakout confirmed.

🎯 Targets:
$0.1310 → $0.1370 → $0.1435

🛑 Risk level:
A 4H close below $0.0880 would invalidate this setup.

For me, the key is simple: no FOMO, no guessing. Let price show which scenario is actually playing out.

⏳ $0.1211 IS THE BATTLEGROUND… BUT WHICH SIDE GETS TRAPPED WHEN THE NEXT BIG CANDLE ARRIVES? 👀💀

🐻 PULLBACK TO $0.103–$0.095
🐂 BREAKOUT ABOVE $0.125

🚨 VOTE NOW — DOES $MARSCOIN SWEEP LOWER FIRST, OR BREAK OUT FROM HERE?