I’m watching $SNDK after a strong 4H breakout. Price pushed close to $1,797 and is now pulling back slightly. Buyers still have the bigger trend, but I’m waiting for a clean entry.
I’m bullish as long as SNDK holds above $1,720. A clean break above $1,797 could bring fresh buying and push price toward $1,830 and $1,880. If $1,720 breaks, I’d step back and protect the trade.
The move is strong, but I’m not chasing the price after the big run. I’m looking for a better entry and watching the breakout level closely.
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I’m watching ORCA after a powerful breakout. Price is now near $1.57, and buyers have pushed it sharply higher. The momentum is strong, but I’m waiting for a pullback instead of chasing the move.
I’m bullish while ORCA holds above $1.40. A clean break above $1.57 could open the door toward $1.65 and $1.75. If price loses $1.40, I’d step back and protect the trade.
The move is getting exciting, but I’m not letting FOMO control the entry. I’m watching for confirmation and a better setup.
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I’m seeing clear bearish pressure on the 4H chart. MARSCOIN is trading around $0.16888, with a huge -29.70% move in 24 hours. After the rejection from the $0.25 area, sellers have taken control.
I’d watch this zone for a weak bounce followed by another rejection. The important point is not to chase a large red candle. A failed recovery can give a clearer bearish signal.
Key Resistance: $0.175 → $0.195 → $0.210
Key Support: $0.163 → $0.150 → $0.125
Bearish Levels: $0.163 — first major support $0.150 — next downside area $0.125 — deeper support
Invalidation Area: Above $0.195
If price reclaims $0.195 with strong buying, the bearish setup becomes much weaker. If $0.163 breaks with strong selling, the chart could remain under pressure toward the lower support levels.
I’m staying bearish until buyers show real strength. The trend is weak, and the 4H candles show sellers controlling the recent move.
This is a chart-based market view, not a guaranteed trade signal. High-risk coins can move very fast.
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I’m bullish while FLOCK holds above $0.075. A clean break above $0.080 could bring strong buying pressure toward $0.08205 and $0.085. If price loses $0.070, I’d step back and protect the trade.
The momentum is getting interesting, but I’m not chasing the pump. I’m waiting for a clean entry and watching the key levels closely.
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I’m watching RAYSOL after a massive breakout. Price is holding near $1.29 after pushing as high as $1.44, so the momentum is strong, but I’m not chasing the spike.
I’m bullish while RAYSOL stays above $1.20. If buyers reclaim $1.40 and break $1.44 with strength, the next move toward $1.50 could get very interesting. If price loses $1.20, I’d step back and protect the trade.
The momentum is exciting, but after a 41% move, patience matters. I’m waiting for a clean setup instead of chasing fear of missing out.
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I’m watching ZEC after a powerful move higher. Price is holding around $1,225, and buyers are still in control. But after such a fast rise, I’m waiting for a clean setup instead of chasing the move.
I’m bullish while $ZEC holds above the $1,180 area. A strong break above $1,257 could bring fresh buying pressure toward $1,300 and $1,350. If price falls below $1,150, I’d become more careful.
The momentum is strong, but I’m not chasing green candles. I’m waiting for confirmation and managing risk.
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I’m staying bullish while SOLV holds above the $0.00380 area. A clean break above $0.00403 could bring fresh buying pressure toward $0.00410 and $0.00425. If price drops below $0.00380, I’d become more careful.
The setup looks strong, but I’m not chasing a fast pump. I’d rather wait for a clean entry and manage the risk.
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I’m not chasing the current spike. I’m watching for a pullback into the buy zone. A clean break above $3.68 could open the way toward $3.80 and then $4.00. If METIS loses $3.40, I’d become more careful.
The trend is strong, but I’d still manage risk and wait for a clean setup.
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Russia and Ukraine have entered a limited 72-hour pause in certain long-range air strikes as U.S. diplomatic efforts intensify to revive negotiations and explore a path toward ending the war. Russian President Vladimir Putin ordered Russian forces to halt strikes on Kyiv for three days beginning September 6, while Ukrainian President Volodymyr Zelenskyy said Ukraine was prepared to reciprocate by refraining from strikes on Moscow during the diplomatic talks.
The temporary arrangement is connected to the visit of U.S. envoys Steve Witkoff and Jared Kushner. They met Putin in Moscow on September 5 for more than three hours before traveling to Kyiv to meet Zelenskyy and Ukrainian officials. The discussions were aimed at reviving stalled peace efforts, but no major breakthrough or comprehensive ceasefire was announced.
Importantly, this is not a full ceasefire across the entire Russia-Ukraine battlefield. Fighting continues along the front, and Russia has not agreed to Ukraine’s proposal for a broader frontline ceasefire. Recent attacks have also continued to cause casualties and damage, highlighting how fragile the current pause remains.
The 72-hour pause is therefore best understood as a temporary confidence-building measure designed to create space for diplomacy rather than a final peace agreement. The key question is whether the limited pause can lead to a wider and more durable ceasefire.
The situation remains fluid, and further negotiations involving the United States, Ukraine, Russia and European partners are expected.
I’m watching JUP closely after a strong move up. Price is now holding near $0.269, but I want to see buyers defend the current support before the next push.
I’m still bullish while JUP stays above the $0.260 area. A clean break above $0.275 could bring more buying pressure toward $0.280 and $0.290. If price loses $0.260, I’d slow down and protect the trade.
I’m watching this one closely. Trade with a plan and manage your risk.
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I’m not chasing the pump here. I’m watching for a clean pullback into the buy zone. If buyers break $0.00181 with strength, the next targets could come into play. If support breaks, I’d stay careful and protect my trade.
Trade with a plan and manage your risk.
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BTR is showing a strong recovery on the 1H chart. I’m watching this move closely because buyers have pushed price back toward an important resistance area.
Current Price: $0.04985 24H Change: +0.77%
Buy Zone: $0.04820–$0.04900
I’m looking for price to hold this area before considering the next move higher. A clean breakout could bring more buyers into the market.
I’m watching $0.05007 very closely. If BTR breaks above this level and holds, I’ll be looking toward $0.05100 and $0.05200 next. If buyers lose control, $0.04820 becomes the level I want to see defended.
I’m staying patient here. The setup looks interesting, but I would rather wait for confirmation than chase a sudden move.
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LAYER is making a powerful move right now. I’m watching this chart closely because buyers have stepped in hard, pushing price up more than 26% in 24 hours.
Current Price: $0.08814 24H Change: +26.17%
Buy Zone: $0.08400–$0.08600
I’m not chasing the huge green candle here. A pullback into the buy zone could give a better entry if buyers defend the level.
I’m seeing strong momentum, but this move is already very sharp. If LAYER breaks above $0.08935 and holds, I’ll be watching $0.09200 and then $0.09500. If price gets rejected, the $0.08400 area becomes very important.
I’m staying focused on the levels, not the hype. Strong moves can create strong opportunities, but risk control matters.
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