The market: It’s not crazy up. It’s not crashing. It’s just kinda… meh. But slightly good enough to buy. So fine, we buy. #NVDAUSDT itself: It’s been going up. Like, up about 10% in two weeks. That’s not nothing. It’s got some actual push behind it. Why it’s moving: People bet against it and got fucked. So they had to buy back. That buying pushed the price up. Classic squeeze shit. Where to get in: Around 233.95. Where to bail if it goes wrong: If it drops to 207.89, get the fuck out. No crying. No hoping. Just leave. Where to aim: 299.11. That’s the prize. $NVDAB fucking deal. What to do now: Hold it for 14 days. Don’t touch it. Don’t panic on a red candle. Don’t get cute. Let it breathe. Bottom line: Market’s chill, NVDA’s climbing, shorts got burned, buyers are stepping in, and the computer brains agree. Buy around 233.95, bail at 207.89, aim for 299.11, hold two weeks. Not financial advice. Just a simple sweary plan.
They’re looking to go long ETH/USDT — basically betting Ethereum will go up against USDT. The overall market isn’t strongly bullish or bearish. It’s neutral, with a tiny positive lean, so a long trade is allowed. Over the last two weeks, ETH is only up about 1.14%, and nothing looks broken or contradictory in the price action. The important support area is around 2,562.31. Buyers have stepped in there before. The current move doesn’t look super strong — more like normal chop — and the derivatives crowd isn’t extreme. The plan is simple: Buy area: around 2,673.75 Stop loss / cut it if wrong: 2,505.01 Main target: 3,095.60 Reward vs. risk: about 2.5 to 1 Final decision: lock it in and hold for the 14-day / two-week cycle. #Ethereum #ETH
Bitcoin пробил $84 500 — следующий уровень $88 000?
Bitcoin подтвердил сценарий продолжения роста после пробоя $84 500. Сейчас ключевая задача для покупателей — удержать этот уровень и продолжить движение к зоне $88 000, где находится заметное сопротивление в стакане. Отмена сценария произойдёт при возврате ниже $84 500: тогда движение к $82 000 и риск long squeeze. Дополнительным фактором на выходных может стать закрытие недельных опционов и фьючерсов.
🚀 SOL Weekly Outlook: The Giant is Awakening? Solana ($SOL) is showing some serious technical grit on the weekly timeframe. After a period of cooling off, we are sitting right in a "Make or Break" accumulation zone. Is this the launchpad for the next leg up? 📉 The Technical Breakdown The chart shows a clear consolidation phase within a defined Entry Zone. Here’s what the indicators are whispering: Entry Zone (Accumulation): $67.70 – $87.60. We are currently hovering around $93.80, just above the primary demand block. Moving Averages: Price is trading below the 21 and 50 SMMA, which are currently acting as dynamic resistance. A reclaim of the $121 level would be the ultimate bullish confirmation. RSI & MACD: Both indicators are bottoming out. The MACD histogram is showing waning bearish momentum—usually the precursor to a bullish cross. 🎯 The Game Plan If the support holds, the recovery path looks mathematically clean: Level Price Target Strategy Stop Loss $47.18 Protection below the major swing low. Take Profit 1 $136.99 Major psychological and structural resistance. Take Profit 2 $195.40 The "Moon Mission" target for the next cycle peak. 💡 Final Thoughts The Risk-to-Reward ratio here is looking incredibly healthy. We are seeing a classic "buy the fear" setup. While the SMMA lines are still sloping down, the horizontal support at $67.70 has historically been a brick wall for bears. What’s your move? Are you stacking SOL at these levels, or are you waiting for a confirmed breakout above $100? Let’s discuss in the comments! 👇 #Solana #SOL #CryptoAnalysis #TechnicalAnalysis #Bullish #BinanceSquare Disclaimer: This is for educational purposes only and not financial advice. Always do your own research and manage your risk!
It looks like after the rate cute crypto market as people believe it. what's the reason?🤔 on the other side,all the social media were saying Alt season coming,but I question when ? $ETH #MarketPullback #PCEInflationWatch
Trump anuncia pacote agressivo de tarifas de 25% a 100% sobre importações a partir de 1º de outubro.
🔹 Medicamentos: tarifa de 100%, salvo empresas que já constroem fábricas nos EUA. 🔹 Caminhões pesados: 25% 🔹 Móveis de cozinha/banho: 50% 🔹 Estofados: 30%
📊 A medida reforça a agenda protecionista e pode afetar cadeias globais, aumentar custos para consumidores e pressionar a inflação. Mercados reagem atentos ao impacto econômico.
Segundo Trump, a medida tem como objetivo proteger a indústria americana, incentivar a produção doméstica e reduzir a dependência externa em setores sensíveis, como o farmacêutico.
Motivações políticas e econômicas
O pacote tarifário está alinhado ao discurso de Trump de fortalecer a economia nacional, gerando empregos e atraindo investimentos para os EUA. No caso específico dos medicamentos, o governo busca forçar multinacionais a instalar fábricas em território americano, reduzindo vulnerabilidades na área de saúde.
Ao mesmo tempo, a medida é vista como um sinal de endurecimento das políticas comerciais em meio a disputas geopolíticas e à necessidade de preservar competitividade local.
Repercussões esperadas 1. Inflação e custo de vida Com tarifas elevadas, é provável que os preços de produtos importados aumentem, impactando diretamente o bolso dos consumidores. 2. Cadeias de suprimento Empresas globais terão de repensar suas estratégias logísticas e de produção, com possível redirecionamento de investimentos para os EUA ou países não afetados. 3. Mercados internacionais A decisão pode gerar atritos comerciais com parceiros e provocar ajustes em bolsas e moedas, diante da expectativa de novos desdobramentos protecionistas.
I'm not bullish rightnow market will correct itself and continue the trend what's your thoughts on it Will market pump or dump ??? #MarketPullback May be I can be wrong!