Binance Square
NextCryptoMove
401 Posts

NextCryptoMove

Catch the next move before the crowd. Daily high-probability setups 📊. Clean entries • Clear targets • Strict risk • TP1 hit? SL moves to entry.
High-Frequency Trader
4.2 Years
1 Following
93 Followers
232 Liked
Posts
PINNED
·
--
Article
Is This the Next Alt Season… or Just Another Trap?Everyone is whispering it again. Alts pumping. $ETH outrunning $BTC for a few days. TOTAL2 jumping. Some coins ripping 20%+. Feels like the rotation is finally here. But look closer. Bitcoin dominance is still glued near 59-60%. Altcoin Season Index is sitting in the low 30s to mid-40s — nowhere near the 75 mark that actually confirms a real alt season. What we just saw was a sharp bounce, not a full capital rotation. Bitcoin still owns the market. Most alts are still underperforming BTC over the longer 90-day window that actually matters. This is the classic setup where retail gets excited, piles into random mid- and small-caps, and then gets smoked when BTC resumes control or the market cools. Real alt season needs three things at once: Sustained drop in BTC dominanceIndex staying above 75 for weeksBroad participation, not just a handful of names Right now we have none of those locked in. Selective strength is real. Some narratives and relative-strength names can still run hard. But calling this “alt season is here” is how people lose money. Watch dominance and the index. Until those break, treat every alt pump as temporary until proven otherwise. Stay sharp. The real move will show itself in the data, not the timeline. #BTC #SKR #ARB #crv #flr

Is This the Next Alt Season… or Just Another Trap?

Everyone is whispering it again.
Alts pumping. $ETH outrunning $BTC for a few days. TOTAL2 jumping. Some coins ripping 20%+. Feels like the rotation is finally here.
But look closer.
Bitcoin dominance is still glued near 59-60%.
Altcoin Season Index is sitting in the low 30s to mid-40s — nowhere near the 75 mark that actually confirms a real alt season.
What we just saw was a sharp bounce, not a full capital rotation. Bitcoin still owns the market. Most alts are still underperforming BTC over the longer 90-day window that actually matters.
This is the classic setup where retail gets excited, piles into random mid- and small-caps, and then gets smoked when BTC resumes control or the market cools.
Real alt season needs three things at once:
Sustained drop in BTC dominanceIndex staying above 75 for weeksBroad participation, not just a handful of names
Right now we have none of those locked in.
Selective strength is real. Some narratives and relative-strength names can still run hard. But calling this “alt season is here” is how people lose money.
Watch dominance and the index. Until those break, treat every alt pump as temporary until proven otherwise.
Stay sharp. The real move will show itself in the data, not the timeline.
#BTC #SKR #ARB #crv #flr
🚀 $USELESS — ATH NEXT? $USELESS is showing the kind of momentum that makes traders ask one question: Can it make a new ATH? 👀 The important part is that we’re not just looking at the pump. If price keeps holding higher lows and buyers continue defending pullbacks, the current structure can support another push toward the previous ATH — and potentially a breakout into price discovery. But there’s a catch. ⚠️ A clean rejection at the ATH followed by a loss of key support could turn this into a liquidity sweep instead of a breakout. So I’m watching: 🟢 Higher lows + strong volume → ATH breakout potential 🟡 ATH test + rejection → expect a pullback 🔴 Support breakdown → bullish thesis weakens ATH is possible. Guaranteed? Never. The real signal will come from how $USELESS behaves when it reaches the previous high. Would you trade the ATH breakout or wait for the pullback? 👇 #useless #ETH #sol #DOGE
🚀 $USELESS — ATH NEXT?

$USELESS is showing the kind of momentum that makes traders ask one question:

Can it make a new ATH? 👀

The important part is that we’re not just looking at the pump.

If price keeps holding higher lows and buyers continue defending pullbacks, the current structure can support another push toward the previous ATH — and potentially a breakout into price discovery.

But there’s a catch. ⚠️

A clean rejection at the ATH followed by a loss of key support could turn this into a liquidity sweep instead of a breakout.

So I’m watching:

🟢 Higher lows + strong volume → ATH breakout potential
🟡 ATH test + rejection → expect a pullback
🔴 Support breakdown → bullish thesis weakens

ATH is possible. Guaranteed? Never.

The real signal will come from how $USELESS behaves when it reaches the previous high.

Would you trade the ATH breakout or wait for the pullback? 👇

#useless #ETH #sol #DOGE
🟢 $HEMI — LONG [Pullback] Trade Here $HEMI {future}(HEMIUSDT) Reason: Explosive volume expansion with a clean 1H breakout, rising participation and strong relative strength makes HEMI the strongest non-chase setup in the current mover scan. Liquidity / FVG: $0.01900–$0.01940 demand/retest zone; upside liquidity $0.02120–$0.02500. Entry Zone: 0.01900 – 0.01940 Targets: TP1 0.02120 → Secure 40% TP2 0.02300 → Secure 40% TP3 0.02500 → Leave 20% runner Stop Loss: 0.01820 R:R: 1:2.2 Leverage: Up to 5x Risk: ≤1% Invalidation: 15M acceptance below $0.01820 invalidates the bullish structure. #HEMI #AKE #BULLA
🟢 $HEMI — LONG [Pullback]

Trade Here $HEMI

Reason:
Explosive volume expansion with a clean 1H breakout, rising participation and strong relative strength makes HEMI the strongest non-chase setup in the current mover scan.

Liquidity / FVG:
$0.01900–$0.01940 demand/retest zone; upside liquidity $0.02120–$0.02500.

Entry Zone: 0.01900 – 0.01940

Targets:
TP1 0.02120 → Secure 40%
TP2 0.02300 → Secure 40%
TP3 0.02500 → Leave 20% runner

Stop Loss: 0.01820
R:R: 1:2.2
Leverage: Up to 5x
Risk: ≤1%

Invalidation:
15M acceptance below $0.01820 invalidates the bullish structure.

#HEMI #AKE #BULLA
Executed our strategy to precision on $UAI —swept the liquidity, respected the invalidation, and expanded straight through every target level. Trade Here $UAI {future}(UAIUSDT) Lock in those gains, drag stop-losses up to entry or profit, and protect your equity. Never let a winning trade turn green to red. Did you bag this short setup with us? Drop your PnL or entry points below! 👇 #UAI #EGLD #ARB #PYTH #SKR
Executed our strategy to precision on $UAI —swept the liquidity, respected the invalidation, and expanded straight through every target level.

Trade Here $UAI

Lock in those gains, drag stop-losses up to entry or profit, and protect your equity.

Never let a winning trade turn green to red.

Did you bag this short setup with us? Drop your PnL or entry points below! 👇

#UAI #EGLD #ARB #PYTH #SKR
NextCryptoMove
·
--
🔴 $UAI — SHORT / Liquidity Sweep Reversal



Reason:
UAI is up ~48% in 24H after an extreme vertical expansion, while 1H RSI is 82.7 and funding has surged to +0.0545% per 8H. Open interest has risen from ~34.0M to ~39.9M UAI during the latest rally, showing aggressive new positioning. The strongest asymmetric opportunity is a confirmed sweep of the 0.6000–0.6062 high followed by rejection — not a market short.

Liquidity / FVG:
Buy-side liquidity: 0.5999–0.6062
Major resistance: 0.6000–0.6062
Secondary invalidation: 0.6190
Downside liquidity / imbalance: 0.5700 → 0.5500 → 0.5200
Major prior breakout area: 0.493–0.510

Entry Zone:
0.6000–0.6060

Targets:
TP1 → 0.5700 — Secure 40%
TP2 → 0.5500 — Secure 40%
TP3 → 0.5200 — Leave 20% runner

Stop Loss:
0.6190

R:R: 1:5.6
Leverage:Up to 5x
Risk:≤1%

Invalidation:
15M acceptance above 0.6190 with expanding volume invalidates the short thesis and indicates continuation rather than exhaustion.

Hashtags:
#UAI #MAGMA #UNI #FIL #chip
🔴 $T — SHORT [Liquidity Sweep] Trade Here $T {future}(TUSDT) Reason: Breakdown below $0.00476 with weakening momentum and trapped-long pressure keeps the bearish continuation thesis active, but the entry must come on a controlled retest. Liquidity / FVG: $0.00476–$0.00490 supply/retest zone; downside liquidity $0.00435–$0.00400. Entry Zone: 0.00472 – 0.00482 Targets: TP1 0.00435 → Secure 40% TP2 0.00405 → Secure 40% TP3 0.00375 → Leave 20% runner Stop Loss: 0.00535 R:R: 1:2.4 Leverage: Up to 5x Risk: ≤1% Invalidation: 5M/15M acceptance above $0.00535 invalidates the bearish structure. #T #KİTE #EGLD #ROSE #xvg
🔴 $T — SHORT [Liquidity Sweep]

Trade Here $T

Reason:
Breakdown below $0.00476 with weakening momentum and trapped-long pressure keeps the bearish continuation thesis active, but the entry must come on a controlled retest.

Liquidity / FVG:
$0.00476–$0.00490 supply/retest zone; downside liquidity $0.00435–$0.00400.

Entry Zone: 0.00472 – 0.00482

Targets:
TP1 0.00435 → Secure 40%
TP2 0.00405 → Secure 40%
TP3 0.00375 → Leave 20% runner

Stop Loss: 0.00535

R:R: 1:2.4
Leverage: Up to 5x
Risk: ≤1%

Invalidation:
5M/15M acceptance above $0.00535 invalidates the bearish structure.

#T #KİTE #EGLD #ROSE #xvg
🔴 $WAL — SHORT [Liquidity Sweep] Trade Here $WAL {future}(WALUSDT) Reason: WAL is repeatedly rejecting the 0.0257–0.0260 liquidity ceiling while top-trader flow is heavily sell-biased and the broader setup is vulnerable to a long squeeze. Liquidity / FVG: 0.02560 – 0.02600 supply / buy-side liquidity sweep zone Entry Zone: 0.02545 – 0.02575 Targets: TP1 0.02470 → Secure 40% TP2 0.02410 → Secure 40% TP3 0.02350 → Leave 20% runner Stop Loss: 0.02625 R:R: 1:2.2 Leverage: Up to 5x Risk: ≤1% Invalidation: 15M acceptance above 0.02625 invalidates the short thesis. #WAL #POLYX #T
🔴 $WAL — SHORT [Liquidity Sweep]

Trade Here $WAL


Reason:
WAL is repeatedly rejecting the 0.0257–0.0260 liquidity ceiling while top-trader flow is heavily sell-biased and the broader setup is vulnerable to a long squeeze.

Liquidity / FVG:
0.02560 – 0.02600 supply / buy-side liquidity sweep zone

Entry Zone: 0.02545 – 0.02575

Targets:
TP1 0.02470 → Secure 40%
TP2 0.02410 → Secure 40%
TP3 0.02350 → Leave 20% runner

Stop Loss: 0.02625

R:R: 1:2.2
Leverage: Up to 5x
Risk: ≤1%

Invalidation:
15M acceptance above 0.02625 invalidates the short thesis.

#WAL #POLYX #T
🟢 $APT — LONG [Pullback] Trade Here $APT {future}(APTUSDT) Reason: APT is holding relative strength while the broader market remains weak; the long is valid only if buyers defend the pullback and reclaim short-term resistance. Liquidity / FVG: 0.5520 – 0.5560 demand / FVG zone Entry Zone: 0.5530 – 0.5570 Targets: TP1 0.5650 → Secure 40% TP2 0.5750 → Secure 40% TP3 0.5900 → Leave 20% runner Stop Loss: 0.5470 R:R: 1:2.2 Leverage: Up to 5x Risk: ≤1% Invalidation: 5M/15M acceptance below 0.5470 or a decisive loss of the 0.5520 demand zone invalidates the long thesis. #APT #POLYX #T #FF
🟢 $APT — LONG [Pullback]

Trade Here $APT


Reason:
APT is holding relative strength while the broader market remains weak; the long is valid only if buyers defend the pullback and reclaim short-term resistance.

Liquidity / FVG:
0.5520 – 0.5560 demand / FVG zone

Entry Zone: 0.5530 – 0.5570

Targets:
TP1 0.5650 → Secure 40%
TP2 0.5750 → Secure 40%
TP3 0.5900 → Leave 20% runner

Stop Loss: 0.5470

R:R: 1:2.2
Leverage: Up to 5x
Risk: ≤1%

Invalidation:
5M/15M acceptance below 0.5470 or a decisive loss of the 0.5520 demand zone invalidates the long thesis.

#APT #POLYX #T #FF
$UNI signal from 3 days ago — all targets hit. 🎯🔥 {future}(UNIUSDT) Congratulations to everyone who followed the setup and managed the trade properly. The price moved through every target we mapped out. This is why patience and a clear plan matter. Take profits when the market gives them to you and protect your capital. Who caught this $UNI move with us? 👇
$UNI signal from 3 days ago — all targets hit. 🎯🔥


Congratulations to everyone who followed the setup and managed the trade properly. The price moved through every target we mapped out.

This is why patience and a clear plan matter. Take profits when the market gives them to you and protect your capital.

Who caught this $UNI move with us? 👇
NextCryptoMove
·
--
🟢 $UNI — LONG [Breakout Continuation / Relative Strength]



Reason:
Price expanded 15%+ with rising OI, heavy short liquidations, and clear relative strength versus BTC while holding above key 4H EMAs. Momentum remains constructive on higher timeframes with buyers still absorbing.

Liquidity / FVG:
Nearest demand/FVG zone sits 4.95–5.05 (prior breakout structure + unfilled imbalance). Liquidity cluster above at 5.45–5.55.

Entry Zone: 5.02 – 5.12

Targets:
TP1 5.35 → Secure 40%
TP2 5.48 → Secure 40%
TP3 5.75 → Leave 20% runner

Stop Loss: 4.88

R:R: 1:2.8
Leverage: Up to 5x
Risk: ≤1%

Invalidation:
4H close below 4.88 or loss of the recent higher-low structure with volume expansion to the downside.

#UNI #SKR #HEMI #zora #Flock
🔴 $MINA — SHORT [Liquidity Sweep Reversal] {future}(MINAUSDT) Reason: MINA is rejecting the 0.0718–0.0731 supply zone with a sharp high-volume selloff, while BTC is weakening and open interest is falling; the strongest asymmetric setup is a relief bounce into broken support before continuation lower. Liquidity / FVG: 0.0705–0.0713 supply/retest zone; upside liquidity sits above 0.0718–0.0731, while downside liquidity is clustered near 0.0671 and 0.0655. Entry Zone: 0.07050 – 0.07130 Targets: TP1 0.06710 → Secure 40% TP2 0.06550 → Secure 40% TP3 0.06350 → Leave 20% runner Stop Loss: 0.07230 R:R: 1:2.5 Leverage: Up to 5x Risk: ≤1% Invalidation: 15M/1H acceptance above 0.07230 and reclaim of 0.07310, invalidating the bearish rejection thesis. #MINA #T #ff #CELO #ROSE
🔴 $MINA — SHORT [Liquidity Sweep Reversal]


Reason:
MINA is rejecting the 0.0718–0.0731 supply zone with a sharp high-volume selloff, while BTC is weakening and open interest is falling; the strongest asymmetric setup is a relief bounce into broken support before continuation lower.

Liquidity / FVG:
0.0705–0.0713 supply/retest zone; upside liquidity sits above 0.0718–0.0731, while downside liquidity is clustered near 0.0671 and 0.0655.

Entry Zone: 0.07050 – 0.07130

Targets:
TP1 0.06710 → Secure 40%
TP2 0.06550 → Secure 40%
TP3 0.06350 → Leave 20% runner

Stop Loss: 0.07230

R:R: 1:2.5
Leverage: Up to 5x
Risk: ≤1%

Invalidation:
15M/1H acceptance above 0.07230 and reclaim of 0.07310, invalidating the bearish rejection thesis.

#MINA #T #ff #CELO #ROSE
🟢 $FIL — LONG [Pullback Continuation] {future}(FILUSDT) Reason: FIL is showing exceptional relative strength while BTC is weak, with a high-volume breakout holding above the 0.76–0.77 area; the asymmetric entry is a controlled pullback rather than chasing the current expansion. Liquidity / FVG: 0.7750–0.7850 breakout-retest demand/FVG; upside liquidity sits around 0.8055–0.8200, then 0.8580–0.9000. Entry Zone: 0.7750 – 0.7850 Targets: TP1 0.8200 → Secure 40% TP2 0.8580 → Secure 40% TP3 0.9000 → Leave 20% runner Stop Loss: 0.7580 R:R: 1:2.5 Leverage: Up to 5x Risk: ≤1% Invalidation: 15M/1H acceptance below 0.7580 or failure to hold the breakout-retest zone, especially if BTC continues accelerating lower. #fil #T #ff #CELO #G
🟢 $FIL — LONG [Pullback Continuation]


Reason:
FIL is showing exceptional relative strength while BTC is weak, with a high-volume breakout holding above the 0.76–0.77 area; the asymmetric entry is a controlled pullback rather than chasing the current expansion.

Liquidity / FVG:
0.7750–0.7850 breakout-retest demand/FVG; upside liquidity sits around 0.8055–0.8200, then 0.8580–0.9000.

Entry Zone: 0.7750 – 0.7850

Targets:
TP1 0.8200 → Secure 40%
TP2 0.8580 → Secure 40%
TP3 0.9000 → Leave 20% runner

Stop Loss: 0.7580

R:R: 1:2.5
Leverage: Up to 5x
Risk: ≤1%

Invalidation:
15M/1H acceptance below 0.7580 or failure to hold the breakout-retest zone, especially if BTC continues accelerating lower.

#fil #T #ff #CELO #G
🔴 $USELESS — SHORT [Liquidity Sweep Reversal] {future}(USELESSUSDT) Reason: USELESS has rejected 0.1188–0.1260 and fallen nearly 20%, while OI collapsed from ~146.7M to ~131.3M contracts; the better asymmetric trade is a relief bounce into broken support, then renewed rejection rather than chasing the liquidation leg. Liquidity / FVG: 0.1060–0.1100 supply/retest zone; upside liquidity sits at 0.1130–0.1188, while downside liquidity is clustered around 0.0990, 0.0920 and 0.0850. Entry Zone: 0.1060 – 0.1100 Targets: TP1 0.0990 → Secure 40% TP2 0.0920 → Secure 40% TP3 0.0850 → Leave 20% runner Stop Loss: 0.1150 R:R: 1:2.5 Leverage: Up to 5x Risk: ≤1% Invalidation: 15M/1H acceptance above 0.1150, with a clean reclaim of 0.1188 invalidating the bearish rejection thesis. #USELESS #T #ff #G #CELO
🔴 $USELESS — SHORT [Liquidity Sweep Reversal]


Reason:
USELESS has rejected 0.1188–0.1260 and fallen nearly 20%, while OI collapsed from ~146.7M to ~131.3M contracts; the better asymmetric trade is a relief bounce into broken support, then renewed rejection rather than chasing the liquidation leg.

Liquidity / FVG:
0.1060–0.1100 supply/retest zone; upside liquidity sits at 0.1130–0.1188, while downside liquidity is clustered around 0.0990, 0.0920 and 0.0850.

Entry Zone: 0.1060 – 0.1100

Targets:
TP1 0.0990 → Secure 40%
TP2 0.0920 → Secure 40%
TP3 0.0850 → Leave 20% runner

Stop Loss: 0.1150

R:R: 1:2.5
Leverage: Up to 5x
Risk: ≤1%

Invalidation:
15M/1H acceptance above 0.1150, with a clean reclaim of 0.1188 invalidating the bearish rejection thesis.

#USELESS #T #ff #G #CELO
🔴 $UAI — SHORT / Liquidity Sweep Reversal {future}(UAIUSDT) Reason: UAI is up ~48% in 24H after an extreme vertical expansion, while 1H RSI is 82.7 and funding has surged to +0.0545% per 8H. Open interest has risen from ~34.0M to ~39.9M UAI during the latest rally, showing aggressive new positioning. The strongest asymmetric opportunity is a confirmed sweep of the 0.6000–0.6062 high followed by rejection — not a market short. Liquidity / FVG: Buy-side liquidity: 0.5999–0.6062 Major resistance: 0.6000–0.6062 Secondary invalidation: 0.6190 Downside liquidity / imbalance: 0.5700 → 0.5500 → 0.5200 Major prior breakout area: 0.493–0.510 Entry Zone: 0.6000–0.6060 Targets: TP1 → 0.5700 — Secure 40% TP2 → 0.5500 — Secure 40% TP3 → 0.5200 — Leave 20% runner Stop Loss: 0.6190 R:R: 1:5.6 Leverage:Up to 5x Risk:≤1% Invalidation: 15M acceptance above 0.6190 with expanding volume invalidates the short thesis and indicates continuation rather than exhaustion. Hashtags: #UAI #MAGMA #UNI #FIL #chip
🔴 $UAI — SHORT / Liquidity Sweep Reversal


Reason:
UAI is up ~48% in 24H after an extreme vertical expansion, while 1H RSI is 82.7 and funding has surged to +0.0545% per 8H. Open interest has risen from ~34.0M to ~39.9M UAI during the latest rally, showing aggressive new positioning. The strongest asymmetric opportunity is a confirmed sweep of the 0.6000–0.6062 high followed by rejection — not a market short.

Liquidity / FVG:
Buy-side liquidity: 0.5999–0.6062
Major resistance: 0.6000–0.6062
Secondary invalidation: 0.6190
Downside liquidity / imbalance: 0.5700 → 0.5500 → 0.5200
Major prior breakout area: 0.493–0.510

Entry Zone:
0.6000–0.6060

Targets:
TP1 → 0.5700 — Secure 40%
TP2 → 0.5500 — Secure 40%
TP3 → 0.5200 — Leave 20% runner

Stop Loss:
0.6190

R:R: 1:5.6
Leverage:Up to 5x
Risk:≤1%

Invalidation:
15M acceptance above 0.6190 with expanding volume invalidates the short thesis and indicates continuation rather than exhaustion.

Hashtags:
#UAI #MAGMA #UNI #FIL #chip
$ARB short signal delivered — both targets hit. 🎯📉 {future}(ARBUSDT) Price moved down exactly where we wanted, TP1 and TP2 were fully secured, and then ARB reversed upward. That’s why taking profit into the move matters. Hope you all secured your profits before the reversal. 🤝 Did you catch this $ARB short? 👇 #ARB #G #Dogs #HEMI #DASH
$ARB short signal delivered — both targets hit. 🎯📉


Price moved down exactly where we wanted, TP1 and TP2 were fully secured, and then ARB reversed upward. That’s why taking profit into the move matters.

Hope you all secured your profits before the reversal. 🤝

Did you catch this $ARB short? 👇

#ARB #G #Dogs #HEMI #DASH
NextCryptoMove
·
--
🔴 $ARB — SHORT [Liquidity Sweep / Failed Breakout]



Reason:
ARB is up ~30% in 24h but is now rejecting the 0.1201 high; aggressive long positioning is building while taker selling dominates the latest candles, creating a high-quality short only if the 0.1128–0.1135 rebound fails.

Liquidity / FVG:
Buy-side liquidity: 0.1145 → 0.1201
Immediate supply: 0.1128 – 0.1135
Sell-side liquidity: 0.1090 → 0.1055 → 0.1015

Entry Zone: 0.1128 – 0.1135

Targets:
TP1 0.1090 → Secure 40%
TP2 0.1055 → Secure 40%
TP3 0.1015 → Leave 20% runner

Stop Loss: 0.1150

R:R: 1:2.0 / 1:3.75 / 1:5.75
Leverage: Up to 5x
Risk: ≤1%

Invalidation:
1H acceptance above 0.1150, especially with strong volume, invalidates the SHORT thesis.

#ARB #Ong #Bonk #sushi #ar
$CRV just delivered — TP1 and TP2 fully hit, with TP3 partially reached. 🎯📉 {future}(CRVUSDT) The move played out cleanly and gave us solid room to secure profits along the way. If you’re still holding the remaining position, protect what’s already been earned and don’t let a winning trade turn into a loss. How far did you ride this $CRV move? 👇 #crv #fil #icp #APT #SEİ
$CRV just delivered — TP1 and TP2 fully hit, with TP3 partially reached. 🎯📉


The move played out cleanly and gave us solid room to secure profits along the way. If you’re still holding the remaining position, protect what’s already been earned and don’t let a winning trade turn into a loss.

How far did you ride this $CRV move? 👇

#crv #fil #icp #APT #SEİ
NextCryptoMove
·
--
🟢 $CRV — LONG [Pullback / Breakout Continuation]



Reason:
CRV's 1H trend is strongly bullish (ADX 49.9) and price is holding well above VWAP while the recent pullback is absorbing near 0.35; the best asymmetric entry is a controlled dip into support followed by a reclaim, not chasing the 14.6% daily expansion.

Liquidity / FVG:
Demand / reclaim zone: 0.3465 – 0.3500
Upside liquidity: 0.3600 → 0.3624 → 0.3700+
Key support: 0.3420 – 0.3450

Entry Zone: 0.3465 – 0.3500

Targets:
TP1 0.3600 → Secure 40%
TP2 0.3670 → Secure 40%
TP3 0.3770 → Leave 20% runner

Stop Loss: 0.3415

R:R: 1:1.7 / 1:2.6 / 1:3.9
Leverage: Up to 5x
Risk: ≤1%

Invalidation:
1H acceptance below 0.3415 with expanding sell volume invalidates the LONG thesis.

#CRV #ARB #SOMI #Bonk #ont
$JUP just reached our first target. 🎯 {future}(JUPUSDT) Secure around 40% profit here and move your SL to entry. The trade has already paid — now protect the position and let the rest run. Don’t turn a winning trade into a losing one. 📈 Who’s still holding the remaining position? #JUP #fil #ff #Syrup #ICP
$JUP just reached our first target. 🎯


Secure around 40% profit here and move your SL to entry. The trade has already paid — now protect the position and let the rest run.

Don’t turn a winning trade into a losing one. 📈

Who’s still holding the remaining position?

#JUP #fil #ff #Syrup #ICP
NextCryptoMove
·
--
🔴 $JUP — SHORT [Liquidity Sweep / Reversal]



Reason:
JUP is rejecting the 0.223–0.2276 supply area after a strong 24h expansion, while top-trader positioning is heavily long (~66.3%) and funding is positive; the asymmetric edge is a failed reclaim that traps late longs.

Liquidity / FVG:
Supply / liquidity: 0.2230 – 0.2276
Sell-side liquidity: 0.2140 → 0.2080 → 0.2015
Major invalidation: 0.2295

Entry Zone: 0.2220 – 0.2250

Targets:
TP1 0.2145 → Secure 40%
TP2 0.2085 → Secure 40%
TP3 0.2020 → Leave 20% runner

Stop Loss: 0.2295

R:R: 1:1.5 / 1:2.5 / 1:3.6
Leverage: Up to 5x
Risk: ≤1%

Invalidation:
1H acceptance above 0.2295 with strong buying volume invalidates the SHORT thesis.

#JUP #SC #TWT #prom #ZKC
$USELESS played out beautifully on the short side. 📉🎯 {future}(USELESSUSDT) Price came down, hit both of our first two targets, and then pushed very close to TP3 before reversing upward. Hope you all secured your profits along the way. That’s exactly why partial profit-taking matters — when the market gives you the move, protect it. Did you secure TP1 and TP2? 👇 #useless #fil #ff #Syrup #icp
$USELESS played out beautifully on the short side. 📉🎯


Price came down, hit both of our first two targets, and then pushed very close to TP3 before reversing upward.

Hope you all secured your profits along the way. That’s exactly why partial profit-taking matters — when the market gives you the move, protect it.

Did you secure TP1 and TP2? 👇

#useless #fil #ff #Syrup #icp
NextCryptoMove
·
--
🔴 $USELESS — SHORT [Liquidity Sweep / Reversal]



Reason:
USELESS has rallied ~43% in 24h into the 0.09725 high, but the latest push is losing momentum while OI has surged from ~98.5M to ~110.0M contracts; the asymmetric short appears only if the 0.0960–0.0972 liquidity is swept and rejected, trapping late longs.

Liquidity / FVG:
Upper liquidity / supply: 0.0960 – 0.0973
Sell-side liquidity: 0.0925 → 0.0900 → 0.0865
Major reclaim/invalidation: 0.0982

Entry Zone: 0.0960 – 0.0972

Targets:
TP1 0.0925 → Secure 40%
TP2 0.0895 → Secure 40%
TP3 0.0865 → Leave 20% runner

Stop Loss: 0.0984

R:R: 1:1.7 / 1:2.5 / 1:3.5
Leverage: Up to 5x
Risk: ≤1%

Invalidation:
15m/1H acceptance above 0.0984 with strong buying volume invalidates the SHORT thesis.

#useless #SC #TWT #crv #ARB
$OP just hit TP2. 🎯📈 {future}(OPUSDT) The setup played out cleanly — entry respected, momentum followed through, and both targets have now been reached. If you’re still holding the runner, protect the position and don’t give back an easy win. Move SL up and let the rest work. Who caught this $OP move with us? 👇 #OP #fil #ff #Syrup #icp
$OP just hit TP2. 🎯📈


The setup played out cleanly — entry respected, momentum followed through, and both targets have now been reached.

If you’re still holding the runner, protect the position and don’t give back an easy win. Move SL up and let the rest work.

Who caught this $OP move with us? 👇

#OP #fil #ff #Syrup #icp
NextCryptoMove
·
--
🟢 $OP — LONG [Pullback / Breakout Continuation]



Reason:
OP has shifted into a strong intraday expansion: price is holding above the 15m EMA/VWAP with ADX ~59, while the latest pullback came on heavy volume and OI has started cooling from the spike — creating a cleaner long-after-retest structure instead of chasing the breakout.

Liquidity / FVG:
Demand / retest zone: 0.0932 – 0.0942
Upside liquidity: 0.0982 → 0.1015 → 0.1050
Major invalidation zone: 0.0905 – 0.0910

Entry Zone: 0.0932 – 0.0942

Targets:
TP1 0.0982 → Secure 40%
TP2 0.1015 → Secure 40%
TP3 0.1050 → Leave 20% runner

Stop Loss: 0.0906

R:R: 1:1.4 / 1:2.4 / 1:3.4
Leverage: Up to 5x
Risk: ≤1%

Invalidation:
1H acceptance below 0.0906 with expanding sell volume invalidates the LONG thesis.

#OP #SC #Linea #ARB #strk
🟢 $COLLECT — LONG [Breakout Continuation / Pullback] {future}(COLLECTUSDT) Reason: COLLECT is quietly building above a multi-day breakout base while volume has expanded sharply and price is holding near the breakout high; the asymmetric opportunity is a controlled retest of 0.0770–0.0780, where continuation could target the next liquidity pocket. Liquidity / FVG: Demand / breakout-retest: 0.0768 – 0.0780 Upside liquidity: 0.0800 → 0.0840 → 0.0900 Major invalidation zone: 0.0740 Entry Zone: 0.0768 – 0.0780 Targets: TP1 0.0840 → Secure 40% TP2 0.0900 → Secure 40% TP3 0.0980 → Leave 20% runner Stop Loss: 0.0744 R:R: 1:1.9 / 1:3.7 / 1:6.7 Leverage: Up to 5x Risk: ≤1% Invalidation: 1H acceptance below 0.0744 with expanding sell volume invalidates the LONG thesis. #collect #ar #Hive #ZK #jasmy
🟢 $COLLECT — LONG [Breakout Continuation / Pullback]


Reason:
COLLECT is quietly building above a multi-day breakout base while volume has expanded sharply and price is holding near the breakout high; the asymmetric opportunity is a controlled retest of 0.0770–0.0780, where continuation could target the next liquidity pocket.

Liquidity / FVG:
Demand / breakout-retest: 0.0768 – 0.0780
Upside liquidity: 0.0800 → 0.0840 → 0.0900
Major invalidation zone: 0.0740

Entry Zone: 0.0768 – 0.0780

Targets:
TP1 0.0840 → Secure 40%
TP2 0.0900 → Secure 40%
TP3 0.0980 → Leave 20% runner

Stop Loss: 0.0744

R:R: 1:1.9 / 1:3.7 / 1:6.7
Leverage: Up to 5x
Risk: ≤1%

Invalidation:
1H acceptance below 0.0744 with expanding sell volume invalidates the LONG thesis.

#collect #ar #Hive #ZK #jasmy
🟢 $MINA — LONG [Breakout Continuation / Pullback] {future}(MINAUSDT) Reason: MINA has broken out of a long 4H compression with expanding volume and rising OI, while taker buying remains dominant and funding is still negative — a combination that can fuel continuation if the breakout retest holds. Liquidity / FVG: Breakout-retest demand: 0.0698 – 0.0705 Upside liquidity: 0.0765 → 0.0815 → 0.0880 Major support: 0.0675 Entry Zone: 0.0698 – 0.0705 Targets: TP1 0.0765 → Secure 40% TP2 0.0815 → Secure 40% TP3 0.0880 → Leave 20% runner Stop Loss: 0.0675 R:R: 1:2.0 / 1:3.8 / 1:5.6 Leverage: Up to 5x Risk: ≤1% Invalidation: 1H acceptance below 0.0675 with expanding selling volume invalidates the LONG thesis. #mina #useless #ARB #crv #tia
🟢 $MINA — LONG [Breakout Continuation / Pullback]


Reason:
MINA has broken out of a long 4H compression with expanding volume and rising OI, while taker buying remains dominant and funding is still negative — a combination that can fuel continuation if the breakout retest holds.

Liquidity / FVG:
Breakout-retest demand: 0.0698 – 0.0705
Upside liquidity: 0.0765 → 0.0815 → 0.0880
Major support: 0.0675

Entry Zone: 0.0698 – 0.0705

Targets:
TP1 0.0765 → Secure 40%
TP2 0.0815 → Secure 40%
TP3 0.0880 → Leave 20% runner

Stop Loss: 0.0675

R:R: 1:2.0 / 1:3.8 / 1:5.6
Leverage: Up to 5x
Risk: ≤1%

Invalidation:
1H acceptance below 0.0675 with expanding selling volume invalidates the LONG thesis.

#mina #useless #ARB #crv #tia
🔴 $ARB — SHORT [Liquidity Sweep / Failed Breakout] {future}(ARBUSDT) Reason: ARB is up ~30% in 24h but is now rejecting the 0.1201 high; aggressive long positioning is building while taker selling dominates the latest candles, creating a high-quality short only if the 0.1128–0.1135 rebound fails. Liquidity / FVG: Buy-side liquidity: 0.1145 → 0.1201 Immediate supply: 0.1128 – 0.1135 Sell-side liquidity: 0.1090 → 0.1055 → 0.1015 Entry Zone: 0.1128 – 0.1135 Targets: TP1 0.1090 → Secure 40% TP2 0.1055 → Secure 40% TP3 0.1015 → Leave 20% runner Stop Loss: 0.1150 R:R: 1:2.0 / 1:3.75 / 1:5.75 Leverage: Up to 5x Risk: ≤1% Invalidation: 1H acceptance above 0.1150, especially with strong volume, invalidates the SHORT thesis. #ARB #Ong #Bonk #sushi #ar
🔴 $ARB — SHORT [Liquidity Sweep / Failed Breakout]


Reason:
ARB is up ~30% in 24h but is now rejecting the 0.1201 high; aggressive long positioning is building while taker selling dominates the latest candles, creating a high-quality short only if the 0.1128–0.1135 rebound fails.

Liquidity / FVG:
Buy-side liquidity: 0.1145 → 0.1201
Immediate supply: 0.1128 – 0.1135
Sell-side liquidity: 0.1090 → 0.1055 → 0.1015

Entry Zone: 0.1128 – 0.1135

Targets:
TP1 0.1090 → Secure 40%
TP2 0.1055 → Secure 40%
TP3 0.1015 → Leave 20% runner

Stop Loss: 0.1150

R:R: 1:2.0 / 1:3.75 / 1:5.75
Leverage: Up to 5x
Risk: ≤1%

Invalidation:
1H acceptance above 0.1150, especially with strong volume, invalidates the SHORT thesis.

#ARB #Ong #Bonk #sushi #ar
Log in to explore more content
Join global crypto users on Binance Square
⚡️ Get latest and useful information about crypto.
💬 Trusted by the world’s largest crypto exchange.
👍 Discover real insights from verified creators.
Email / Phone number
Sitemap
Cookie Preferences
Platform T&Cs