๐ $HEMI /USDT: Analysis and Trading Plan
The pair $HEMI/USDT showed a strong momentum to $0.01249โ$0.01287, after which it went for local cooling and profit-taking.
๐ Key metrics:
Volumes and CVD: Spot CVD remains negative (-4M), which indicates growth mainly due to futures leverage.
Whale positions: Large players hold profitable longs from $0.00807 (unrealized PnL >$2.5M), but partial unloading is recorded at local peaks ($380K sell vs. $214K buy per hour).
Sentiment: Short prevails by accounts (52.9%), but by position volumes 68.34% is in longs.
๐ฆTrading Scenarios:
๐ข LONG (Entry on pullback)
Zone: $0.01080 โ $0.01090 (retest of support / High Volume Node)
Targets: $0.01200 / $0.01280
Stop-Loss: $0.01040
๐ด SHORT (Working from resistance)
Zone: $0.01220 โ $0.01250 (with buyer weakness near the highs)
Targets: $0.01130 / $0.01080
Stop-Loss: $0.01295
โ ๏ธ Risk Management: Increased volatility. Do not exceed 1โ2% risk per trade!
The pair $HEMI/USDT showed a strong momentum to $0.01249โ$0.01287, after which it went for local cooling and profit-taking.
๐ Key metrics:
Volumes and CVD: Spot CVD remains negative (-4M), which indicates growth mainly due to futures leverage.
Whale positions: Large players hold profitable longs from $0.00807 (unrealized PnL >$2.5M), but partial unloading is recorded at local peaks ($380K sell vs. $214K buy per hour).
Sentiment: Short prevails by accounts (52.9%), but by position volumes 68.34% is in longs.
๐ฆTrading Scenarios:
๐ข LONG (Entry on pullback)
Zone: $0.01080 โ $0.01090 (retest of support / High Volume Node)
Targets: $0.01200 / $0.01280
Stop-Loss: $0.01040
๐ด SHORT (Working from resistance)
Zone: $0.01220 โ $0.01250 (with buyer weakness near the highs)
Targets: $0.01130 / $0.01080
Stop-Loss: $0.01295
โ ๏ธ Risk Management: Increased volatility. Do not exceed 1โ2% risk per trade!



