Based on the $RVN USDT Perpetual chart (Timeframe 4H), the market is undergoing a highly aggressive bearish breakdown, with a drop of -20.24% within a single 4-hour candle, accompanied by a high volume spike indicating massive liquidations.
Technical Analysis (4H)
* Main Trend: Strongly Bearish (breaks through the consolidation area 0.003000–0.003100).
* Moving Average Indicators: Price is far below the MA/EMA lines (orange & purple), indicating an oversold condition in the short term.
* Price Structure: Opens at a new local low. Chasing a Short position at the bottom of the large red candle is high risk for a dead cat bounce (a temporary price rebound). The best approach is to wait for a retest into the nearest resistance area.
Professional Trading Signal: RVNUSDT (Perpetual)
| Parameter | Value / Area |
| Signal Bias / Type | SHORT (Sell on Retest) |
| Entry Area | 0.002680 – 0.002800 (Wait for correction/retest) |
| Take Profit 1 (TP1) | 0.002400 |
| Take Profit 2 (TP2) | 0.002150 |
| Stop Loss (SL) | 0.003020 (Above the breakdown area) |
| Risk to Reward Ratio | 1 : 2.1 |
Execution Plan & Risk Management
* Do Not Do a Market Entry Now: Selling directly at the current price (0.002396) has a poor Risk/Reward. Use a Limit order / Sell Limit at the recommended entry area.
* Capital Management: Use a maximum risk of 1% – 2% of total account equity per trade.
* Signal Invalidation Option: If the price manages to close the 4H candle above 0.003050, the bearish retest scenario is canceled.
Technical Analysis (4H)
* Main Trend: Strongly Bearish (breaks through the consolidation area 0.003000–0.003100).
* Moving Average Indicators: Price is far below the MA/EMA lines (orange & purple), indicating an oversold condition in the short term.
* Price Structure: Opens at a new local low. Chasing a Short position at the bottom of the large red candle is high risk for a dead cat bounce (a temporary price rebound). The best approach is to wait for a retest into the nearest resistance area.
Professional Trading Signal: RVNUSDT (Perpetual)
| Parameter | Value / Area |
| Signal Bias / Type | SHORT (Sell on Retest) |
| Entry Area | 0.002680 – 0.002800 (Wait for correction/retest) |
| Take Profit 1 (TP1) | 0.002400 |
| Take Profit 2 (TP2) | 0.002150 |
| Stop Loss (SL) | 0.003020 (Above the breakdown area) |
| Risk to Reward Ratio | 1 : 2.1 |
Execution Plan & Risk Management
* Do Not Do a Market Entry Now: Selling directly at the current price (0.002396) has a poor Risk/Reward. Use a Limit order / Sell Limit at the recommended entry area.
* Capital Management: Use a maximum risk of 1% – 2% of total account equity per trade.
* Signal Invalidation Option: If the price manages to close the 4H candle above 0.003050, the bearish retest scenario is canceled.
