📌 $AAVE tests the key demand zone after rebounding from 157
🔥 $AAVE in two weeks delivered a strong impulse — from the 127 area up to the high of 156.94, and now it’s pulling back: −3.37 (−2.16%), price at 152.74. The first serious correction after a strong rally — the market is deciding whether this was a pause before continuation or the start of a reversal.
📊 Price has moved right up to the demand zone 151.40–153.16, from where buyers previously reversed the move. Above that is a dense supply zone 156–160, from where the pullback began. Next, on the higher timeframe, the key resistance is at 163.8.
📈 On the 4H there’s no overbought condition, and on the daily RSI is in the overbought area — a deep correction is quite possible before the asset gathers strength for a new impulse.
🌍 The backdrop is tense — the market is repricing the Fed rate trajectory; flows into spot ETFs this week are mixed, with no clear edge.
☑️ Scenarios: Holding above 151.40 preserves the bullish structure; targets are 156–160, then 163.8. A close below 151 will shift focus to 144–146, from where the impulse began.
❓ Do you think buyers will hold the 151–153 zone, or will the correction go deeper?
❗️Stay alert and be careful. Always manage risk.
$AAVE
🔥 $AAVE in two weeks delivered a strong impulse — from the 127 area up to the high of 156.94, and now it’s pulling back: −3.37 (−2.16%), price at 152.74. The first serious correction after a strong rally — the market is deciding whether this was a pause before continuation or the start of a reversal.
📊 Price has moved right up to the demand zone 151.40–153.16, from where buyers previously reversed the move. Above that is a dense supply zone 156–160, from where the pullback began. Next, on the higher timeframe, the key resistance is at 163.8.
📈 On the 4H there’s no overbought condition, and on the daily RSI is in the overbought area — a deep correction is quite possible before the asset gathers strength for a new impulse.
🌍 The backdrop is tense — the market is repricing the Fed rate trajectory; flows into spot ETFs this week are mixed, with no clear edge.
☑️ Scenarios: Holding above 151.40 preserves the bullish structure; targets are 156–160, then 163.8. A close below 151 will shift focus to 144–146, from where the impulse began.
❓ Do you think buyers will hold the 151–153 zone, or will the correction go deeper?
❗️Stay alert and be careful. Always manage risk.
$AAVE