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101 Matrix
5.6k Posts

101 Matrix

For work:@hi_dongdong | All posts are personal opinions for reference only, not financial advice. You are fully responsible for your own investment decisions.
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Posts
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Bearish
Trading Plan Short $BTC $BTC rejected the 78.2k supply zone after a liquidity grab above yesterday's high. Entry: $78097-$78257 Stoploss: $78750 Targets: $77500 / $76000 / $74000 BTC wicked above 78.2k, sweeping buy-side liquidity before getting stuffed. This looks like an upthrust after a weak rally, trapping retail longs who chased the pump. MACD shows bullish divergence but price is contracting into a BB squeeze, often a setup for smart money distribution. Top traders are crowded long at 2.07, providing exit liquidity. Reclaim $78750, short voided. Trade $BTC here 👇 {future}(BTCUSDT)
Trading Plan Short $BTC

$BTC rejected the 78.2k supply zone after a liquidity grab above yesterday's high.

Entry: $78097-$78257
Stoploss: $78750
Targets: $77500 / $76000 / $74000

BTC wicked above 78.2k, sweeping buy-side liquidity before getting stuffed. This looks like an upthrust after a weak rally, trapping retail longs who chased the pump. MACD shows bullish divergence but price is contracting into a BB squeeze, often a setup for smart money distribution. Top traders are crowded long at 2.07, providing exit liquidity. Reclaim $78750, short voided.

Trade $BTC here 👇
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Bullish
Trading Plan Long $ETH $ETH just reclaimed the 1H EMA21 and 50 after a slight retrace. Entry: $2445-$2465 Stoploss: $2420 Targets: $2490 / $2540 / $2600 ETH is compressing into a range after yesterday's low sweep. BB width contracting hard, a squeeze is building. Buyers are aggressive on taker volume. OI is ticking higher on this leg. Retail is heavy long but top traders are also net long. Lose $2420, plan dead. Trade $ETH here 👇 {future}(ETHUSDT)
Trading Plan Long $ETH

$ETH just reclaimed the 1H EMA21 and 50 after a slight retrace.

Entry: $2445-$2465
Stoploss: $2420
Targets: $2490 / $2540 / $2600

ETH is compressing into a range after yesterday's low sweep. BB width contracting hard, a squeeze is building. Buyers are aggressive on taker volume. OI is ticking higher on this leg. Retail is heavy long but top traders are also net long. Lose $2420, plan dead.

Trade $ETH here 👇
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Bullish
Trading Plan Long $XRP $XRP is showing a clean counter-trend pullback setup after a 1H strong bearish leg. Entry: $1.3830-$1.3940 Stoploss: $1.3700 Targets: $1.4050 / $1.4250 / $1.4480 XRP got smacked on the 1H, but the daily trend is still bullish. We're sitting on support at $1.3893, with the BB squeezing tight, ready for a pop. Retail is still super long, and taker buy volume is aggressive. Funding's neutral, so no immediate flush. I like this for a bounce off demand. Lose $1.3700, and this plan is dead. Trade $XRP here 👇 {future}(XRPUSDT)
Trading Plan Long $XRP

$XRP is showing a clean counter-trend pullback setup after a 1H strong bearish leg.

Entry: $1.3830-$1.3940
Stoploss: $1.3700
Targets: $1.4050 / $1.4250 / $1.4480

XRP got smacked on the 1H, but the daily trend is still bullish. We're sitting on support at $1.3893, with the BB squeezing tight, ready for a pop. Retail is still super long, and taker buy volume is aggressive. Funding's neutral, so no immediate flush. I like this for a bounce off demand. Lose $1.3700, and this plan is dead.

Trade $XRP here 👇
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Bearish
Trading Plan Short $NEAR $NEAR just got stuffed at the 1.898 high, rejecting the upper Bollinger Band. Entry: $1.880-$1.905 Stoploss: $1.928 Targets: $1.850 / $1.795 / $1.710 NEAR is ranging after a decent pump, 1D is sideways and 1H just wicked the upper BB. Sellers came in hard after the last 1h candle, taker sell volume is picking up. Funding is negative, so shorts are paying less to hold. Top traders are way too long at 2.23, they'll get squeezed if this range holds. Reclaim $1.928, short voided. Trade $NEAR here 👇 {future}(NEARUSDT)
Trading Plan Short $NEAR

$NEAR just got stuffed at the 1.898 high, rejecting the upper Bollinger Band.

Entry: $1.880-$1.905
Stoploss: $1.928
Targets: $1.850 / $1.795 / $1.710

NEAR is ranging after a decent pump, 1D is sideways and 1H just wicked the upper BB. Sellers came in hard after the last 1h candle, taker sell volume is picking up. Funding is negative, so shorts are paying less to hold. Top traders are way too long at 2.23, they'll get squeezed if this range holds. Reclaim $1.928, short voided.

Trade $NEAR here 👇
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Bearish
Trading Plan Short $SUI $SUI rejected 0.7401 resistance after a minor sweep. Sellers stepping in. Entry: $0.7370-$0.7465 Stoploss: $0.7580 Targets: $0.7310 / $0.7150 / $0.6900 SUI failed to hold yesterday's wick. 1H BB contracting, anticipating a flush. MACD is bearish. Retail is heavily long, top traders also crowded. Funding slightly falling. This setup targets trapped longs. Reclaim $0.7580, short voided. Trade $SUI here 👇 {future}(SUIUSDT)
Trading Plan Short $SUI

$SUI rejected 0.7401 resistance after a minor sweep. Sellers stepping in.

Entry: $0.7370-$0.7465
Stoploss: $0.7580
Targets: $0.7310 / $0.7150 / $0.6900

SUI failed to hold yesterday's wick. 1H BB contracting, anticipating a flush. MACD is bearish. Retail is heavily long, top traders also crowded. Funding slightly falling. This setup targets trapped longs. Reclaim $0.7580, short voided.

Trade $SUI here 👇
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Bullish
Trading Plan Long $ZEC $ZEC just reclaimed 839.5 resistance after a tight BB squeeze. Entry: $830.00-$842.00 Stoploss: $805.00 Targets: $865.00 / $920.00 / $1030.00 ZEC squeezed tight, then ripped through 839.5. This breakout looks clean. OI jumped 10% on the move, real money flowing in. Retail is caught short, great fuel. EMA21 holding strong. Fade below $805.00, plan dead. Trade $ZEC here 👇 {future}(ZECUSDT)
Trading Plan Long $ZEC

$ZEC just reclaimed 839.5 resistance after a tight BB squeeze.

Entry: $830.00-$842.00
Stoploss: $805.00
Targets: $865.00 / $920.00 / $1030.00

ZEC squeezed tight, then ripped through 839.5. This breakout looks clean. OI jumped 10% on the move, real money flowing in. Retail is caught short, great fuel. EMA21 holding strong. Fade below $805.00, plan dead.

Trade $ZEC here 👇
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Bearish
Trading Plan Short $TAO $TAO just wicked 237.67 resistance, printing a clear supply tap. Entry: $237.00-$240.20 Stoploss: $243.50 Targets: $232.00 / $224.00 / $214.00 TAO swept the prior 1H high at $237.67, but sellers were waiting there, absorbing the liquidity. BB width contracted 32% over the last 10 candles, signaling a squeeze is ripe for expansion to the downside. Retail is heavily long with a 1.8 L/S ratio, setting up a nice flush. Smart money distributed into the wick. Reclaim $243.50, short voided. Trade $TAO here 👇 {future}(TAOUSDT)
Trading Plan Short $TAO

$TAO just wicked 237.67 resistance, printing a clear supply tap.

Entry: $237.00-$240.20
Stoploss: $243.50
Targets: $232.00 / $224.00 / $214.00

TAO swept the prior 1H high at $237.67, but sellers were waiting there, absorbing the liquidity. BB width contracted 32% over the last 10 candles, signaling a squeeze is ripe for expansion to the downside. Retail is heavily long with a 1.8 L/S ratio, setting up a nice flush. Smart money distributed into the wick. Reclaim $243.50, short voided.

Trade $TAO here 👇
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Bearish
Trading Plan Short $SOL $SOL failed to reclaim 105.41 resistance after a minor sweep, setting up for a flush. Entry: $104.44-$105.69 Stoploss: $107.25 Targets: $103.80 / $101.50 / $98.50 SOL is stuck below 105.41, with the 1H MACD printing bearish divergence while price remains range-bound. Sellers are aggressive, evident by the 0.78 taker buy/sell ratio, soaking any bids. Open interest is bleeding slightly, but retail and top traders are still crowded long at 1.89 and 2.1 respectively, suggesting distribution is underway. A clean reclaim of $107.25 voids the short thesis. Trade $SOL here 👇 {future}(SOLUSDT)
Trading Plan Short $SOL

$SOL failed to reclaim 105.41 resistance after a minor sweep, setting up for a flush.

Entry: $104.44-$105.69
Stoploss: $107.25
Targets: $103.80 / $101.50 / $98.50

SOL is stuck below 105.41, with the 1H MACD printing bearish divergence while price remains range-bound. Sellers are aggressive, evident by the 0.78 taker buy/sell ratio, soaking any bids. Open interest is bleeding slightly, but retail and top traders are still crowded long at 1.89 and 2.1 respectively, suggesting distribution is underway. A clean reclaim of $107.25 voids the short thesis.

Trade $SOL here 👇
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Bullish
Trading Plan Long $PUMP $PUMP broke yesterday's high, now consolidating above the upper Bollinger Band. Entry: $0.004950-$0.005100 Stoploss: $0.004720 Targets: $0.005320 / $0.005750 / $0.006450 PUMP just took out $0.005126 resistance. Taker buy volume is aggressive. OI dipped slightly, flushing weak hands. Funding rate rising, but L/S ratio remains balanced. This move has room to run. The 1H EMA21 holds strong as support. Lose $0.004720, thesis dead. Trade $PUMP here 👇 {future}(PUMPUSDT)
Trading Plan Long $PUMP

$PUMP broke yesterday's high, now consolidating above the upper Bollinger Band.

Entry: $0.004950-$0.005100
Stoploss: $0.004720
Targets: $0.005320 / $0.005750 / $0.006450

PUMP just took out $0.005126 resistance. Taker buy volume is aggressive. OI dipped slightly, flushing weak hands. Funding rate rising, but L/S ratio remains balanced. This move has room to run. The 1H EMA21 holds strong as support. Lose $0.004720, thesis dead.

Trade $PUMP here 👇
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Bearish
Trading Plan Short $SUI $SUI is distributing near 0.745 resistance after a sideways range. Entry: $0.743-$0.751 Stoploss: $0.758 Targets: $0.735 / $0.720 / $0.700 SUI failed to break 0.745. Sellers are aggressive, taker buy/sell ratio at 0.86. Retail accounts and top traders are crowded long. OI increased 0.93% on stagnant price, suggesting distribution. This sets up a clean unwind. Reclaim 0.758, short voided. Trade $SUI here 👇 {future}(SUIUSDT)
Trading Plan Short $SUI

$SUI is distributing near 0.745 resistance after a sideways range.

Entry: $0.743-$0.751
Stoploss: $0.758
Targets: $0.735 / $0.720 / $0.700

SUI failed to break 0.745. Sellers are aggressive, taker buy/sell ratio at 0.86. Retail accounts and top traders are crowded long. OI increased 0.93% on stagnant price, suggesting distribution. This sets up a clean unwind. Reclaim 0.758, short voided.

Trade $SUI here 👇
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Bearish
Trading Plan Short $NEAR $NEAR wicked the 1.874 resistance, failing to break out. Entry: $1.860-$1.885 Stoploss: $1.928 Targets: $1.820 / $1.745 / $1.610 NEAR pushed into 1.874 but got rejected hard. Taker sell volume is 0.64, sellers aggressive. OI barely moved, longs still holding bags from the pump. Top traders are 2.29 long, crowded for a reversal. Funding turning negative. Reclaim $1.904, short voided. Trade $NEAR here 👇 {future}(NEARUSDT)
Trading Plan Short $NEAR

$NEAR wicked the 1.874 resistance, failing to break out.

Entry: $1.860-$1.885
Stoploss: $1.928
Targets: $1.820 / $1.745 / $1.610

NEAR pushed into 1.874 but got rejected hard. Taker sell volume is 0.64, sellers aggressive. OI barely moved, longs still holding bags from the pump. Top traders are 2.29 long, crowded for a reversal. Funding turning negative. Reclaim $1.904, short voided.

Trade $NEAR here 👇
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Bullish
Trading Plan Long $GIGGLE $GIGGLE just reclaimed the 1h EMA21 after a quick flush. Buyers stepping in. Entry: $39.80-$41.00 Stoploss: $38.30 Targets: $43.00 / $46.50 / $51.00 GIGGLE wicked below EMA21, absorbed quickly. This is a clean retest. OI jumped 11% in 24h, real money entering. Taker buy volume is strong, buyers aggressive. Top traders are 3.31 long, showing conviction. This looks like a continuation setup. Lose $38.30, plan dead. Trade $GIGGLE here 👇 {future}(GIGGLEUSDT)
Trading Plan Long $GIGGLE

$GIGGLE just reclaimed the 1h EMA21 after a quick flush. Buyers stepping in.

Entry: $39.80-$41.00
Stoploss: $38.30
Targets: $43.00 / $46.50 / $51.00

GIGGLE wicked below EMA21, absorbed quickly. This is a clean retest. OI jumped 11% in 24h, real money entering. Taker buy volume is strong, buyers aggressive. Top traders are 3.31 long, showing conviction. This looks like a continuation setup. Lose $38.30, plan dead.

Trade $GIGGLE here 👇
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Bullish
Trading Plan Long $ZEC $ZEC reclaimed the 1h EMA21, buyers aggressive after the breakout. Entry: $828.00-$840.00 Stoploss: $805.00 Targets: $855.00 / $885.00 / $920.00 ZEC broke 842.7 resistance, then pulled back to reclaim it. EMA21 holding as support. BB width expanded 52% in 10h, volatility back. Retail short ratio at 0.58, they're trapped. OI added 10% in 24h, fresh longs entering. Lose $805.00, thesis invalid. Trade $ZEC here 👇 {future}(ZECUSDT)
Trading Plan Long $ZEC

$ZEC reclaimed the 1h EMA21, buyers aggressive after the breakout.

Entry: $828.00-$840.00
Stoploss: $805.00
Targets: $855.00 / $885.00 / $920.00

ZEC broke 842.7 resistance, then pulled back to reclaim it. EMA21 holding as support. BB width expanded 52% in 10h, volatility back. Retail short ratio at 0.58, they're trapped. OI added 10% in 24h, fresh longs entering. Lose $805.00, thesis invalid.

Trade $ZEC here 👇
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Bearish
Trading Plan Short $CLO $CLO is pushing up, but it's hitting prior resistance and looks like a good fade. Entry: $0.1059-$0.1089 Stoploss: $0.1135 Targets: $0.1015 / $0.0950 / $0.0880 CLO just wicked into $0.1099, a clear 1h resistance, after a big 24h pump. Retail is piled long at 1.85 L/S ratio, and funding is super high at 0.0411%/8h, ripe for a flush. OI is up 9% on this run, but the basis is contracting, suggesting perp longs are getting squeezed already. I think this is a perfect counter-trend short after the recent pump. Reclaim $0.1135, and this short is off. Trade $CLO here 👇 {future}(CLOUSDT)
Trading Plan Short $CLO

$CLO is pushing up, but it's hitting prior resistance and looks like a good fade.

Entry: $0.1059-$0.1089
Stoploss: $0.1135
Targets: $0.1015 / $0.0950 / $0.0880

CLO just wicked into $0.1099, a clear 1h resistance, after a big 24h pump. Retail is piled long at 1.85 L/S ratio, and funding is super high at 0.0411%/8h, ripe for a flush. OI is up 9% on this run, but the basis is contracting, suggesting perp longs are getting squeezed already. I think this is a perfect counter-trend short after the recent pump. Reclaim $0.1135, and this short is off.

Trade $CLO here 👇
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Bullish
Trading Plan Long $ZEC $ZEC is coiling after holding EMA50 on the 1h, hinting at accumulation. Entry: $789.00-$802.00 Stoploss: $768.50 Targets: $825.00 / $865.00 / $930.00 ZEC printed a clean spring off the 777.75 support, soaking up sell-side liquidity. The BB width contracted 19% in 10 candles, signaling a squeeze is building. Smart money is slightly long, while retail is heavily short, setting up a classic short squeeze. Funding is neutral, but OI is bleeding slightly, suggesting shorts are already trapped. Lose $768.50, plan dead. Trade $ZEC here 👇 {future}(ZECUSDT)
Trading Plan Long $ZEC

$ZEC is coiling after holding EMA50 on the 1h, hinting at accumulation.

Entry: $789.00-$802.00
Stoploss: $768.50
Targets: $825.00 / $865.00 / $930.00

ZEC printed a clean spring off the 777.75 support, soaking up sell-side liquidity. The BB width contracted 19% in 10 candles, signaling a squeeze is building. Smart money is slightly long, while retail is heavily short, setting up a classic short squeeze. Funding is neutral, but OI is bleeding slightly, suggesting shorts are already trapped. Lose $768.50, plan dead.

Trade $ZEC here 👇
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Bearish
Trading Plan Short $CYS $CYS got rejected hard from the 0.8024 resistance on the 1H. Entry: $0.7600-$0.7850 Stoploss: $0.8090 Targets: $0.7300 / $0.6800 / $0.6100 CYS wicked the 1H resistance. Sellers are aggressive on taker volume. BB is squeezing, ready for a move. OI bled 1.41% as price pushed up, suggesting absorption. Top traders are crowded long, perfect setup for a flush. Reclaim $0.8090, short voided. Trade $CYS here 👇 {future}(CYSUSDT)
Trading Plan Short $CYS

$CYS got rejected hard from the 0.8024 resistance on the 1H.

Entry: $0.7600-$0.7850
Stoploss: $0.8090
Targets: $0.7300 / $0.6800 / $0.6100

CYS wicked the 1H resistance. Sellers are aggressive on taker volume. BB is squeezing, ready for a move. OI bled 1.41% as price pushed up, suggesting absorption. Top traders are crowded long, perfect setup for a flush. Reclaim $0.8090, short voided.

Trade $CYS here 👇
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Bullish
Trading Plan Long $SOL $SOL just cleared 105.85 resistance, printing a fresh high. Entry: $104.50-$106.50 Stoploss: $100.20 Targets: $110.00 / $117.50 / $128.00 SOL ripped through 105.85, buyers are aggressive. OI up 8% in 24h, real money entering. RSI is overbought, but momentum is strong. Funding is neutral, no immediate cool-off needed. Top traders are heavily long, chasing the breakout. Lose 100.20, thesis dead. Trade $SOL here 👇 {future}(SOLUSDT)
Trading Plan Long $SOL

$SOL just cleared 105.85 resistance, printing a fresh high.

Entry: $104.50-$106.50
Stoploss: $100.20
Targets: $110.00 / $117.50 / $128.00

SOL ripped through 105.85, buyers are aggressive. OI up 8% in 24h, real money entering. RSI is overbought, but momentum is strong. Funding is neutral, no immediate cool-off needed. Top traders are heavily long, chasing the breakout. Lose 100.20, thesis dead.

Trade $SOL here 👇
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Bearish
Trading Plan Short $TRUMP $TRUMP is showing a clear distribution wick into 2.382 resistance after a brief push up. Entry: $2.351-$2.391 Stoploss: $2.455 Targets: $2.300 / $2.150 / $2.000 TRUMP wicked above the 2.382 level on the 1H, sweeping buy-side liquidity before getting stuffed. Retail is clearly chasing this pump with a 1.73 L/S ratio, but taker sell volume is aggressive. OI is bleeding 2.17% on this leg up, indicating smart money distributed into the strength. The rising funding suggests longs are getting squeezed. Reclaim 2.455, short voided. Trade $TRUMP here 👇 {future}(TRUMPUSDT)
Trading Plan Short $TRUMP

$TRUMP is showing a clear distribution wick into 2.382 resistance after a brief push up.

Entry: $2.351-$2.391
Stoploss: $2.455
Targets: $2.300 / $2.150 / $2.000

TRUMP wicked above the 2.382 level on the 1H, sweeping buy-side liquidity before getting stuffed. Retail is clearly chasing this pump with a 1.73 L/S ratio, but taker sell volume is aggressive. OI is bleeding 2.17% on this leg up, indicating smart money distributed into the strength. The rising funding suggests longs are getting squeezed. Reclaim 2.455, short voided.

Trade $TRUMP here 👇
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Bearish
Trading Plan Short $ALLO $ALLO just lost its 1H EMA21 and EMA50, showing weakness after a slight bounce. Entry: $0.2516-$0.2546 Stoploss: $0.2605 Targets: $0.2485 / $0.2405 / $0.2305 ALLO couldn't reclaim 0.255 after the last 4h candle close. Price is now below EMA50, and the BBs are squeezing on 1H, suggesting a move is coming. Taker sell volume is aggressive, and retail shorts are still stacked, but top traders are long, which smells like a trap. If ALLO reclaims $0.2605, this short is dead. Trade $ALLO here 👇 {future}(ALLOUSDT)
Trading Plan Short $ALLO

$ALLO just lost its 1H EMA21 and EMA50, showing weakness after a slight bounce.

Entry: $0.2516-$0.2546
Stoploss: $0.2605
Targets: $0.2485 / $0.2405 / $0.2305

ALLO couldn't reclaim 0.255 after the last 4h candle close. Price is now below EMA50, and the BBs are squeezing on 1H, suggesting a move is coming. Taker sell volume is aggressive, and retail shorts are still stacked, but top traders are long, which smells like a trap. If ALLO reclaims $0.2605, this short is dead.

Trade $ALLO here 👇
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Bullish
Trading Plan Long $TUT $TUT just broke out of its 1H range, printing a new high above $0.064 after a strong push. Entry: $0.06300-$0.06450 Stoploss: $0.05950 Targets: $0.06850 / $0.07500 / $0.08600 TUT is showing clean trend continuation after a significant 33% pump, now holding above its 1H upper Bollinger Band. Despite the RSI being overbought, the BB width is expanding, indicating a strong momentum move rather than a reversal. OI is down 12% in 24h, suggesting shorts got squeezed on this leg, providing fuel for further upside. A reclaim of $0.05950 invalidates this thesis. Trade $TUT here 👇 {future}(TUTUSDT)
Trading Plan Long $TUT

$TUT just broke out of its 1H range, printing a new high above $0.064 after a strong push.

Entry: $0.06300-$0.06450
Stoploss: $0.05950
Targets: $0.06850 / $0.07500 / $0.08600

TUT is showing clean trend continuation after a significant 33% pump, now holding above its 1H upper Bollinger Band. Despite the RSI being overbought, the BB width is expanding, indicating a strong momentum move rather than a reversal. OI is down 12% in 24h, suggesting shorts got squeezed on this leg, providing fuel for further upside. A reclaim of $0.05950 invalidates this thesis.

Trade $TUT here 👇
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