MASTER: Across $BTC / ETH / TOTAL / TOTAL3 values sit around 41–53% → market is not overheated, but not yet in optimal conditions Overall context: neutral / waiting LIQ: LIQ 1D ~26% → liquidity is largely already taken 1H–4H LIQ still elevated (~47–53%) → short-term clearing still in progress RISK: RISK 1D ~19–29% (low) → constructive RISK 4H ~53–58% (elevated) → environment remains unstable → asymmetry is forming, but not clean yet 🧠 Readout: Higher-TF conditions are improving (low RISK + low LIQ), while lower TFs still require patience and selectivity.
MASTER: Across $BTC / $ETH / TOTAL / TOTAL3 values sit around 35–42% → market not overheated, no late-phase conditions Environment remains neutral-to-constructive
LIQ: LIQ 1D around ~24% → liquidity largely already taken Good base conditions forming for future setups
RISK:
1H RISK ~28–31% → favorable
4H–1D RISK elevated → still selective Overall risk is cooling, but not fully reset
🧠 Readout: Low–mid values across MASTER / LIQ / RISK → conditions improving, but selectivity still required
🔷 Main Crypto Radar $BTC — Range / wait mode ETH — Range / wait mode BNB — Range Master TFs: majority in WAIT / balance No confirmation for trend continuation yet.
$ADA .$AVAX — Relative strength on pullbacks ⚠️ Risk / Liquidity Risk metrics elevated on LTFs → patience required. Liquidity taken on both sides → classic range conditions. 🧠 Selective market. Focus on ranges, liquidity sweeps, structure breaks & SMT.
🔥 2020 → 2025. The same signal. (ETH/BTC) In 2020 the market screamed “it’s over” — then delivered a x10–x20 move. Now: 🟢 same level 🟢 same zone 🟢 same structure 🟢 same fear 📌 The 2025 signal has already printed. The question isn’t if the market moves, the question is — are you positioned or watching again? 🎯 ETH/BTC targets: 0.08–0.10 → 0.20–0.22 $ETH price implication: $8k–10k → $20k+ (cycle dependent) 🧠 Markets don’t repeat — they rhyme. DYOR 🚀