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NextCryptoMove
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NextCryptoMove

Catch the next move before the crowd. Daily high-probability setups 📊. Clean entries • Clear targets • Strict risk • TP1 hit? SL moves to entry.
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🔥 Iran Just Called the U.S. Treasury a Liar Over 130 Million Barrels of Oil#iran Parliament Speaker just dropped the hammer. “Liar, liar, pants on fire.” That’s what Mohammad Bagher Ghalibaf posted after U.S. Treasury Secretary Scott Bessent claimed America moved 130 million barrels of oil through the Strait of Hormuz in just 14 days — while Iran shipped zero. Ghalibaf flipped the number right back: look at the real 130s. Over $130 billion in war costs. Rising U.S. bond yields. And a trading firm that allegedly lost $130 million shorting oil. Same week, the #US . Treasury is preparing to buy back billions of its own debt (including operations in the $12.5 billion range) to support the bond market. Two stories. One department. Pure power play.Oil chokepoint vs. debt market. Credibility war in real time. The Strait of Hormuz still moves a huge chunk of the world’s energy. U.S. Treasuries still hold up the global financial system. When the same institution is accused of spinning the numbers on both, markets notice. Barrels. Bonds. Accusations. All on the table. Who are you believing?

🔥 Iran Just Called the U.S. Treasury a Liar Over 130 Million Barrels of Oil

#iran Parliament Speaker just dropped the hammer.
“Liar, liar, pants on fire.”
That’s what Mohammad Bagher Ghalibaf posted after U.S. Treasury Secretary Scott Bessent claimed America moved 130 million barrels of oil through the Strait of Hormuz in just 14 days — while Iran shipped zero.
Ghalibaf flipped the number right back: look at the real 130s. Over $130 billion in war costs. Rising U.S. bond yields. And a trading firm that allegedly lost $130 million shorting oil.
Same week, the #US . Treasury is preparing to buy back billions of its own debt (including operations in the $12.5 billion range) to support the bond market.
Two stories. One department. Pure power play.Oil chokepoint vs. debt market. Credibility war in real time.
The Strait of Hormuz still moves a huge chunk of the world’s energy. U.S. Treasuries still hold up the global financial system. When the same institution is accused of spinning the numbers on both, markets notice.
Barrels. Bonds. Accusations. All on the table.
Who are you believing?
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🚨 BTC REJECTED $81.4K — $488M LIQUIDATIONS HITMost traders are watching the wrong level right now. Bitcoin touched $81,455 overnight (highest since May 15), then got slapped after Warsh’s Jackson Hole speech. Now trading \~$77.5k, down \~2.5–3% in 24h. Nearly half a billion in liquidations, mostly longs. ETF inflows finally paused after a 9-day streak. Here’s what actually matters: 1️⃣ The real battle zone is $76.9k–$77.3k That’s the recent swing low + key structure. Hold it and we can rebuild toward $79–$81k. Lose it cleanly and the next liquidity sits lower. 2️⃣ Gold correlation is climbing hard Btc's 90-day correlation with gold jumped above 50% while Nasdaq correlation dropped. Debasement trade is waking up again with US debt over $40 trillion. This is bigger than one Fed speech. 3️⃣ Solana is still the relative strength king Sol held up better, ETF inflows strong, and the faster disinflation vote passed. When BTC stabilizes, high-beta names like SOL usually lead the rebound. 4️⃣ Liquidation cascade already happened The easy long squeeze is done. Next move depends on whether price can reclaim the $78.5–$79k area with volume or if we get another leg lower. My bias right now: Cautious short-term (wait for $76.9k reaction), but the bigger structure remains constructive as long as we don’t break that zone hard. Institutions were still buying into the $80k push. One hawkish speech doesn’t kill the trend overnight. What I’m watching in the next 12–24 hours: - Does $76.9k–$77.3k hold on the retest?- Volume on any bounce attempt- Funding rates + OI reset This is the kind of volatility that creates the best setups for patient traders. Drop a 🔥 if you’re still bullish long-term. Drop a 📉 if you think we retest lower first. Follow me for daily clean market structure + high-probability Futures levels. No fluff, only what actually moves price. $BTC $SOL #ETH #bitcoin $ETH #CryptoMarket Not financial advice. DYOR. Trading involves risk.

🚨 BTC REJECTED $81.4K — $488M LIQUIDATIONS HIT

Most traders are watching the wrong level right now.
Bitcoin touched $81,455 overnight (highest since May 15), then got slapped after Warsh’s Jackson Hole speech.
Now trading \~$77.5k, down \~2.5–3% in 24h.
Nearly half a billion in liquidations, mostly longs. ETF inflows finally paused after a 9-day streak.
Here’s what actually matters:
1️⃣ The real battle zone is $76.9k–$77.3k
That’s the recent swing low + key structure. Hold it and we can rebuild toward $79–$81k. Lose it cleanly and the next liquidity sits lower.
2️⃣ Gold correlation is climbing hard
Btc's 90-day correlation with gold jumped above 50% while Nasdaq correlation dropped. Debasement trade is waking up again with US debt over $40 trillion. This is bigger than one Fed speech.
3️⃣ Solana is still the relative strength king
Sol held up better, ETF inflows strong, and the faster disinflation vote passed. When BTC stabilizes, high-beta names like SOL usually lead the rebound.
4️⃣ Liquidation cascade already happened
The easy long squeeze is done. Next move depends on whether price can reclaim the $78.5–$79k area with volume or if we get another leg lower.
My bias right now:
Cautious short-term (wait for $76.9k reaction), but the bigger structure remains constructive as long as we don’t break that zone hard. Institutions were still buying into the $80k push. One hawkish speech doesn’t kill the trend overnight.
What I’m watching in the next 12–24 hours:
- Does $76.9k–$77.3k hold on the retest?- Volume on any bounce attempt- Funding rates + OI reset
This is the kind of volatility that creates the best setups for patient traders.
Drop a 🔥 if you’re still bullish long-term.
Drop a 📉 if you think we retest lower first.
Follow me for daily clean market structure + high-probability Futures levels. No fluff, only what actually moves price.
$BTC $SOL #ETH #bitcoin $ETH #CryptoMarket
Not financial advice. DYOR. Trading involves risk.
🟢 $HEMI — LONG [Pullback Continuation] {future}(HEMIUSDT) Reason: Strong relative strength vs BTC with expanding OI and volume on the 30%+ leg. Price is extended after the impulse; a controlled pullback into the nearest demand/FVG zone keeps the higher-timeframe bullish structure intact for continuation. Liquidity / FVG: Unfilled demand zone and recent 15m-1H FVG around 0.01380–0.01440. Equal lows and prior swing support sit just below. Current Price: 0.01508 Entry Zone: 0.01390 – 0.01440 Targets: TP1 0.01580 → Secure 40% TP2 0.01680 → Secure 40% TP3 0.01820 → Leave 20% runner Stop Loss: 0.01320 R:R: ~1:2.8 Leverage: Up to 5x Risk: ≤1% Invalidation: Clean 15m close below 0.01320 (breaks the demand structure and recent higher-low sequence). #HEMI #SKR #HNT #zora #Flock
🟢 $HEMI — LONG [Pullback Continuation]


Reason:
Strong relative strength vs BTC with expanding OI and volume on the 30%+ leg. Price is extended after the impulse; a controlled pullback into the nearest demand/FVG zone keeps the higher-timeframe bullish structure intact for continuation.

Liquidity / FVG:
Unfilled demand zone and recent 15m-1H FVG around 0.01380–0.01440. Equal lows and prior swing support sit just below.

Current Price: 0.01508
Entry Zone: 0.01390 – 0.01440

Targets:
TP1 0.01580 → Secure 40%
TP2 0.01680 → Secure 40%
TP3 0.01820 → Leave 20% runner

Stop Loss: 0.01320

R:R: ~1:2.8
Leverage: Up to 5x
Risk: ≤1%

Invalidation:
Clean 15m close below 0.01320 (breaks the demand structure and recent higher-low sequence).

#HEMI #SKR #HNT #zora #Flock
🟢 $MIRA — LONG [Breakout Continuation / Pullback] {future}(MIRAUSDT) Reason: MIRA is showing a genuine momentum expansion: +10.27% over 24h with $90.5M volume, while the 15m trend has ADX 34, positive MACD, rising OBV and price above VWAP; BTC is stable, giving the move room to continue if 0.0470–0.0475 holds. Liquidity / FVG: Demand / retest zone: 0.0468 – 0.0475 Upside liquidity: 0.0494 → 0.0510 → 0.0530 Key support: 0.0455 – 0.0460 Entry Zone: 0.0468 – 0.0475 Targets: TP1 0.0494 → Secure 40% TP2 0.0510 → Secure 40% TP3 0.0530 → Leave 20% runner Stop Loss: 0.0456 R:R: 1:3.0 Leverage: Up to 5x Risk: ≤1% Invalidation: 15m/1H acceptance below 0.0456 with expanding sell volume invalidates the LONG thesis. #Mira #prom #Clo #collect #SKR
🟢 $MIRA — LONG [Breakout Continuation / Pullback]


Reason:
MIRA is showing a genuine momentum expansion: +10.27% over 24h with $90.5M volume, while the 15m trend has ADX 34, positive MACD, rising OBV and price above VWAP; BTC is stable, giving the move room to continue if 0.0470–0.0475 holds.

Liquidity / FVG:
Demand / retest zone: 0.0468 – 0.0475
Upside liquidity: 0.0494 → 0.0510 → 0.0530
Key support: 0.0455 – 0.0460

Entry Zone: 0.0468 – 0.0475

Targets:
TP1 0.0494 → Secure 40%
TP2 0.0510 → Secure 40%
TP3 0.0530 → Leave 20% runner

Stop Loss: 0.0456

R:R: 1:3.0
Leverage: Up to 5x
Risk: ≤1%

Invalidation:
15m/1H acceptance below 0.0456 with expanding sell volume invalidates the LONG thesis.

#Mira #prom #Clo #collect #SKR
🚨 $HEMI SHORT IS COOKING! 🔥🔥 {future}(HEMIUSDT) TP1 ✅ TP2 ✅ And now HEMI is pushing toward TP3… 👀💰 Everyone was bullish on HEMI. We went the other way. Called the SHORT when the crowd was looking for LONG — and so far, the chart is doing exactly what we wanted. 📉 2 targets smashed. 🎯🎯 3rd target loading… 🚀 If you caught this one with me, you already know the feeling. 😎 This is why I keep saying: Don’t trade the crowd. Trade the evidence. Book your profit and Let’s see if TP3 gets smashed too. 🔥
🚨 $HEMI SHORT IS COOKING! 🔥🔥


TP1 ✅
TP2 ✅
And now HEMI is pushing toward TP3… 👀💰

Everyone was bullish on HEMI. We went the other way.

Called the SHORT when the crowd was looking for LONG — and so far, the chart is doing exactly what we wanted. 📉

2 targets smashed. 🎯🎯
3rd target loading… 🚀

If you caught this one with me, you already know the feeling. 😎

This is why I keep saying:
Don’t trade the crowd. Trade the evidence.

Book your profit and Let’s see if TP3 gets smashed too. 🔥
NextCryptoMove
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🟠 $HEMI — SHORT [Reversal / Liquidity Sweep]



Reason:
HEMI is stretched after a sharp +12.5% 24h expansion, with 1H RSI ~76 and price pressing the $0.01598 high while funding is positive; the short only becomes attractive after a confirmed loss of $0.0152, signaling exhaustion rather than blindly fading momentum.

Liquidity / FVG:
Upside liquidity: 0.01598–0.01610
Reclaim/failure zone: 0.01520–0.01550
Downside liquidity: 0.01460 → 0.01380

Current Price: 0.01550
Entry Zone: 0.01515 – 0.01545

Targets:
TP1 0.01460 → Secure 40%
TP2 0.01380 → Secure 40%
TP3 0.01290 → Leave 20% runner

Stop Loss: 0.01615

R:R: 1:2.1+
Leverage: Up to 5x
Risk: ≤1%

Invalidation:
15m/1H acceptance above 0.01615 with strong volume invalidates the short thesis and signals continuation risk.

#HEMI #ZKP #SKR #ZKC #prom
🟢 $COLLECT — LONG [Pullback / Breakout Continuation] {future}(COLLECTUSDT) Reason: COLLECT is showing strong intraday demand after reclaiming the 0.075–0.076 area, with 24h volume around $37M and BTC remaining stable; the better entry is a controlled pullback rather than chasing the current spike. Liquidity / FVG: Demand / pullback zone: 0.0760 – 0.0775 Upside liquidity: 0.0800 → 0.0840 → 0.0875 Deeper invalidation zone: 0.0740 – 0.0750 Current Price: 0.078 Entry Zone: 0.0760 – 0.0775 Targets: TP1 0.0815 → Secure 40% TP2 0.0845 → Secure 40% TP3 0.0885 → Leave 20% runner Stop Loss: 0.0738 R:R: 1:1.5 / 1:2.4 / 1:3.5 Leverage: Up to 5x Risk: ≤1% Invalidation: 15m/1H acceptance below 0.0738 with expanding selling volume invalidates the LONG thesis. #collect #ZKC #prom #ZKP #UAI
🟢 $COLLECT — LONG [Pullback / Breakout Continuation]


Reason:
COLLECT is showing strong intraday demand after reclaiming the 0.075–0.076 area, with 24h volume around $37M and BTC remaining stable; the better entry is a controlled pullback rather than chasing the current spike.

Liquidity / FVG:
Demand / pullback zone: 0.0760 – 0.0775
Upside liquidity: 0.0800 → 0.0840 → 0.0875
Deeper invalidation zone: 0.0740 – 0.0750

Current Price: 0.078
Entry Zone: 0.0760 – 0.0775

Targets:
TP1 0.0815 → Secure 40%
TP2 0.0845 → Secure 40%
TP3 0.0885 → Leave 20% runner

Stop Loss: 0.0738

R:R: 1:1.5 / 1:2.4 / 1:3.5
Leverage: Up to 5x
Risk: ≤1%

Invalidation:
15m/1H acceptance below 0.0738 with expanding selling volume invalidates the LONG thesis.

#collect #ZKC #prom #ZKP #UAI
🟢 $FLOCK — LONG [Pullback / Breakout Continuation] {future}(FLOCKUSDT) Reason: FLOCK is showing strong independent momentum after a high-volume breakout: 15m ADX ~42, price remains above VWAP/EMA, while 4H MACD and OBV are bullish; the edge is buying a controlled retest rather than chasing the current spike. Liquidity / FVG: Breakout/retest demand: 0.03720 – 0.03800 Downside liquidity: 0.03600 Upside liquidity: 0.04140 → 0.04310 → 0.04500 Current Price: 0.03880 Entry Zone: 0.03760 – 0.03820 Targets: TP1 0.04080 → Secure 40% TP2 0.04310 → Secure 40% TP3 0.04500 → Leave 20% runner Stop Loss: 0.03660 R:R: 1:2.1 – 1:5.1 Leverage: Up to 5x Risk: ≤1% Invalidation: 15m/1H acceptance below 0.03660 with expanding selling volume invalidates the LONG thesis. #Flock #ZKC #HANA #HEMI #AUCTION
🟢 $FLOCK — LONG [Pullback / Breakout Continuation]


Reason:
FLOCK is showing strong independent momentum after a high-volume breakout: 15m ADX ~42, price remains above VWAP/EMA, while 4H MACD and OBV are bullish; the edge is buying a controlled retest rather than chasing the current spike.

Liquidity / FVG:
Breakout/retest demand: 0.03720 – 0.03800
Downside liquidity: 0.03600
Upside liquidity: 0.04140 → 0.04310 → 0.04500

Current Price: 0.03880
Entry Zone: 0.03760 – 0.03820

Targets:
TP1 0.04080 → Secure 40%
TP2 0.04310 → Secure 40%
TP3 0.04500 → Leave 20% runner

Stop Loss: 0.03660

R:R: 1:2.1 – 1:5.1
Leverage: Up to 5x
Risk: ≤1%

Invalidation:
15m/1H acceptance below 0.03660 with expanding selling volume invalidates the LONG thesis.

#Flock #ZKC #HANA #HEMI #AUCTION
🟢 $HANA — LONG [Pullback / Breakout Continuation] {future}(HANAUSDT) Reason: HANA is holding above its 1H VWAP/EMA with positive MACD and strong 15m momentum, but RSI is already ~71; the higher-quality trade is a controlled pullback into the 0.02055–0.02070 breakout area rather than chasing near the 24h high. Liquidity / FVG: Demand / retest: 0.02050 – 0.02070 Upside liquidity: 0.02105 → 0.02130 → 0.02160 Current Price: 0.02089 Entry Zone: 0.02055 – 0.02070 Targets: TP1 0.02120 → Secure 40% TP2 0.02150 → Secure 40% TP3 0.02190 → Leave 20% runner Stop Loss: 0.02030 R:R: 1:2.0 – 1:4.5 Leverage: Up to 5x Risk: ≤1% Invalidation: 15m/1H acceptance below 0.02030 with expanding selling volume invalidates the LONG thesis. #HANA #HEMI #ZKC #AUCTION #PROM
🟢 $HANA — LONG [Pullback / Breakout Continuation]


Reason:
HANA is holding above its 1H VWAP/EMA with positive MACD and strong 15m momentum, but RSI is already ~71; the higher-quality trade is a controlled pullback into the 0.02055–0.02070 breakout area rather than chasing near the 24h high.

Liquidity / FVG:
Demand / retest: 0.02050 – 0.02070
Upside liquidity: 0.02105 → 0.02130 → 0.02160

Current Price: 0.02089
Entry Zone: 0.02055 – 0.02070

Targets:
TP1 0.02120 → Secure 40%
TP2 0.02150 → Secure 40%
TP3 0.02190 → Leave 20% runner

Stop Loss: 0.02030

R:R: 1:2.0 – 1:4.5
Leverage: Up to 5x
Risk: ≤1%

Invalidation:
15m/1H acceptance below 0.02030 with expanding selling volume invalidates the LONG thesis.

#HANA #HEMI #ZKC #AUCTION #PROM
🔴 $XAU — SHORT [Breakdown / Failed Retest] {future}(XAUUSDT) Reason: Gold has suffered a sharp bearish repricing as USD strength and higher yields pressure the metal; the highest-quality entry is a confirmed break below the 4,445–4,475 support cluster followed by a failed retest, rather than chasing the current selloff. Liquidity / FVG: Support/liquidity: 4,445 – 4,475 Breakdown liquidity: 4,400 → 4,330 Major upside invalidation zone: 4,577 – 4,609 Current Price: 4,457 Entry Zone: 4,438 – 4,455 Targets: TP1 4,400 → Secure 40% TP2 4,330 → Secure 40% TP3 4,245 → Leave 20% runner Stop Loss: 4,510 R:R: 1:1.7 / 1:3.0 / 1:4.6 Leverage: Up to 5x Risk: ≤1% Invalidation: 15m/1H acceptance back above 4,510, especially with USD weakness and falling yields, invalidates the breakdown-short thesis.
🔴 $XAU — SHORT [Breakdown / Failed Retest]


Reason:
Gold has suffered a sharp bearish repricing as USD strength and higher yields pressure the metal; the highest-quality entry is a confirmed break below the 4,445–4,475 support cluster followed by a failed retest, rather than chasing the current selloff.

Liquidity / FVG:
Support/liquidity: 4,445 – 4,475
Breakdown liquidity: 4,400 → 4,330
Major upside invalidation zone: 4,577 – 4,609

Current Price: 4,457
Entry Zone: 4,438 – 4,455

Targets:
TP1 4,400 → Secure 40%
TP2 4,330 → Secure 40%
TP3 4,245 → Leave 20% runner

Stop Loss: 4,510

R:R: 1:1.7 / 1:3.0 / 1:4.6
Leverage: Up to 5x
Risk: ≤1%

Invalidation:
15m/1H acceptance back above 4,510, especially with USD weakness and falling yields, invalidates the breakdown-short thesis.
🟠 $HEMI — SHORT [Reversal / Liquidity Sweep] {future}(HEMIUSDT) Reason: HEMI is stretched after a sharp +12.5% 24h expansion, with 1H RSI ~76 and price pressing the $0.01598 high while funding is positive; the short only becomes attractive after a confirmed loss of $0.0152, signaling exhaustion rather than blindly fading momentum. Liquidity / FVG: Upside liquidity: 0.01598–0.01610 Reclaim/failure zone: 0.01520–0.01550 Downside liquidity: 0.01460 → 0.01380 Current Price: 0.01550 Entry Zone: 0.01515 – 0.01545 Targets: TP1 0.01460 → Secure 40% TP2 0.01380 → Secure 40% TP3 0.01290 → Leave 20% runner Stop Loss: 0.01615 R:R: 1:2.1+ Leverage: Up to 5x Risk: ≤1% Invalidation: 15m/1H acceptance above 0.01615 with strong volume invalidates the short thesis and signals continuation risk. #HEMI #ZKP #SKR #ZKC #prom
🟠 $HEMI — SHORT [Reversal / Liquidity Sweep]


Reason:
HEMI is stretched after a sharp +12.5% 24h expansion, with 1H RSI ~76 and price pressing the $0.01598 high while funding is positive; the short only becomes attractive after a confirmed loss of $0.0152, signaling exhaustion rather than blindly fading momentum.

Liquidity / FVG:
Upside liquidity: 0.01598–0.01610
Reclaim/failure zone: 0.01520–0.01550
Downside liquidity: 0.01460 → 0.01380

Current Price: 0.01550
Entry Zone: 0.01515 – 0.01545

Targets:
TP1 0.01460 → Secure 40%
TP2 0.01380 → Secure 40%
TP3 0.01290 → Leave 20% runner

Stop Loss: 0.01615

R:R: 1:2.1+
Leverage: Up to 5x
Risk: ≤1%

Invalidation:
15m/1H acceptance above 0.01615 with strong volume invalidates the short thesis and signals continuation risk.

#HEMI #ZKP #SKR #ZKC #prom
🟢 $AUCTION — LONG [Pullback / Breakout Continuation] {future}(AUCTIONUSDT) Reason: 4H structure remains bullish above the 3.56 breakout area, but the 15m pullback is still weak; the better edge is a 3.70 reclaim + retest that confirms buyers are taking control again. Liquidity / FVG: 3.56 – 3.64 demand/retest zone; upside liquidity sits around 3.80, then 4.00+. Current Price: 3.61 Entry Zone: 3.62 – 3.70 Targets: TP1 3.90 → Secure 40% TP2 4.10 → Secure 40% TP3 4.35 → Leave 20% runner Stop Loss: 3.50 R:R: 1:2.0+ Leverage: Up to 5x Risk: ≤1% Invalidation: 15m/1H acceptance below 3.50 with expanding selling volume invalidates the bullish setup. #Auction #ZKC #tnsr #ZKP #UNI
🟢 $AUCTION — LONG [Pullback / Breakout Continuation]


Reason:
4H structure remains bullish above the 3.56 breakout area, but the 15m pullback is still weak; the better edge is a 3.70 reclaim + retest that confirms buyers are taking control again.

Liquidity / FVG:
3.56 – 3.64 demand/retest zone; upside liquidity sits around 3.80, then 4.00+.

Current Price: 3.61
Entry Zone: 3.62 – 3.70

Targets:
TP1 3.90 → Secure 40%
TP2 4.10 → Secure 40%
TP3 4.35 → Leave 20% runner

Stop Loss: 3.50

R:R: 1:2.0+
Leverage: Up to 5x
Risk: ≤1%

Invalidation:
15m/1H acceptance below 3.50 with expanding selling volume invalidates the bullish setup.

#Auction #ZKC #tnsr #ZKP #UNI
🔥 $ZORA JUST SMASHED IT! 🚀 {future}(ZORAUSDT) All 3 targets hit in around 2 HOURS. 💥 TP1 ✅ TP2 ✅ TP3 ✅ BOOM! 💰🔥 That was a clean move from entry to target — exactly the kind of fast Futures setup we look for. If you caught this one with us, enjoy the win. 🫡📈 More setups coming… 👀 #zora #crypto #BinanceFutures #Trading #btc
🔥 $ZORA JUST SMASHED IT! 🚀


All 3 targets hit in around 2 HOURS. 💥

TP1 ✅
TP2 ✅
TP3 ✅

BOOM! 💰🔥

That was a clean move from entry to target — exactly the kind of fast Futures setup we look for.

If you caught this one with us, enjoy the win. 🫡📈

More setups coming… 👀

#zora #crypto #BinanceFutures #Trading #btc
NextCryptoMove
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🟢 $ZORA /USDT — LONG [Breakout Continuation / Pullback]



Reason:
ZORA has broken out of a prolonged 0.0060–0.0064 base with exceptional volume and strong 1H momentum; price is above VWAP and EMA, but RSI 78 means chasing the current spike is risky, so the edge is a pullback/reclaim continuation.

Liquidity / FVG:
0.00755–0.00780 = key breakout-retest demand; 0.00854–0.00868 = immediate upside liquidity.

Entry Zone: 0.00770 – 0.00795

Targets:
TP1 0.00855 → Secure 40%
TP2 0.00895 → Secure 40%
TP3 0.00945 → Leave 20% runner

Stop Loss: 0.00742

R:R: 1:2.0
Leverage: Up to 5x
Risk: ≤1%

Invalidation:
15m/1H acceptance below 0.00742 with strong selling volume.

#ZORA #PROM #SKR #NIL #ZKP
🔥 $UNI GAVE US THE MOVE! 🎯 $UNI came very close to hitting all our targets before that sharp pullback. 📈➡️📉 Hope you guys took your profit along the way and didn’t wait for the absolute top. 💰 TP1 ✅ TP2 ✅ TP3 — almost there 👀 That’s trading. You take what the market gives you. 🤝 If you booked profit on this one, well played! 🔥 On to the next setup… 👀 #UNI #PROM #SKR #ZKP #ZORA
🔥 $UNI GAVE US THE MOVE! 🎯

$UNI came very close to hitting all our targets before that sharp pullback. 📈➡️📉

Hope you guys took your profit along the way and didn’t wait for the absolute top. 💰

TP1 ✅
TP2 ✅
TP3 — almost there 👀

That’s trading. You take what the market gives you. 🤝

If you booked profit on this one, well played! 🔥

On to the next setup… 👀

#UNI #PROM #SKR #ZKP #ZORA
NextCryptoMove
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🟢 $UNI /USDT — LONG



Reason:
Clean relative-strength breakout with expanding futures volume; price reclaimed prior resistance and is holding near session highs while $BTC stays constructive, trapping residual shorts into the DeFi flow.

Entry Zone: 4.85 – 4.95

Targets: 5.15 | 5.35 | 5.60
Stop Loss: 4.65

R:R: 1:2.7
Leverage: Up to 5x
Risk: ≤1%

Invalidation: 15m close below 4.65 on rising sell volume

#UNI #HNT #PROM #CYS #pons
🚀 $SKR JUST WENT CRAZY! 🔥 {future}(SKRUSDT) $SKR — ALL TARGETS HIT 🎯 TP1 ✅ TP2 ✅ TP3 ✅ That final push was beautiful. 😮‍💨📈 We had the setup, waited for confirmation, and SKR delivered the full move. If you were riding this one with me — congratulations! 🥂🔥 3/3. Done. Now… eyes on the next opportunity. 👀 #SKR #PROM #ZKP #NIL #giggle
🚀 $SKR JUST WENT CRAZY! 🔥


$SKR — ALL TARGETS HIT 🎯

TP1 ✅
TP2 ✅
TP3 ✅

That final push was beautiful. 😮‍💨📈

We had the setup, waited for confirmation, and SKR delivered the full move.

If you were riding this one with me — congratulations! 🥂🔥

3/3. Done.

Now… eyes on the next opportunity. 👀

#SKR #PROM #ZKP #NIL #giggle
NextCryptoMove
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🟢 $SKR /USDT — LONG



Reason:
Extreme negative funding combined with elevated 24h volume and relative strength versus flat BTC creates short-squeeze pressure; Seeker Summer campaign close and Solana Mobile utility narrative continue attracting speculative flow while price holds above recent breakout structure.

Entry Zone: 0.0148 – 0.0158

Targets: 0.0175 | 0.0192 | 0.0215
Stop Loss: 0.0139

R:R: 1:2.6
Leverage: Up to 5x
Risk: ≤1%

Invalidation: 15m close below 0.0139 on rising sell volume

#SKR #ZKC #prom #ZKP #UNI
🔥 $UAI … THAT WAS CLEAN! 😮‍💨 {future}(UAIUSDT) $UAI TP1 ✅ TP2 ✅ TP3 ✅ All 3 targets hit. 🎯🚀 Honestly, this one played out beautifully. We waited for the setup, got the confirmation, and then UAI simply did its job. 📈 Big congrats if you took this trade with me. 🤝🔥 Who’s ready for the next one? 👀 #UAI #PROM #SKR #ZKP #NIL $ZORA
🔥 $UAI … THAT WAS CLEAN! 😮‍💨


$UAI

TP1 ✅
TP2 ✅
TP3 ✅

All 3 targets hit. 🎯🚀

Honestly, this one played out beautifully.

We waited for the setup, got the confirmation, and then UAI simply did its job. 📈

Big congrats if you took this trade with me. 🤝🔥

Who’s ready for the next one? 👀

#UAI #PROM #SKR #ZKP #NIL $ZORA
NextCryptoMove
·
--
🟢 $UAI /USDT — LONG



Reason:
Strong relative strength breakout with expanding volume after reclaiming the 0.30 zone; price holding near session highs while BTC stays constructive, trapping earlier shorts into the AI-agent narrative continuation.

Entry Zone: 0.3350 – 0.3420

Targets: 0.3550 | 0.3720 | 0.3950
Stop Loss: 0.3180

R:R: 1:2.6
Leverage: Up to 5x
Risk: ≤1%

Invalidation: 15m close below 0.3180 on rising sell volume

#UAI #HNT #PROM #SKR #giggle
🔥🔥 $AUCTION DID IT! 🚀 {future}(AUCTIONUSDT) 3/3 TARGETS HIT 🎯🎯🎯 TP1 ✅ TP2 ✅ TP3 ✅ What a beautiful move from $AUCTION ! 😮‍💨🔥 The setup played out exactly how we wanted. Entry → move → all targets smashed. 💰📈 If you caught this one with me, congrats! 🤝🔥 More setups coming… 👀 #Auction #PROM #SKR #ZKP #NIL
🔥🔥 $AUCTION DID IT! 🚀


3/3 TARGETS HIT 🎯🎯🎯

TP1 ✅
TP2 ✅
TP3 ✅

What a beautiful move from $AUCTION ! 😮‍💨🔥

The setup played out exactly how we wanted. Entry → move → all targets smashed. 💰📈

If you caught this one with me, congrats! 🤝🔥

More setups coming… 👀

#Auction #PROM #SKR #ZKP #NIL
NextCryptoMove
·
--
🟢 $AUCTION /USDT — LONG [Pullback / Breakout Continuation]



Reason:
High-volume breakout from the 3.10–3.25 base followed by a controlled pullback; holding 3.60–3.65 and reclaiming 3.70 would signal continuation toward the next liquidity zone.

Liquidity / FVG:
3.60–3.65 = key demand/retest zone; 3.88 = immediate upside liquidity.

Current Price: 3.69
Entry Zone: 3.62 – 3.70

Targets:
TP1 3.88 → Secure 40%
TP2 4.08 → Secure 40%
TP3 4.30 → Leave 20% runner

Stop Loss: 3.54

R:R: 1:2.0
Leverage: Up to 5x
Risk: ≤1%

Invalidation:
15m/1H acceptance below 3.54 with strong selling volume.

#Auction #ZKP #giggle #NIL #SKR
🟢 $ZORA /USDT — LONG [Breakout Continuation / Pullback] {future}(ZORAUSDT) Reason: ZORA has broken out of a prolonged 0.0060–0.0064 base with exceptional volume and strong 1H momentum; price is above VWAP and EMA, but RSI 78 means chasing the current spike is risky, so the edge is a pullback/reclaim continuation. Liquidity / FVG: 0.00755–0.00780 = key breakout-retest demand; 0.00854–0.00868 = immediate upside liquidity. Entry Zone: 0.00770 – 0.00795 Targets: TP1 0.00855 → Secure 40% TP2 0.00895 → Secure 40% TP3 0.00945 → Leave 20% runner Stop Loss: 0.00742 R:R: 1:2.0 Leverage: Up to 5x Risk: ≤1% Invalidation: 15m/1H acceptance below 0.00742 with strong selling volume. #ZORA #PROM #SKR #NIL #ZKP
🟢 $ZORA /USDT — LONG [Breakout Continuation / Pullback]


Reason:
ZORA has broken out of a prolonged 0.0060–0.0064 base with exceptional volume and strong 1H momentum; price is above VWAP and EMA, but RSI 78 means chasing the current spike is risky, so the edge is a pullback/reclaim continuation.

Liquidity / FVG:
0.00755–0.00780 = key breakout-retest demand; 0.00854–0.00868 = immediate upside liquidity.

Entry Zone: 0.00770 – 0.00795

Targets:
TP1 0.00855 → Secure 40%
TP2 0.00895 → Secure 40%
TP3 0.00945 → Leave 20% runner

Stop Loss: 0.00742

R:R: 1:2.0
Leverage: Up to 5x
Risk: ≤1%

Invalidation:
15m/1H acceptance below 0.00742 with strong selling volume.

#ZORA #PROM #SKR #NIL #ZKP
🟢 $ZEC /USDT — LONG [Pullback / Breakout Continuation] {future}(ZECUSDT) Reason: ZEC is holding strong momentum at 882.58 (+5.63% 24h), with $543M OI and strong long positioning; a reclaim of 890 after a controlled pullback can target the next liquidity above 900. Liquidity / FVG: 870–885 = key pullback/retest zone; 910–940 = major upside liquidity area. Current Price: 882.58 Entry Zone: 870.00 – 885.00 Targets: TP1 910 → Secure 40% TP2 935 → Secure 40% TP3 965 → Leave 20% runner Stop Loss: 855 R:R: 1:2.0 Leverage: Up to 5x Risk: ≤1% Invalidation: 1H close below 855 with strong selling volume. #zec #PROM #SKR #NIL #giggle
🟢 $ZEC /USDT — LONG [Pullback / Breakout Continuation]

Reason:
ZEC is holding strong momentum at 882.58 (+5.63% 24h), with $543M OI and strong long positioning; a reclaim of 890 after a controlled pullback can target the next liquidity above 900.

Liquidity / FVG:
870–885 = key pullback/retest zone; 910–940 = major upside liquidity area.

Current Price: 882.58
Entry Zone: 870.00 – 885.00

Targets:
TP1 910 → Secure 40%
TP2 935 → Secure 40%
TP3 965 → Leave 20% runner

Stop Loss: 855

R:R: 1:2.0
Leverage: Up to 5x
Risk: ≤1%

Invalidation:
1H close below 855 with strong selling volume.

#zec #PROM #SKR #NIL #giggle
Boom! 💣 Precision on this call! ​$AUCTION is going through the roof! 🚀🔥 {future}(AUCTIONUSDT) What makes a high-accuracy setup? • Waiting for liquidity sweeps 🎯 • Zero emotional chasing 🧠 • Clean execution on key levels ✅ Follow for more daily setups and high-accuracy trades! 🚀" #ZKC #Auction #zec #ETH
Boom! 💣 Precision on this call!

$AUCTION is going through the roof! 🚀🔥


What makes a high-accuracy setup?
• Waiting for liquidity sweeps 🎯
• Zero emotional chasing 🧠
• Clean execution on key levels ✅

Follow for more daily setups and high-accuracy trades! 🚀"

#ZKC #Auction #zec #ETH
NextCryptoMove
·
--
🟢 $AUCTION /USDT — LONG [Pullback / Breakout Continuation]



Reason:
High-volume breakout from the 3.10–3.25 base followed by a controlled pullback; holding 3.60–3.65 and reclaiming 3.70 would signal continuation toward the next liquidity zone.

Liquidity / FVG:
3.60–3.65 = key demand/retest zone; 3.88 = immediate upside liquidity.

Current Price: 3.69
Entry Zone: 3.62 – 3.70

Targets:
TP1 3.88 → Secure 40%
TP2 4.08 → Secure 40%
TP3 4.30 → Leave 20% runner

Stop Loss: 3.54

R:R: 1:2.0
Leverage: Up to 5x
Risk: ≤1%

Invalidation:
15m/1H acceptance below 3.54 with strong selling volume.

#Auction #ZKP #giggle #NIL #SKR
🟢 $AUCTION /USDT — LONG [Pullback / Breakout Continuation] {future}(AUCTIONUSDT) Reason: High-volume breakout from the 3.10–3.25 base followed by a controlled pullback; holding 3.60–3.65 and reclaiming 3.70 would signal continuation toward the next liquidity zone. Liquidity / FVG: 3.60–3.65 = key demand/retest zone; 3.88 = immediate upside liquidity. Current Price: 3.69 Entry Zone: 3.62 – 3.70 Targets: TP1 3.88 → Secure 40% TP2 4.08 → Secure 40% TP3 4.30 → Leave 20% runner Stop Loss: 3.54 R:R: 1:2.0 Leverage: Up to 5x Risk: ≤1% Invalidation: 15m/1H acceptance below 3.54 with strong selling volume. #Auction #ZKP #giggle #NIL #SKR
🟢 $AUCTION /USDT — LONG [Pullback / Breakout Continuation]


Reason:
High-volume breakout from the 3.10–3.25 base followed by a controlled pullback; holding 3.60–3.65 and reclaiming 3.70 would signal continuation toward the next liquidity zone.

Liquidity / FVG:
3.60–3.65 = key demand/retest zone; 3.88 = immediate upside liquidity.

Current Price: 3.69
Entry Zone: 3.62 – 3.70

Targets:
TP1 3.88 → Secure 40%
TP2 4.08 → Secure 40%
TP3 4.30 → Leave 20% runner

Stop Loss: 3.54

R:R: 1:2.0
Leverage: Up to 5x
Risk: ≤1%

Invalidation:
15m/1H acceptance below 3.54 with strong selling volume.

#Auction #ZKP #giggle #NIL #SKR
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