đŽ $TUT â INSTITUTIONAL SHORT SETUP
Conviction: 76.3% â VALID SHORT đ
đ Key Signals
* đ Top Trader Ratio: 1.88 â 1.75 â declining while price remains elevated = distribution warning.
* đ° Funding: 0.023% â 0.005% â bullish premium has cooled sharply.
* đ Accounts Ratio: 0.87 â retail now predominantly short, creating short-squeeze risk.
* đ» Taker Flow: 55â60% sell dominance â sellers currently controlling aggressive flow.
* đ§ Liquidation Liquidity: Large long cluster around $0.04â$0.05 could fuel a downside cascade after $0.055 breaks.
* đ POC: $0.04â$0.05 â price is significantly above the main volume zone.
* đš Critical breakdown: $0.0638â$0.0640. A high-volume break strengthens the short thesis.
đŻ Trade Plan
Entry: $0.0635â$0.0650
Confirmation: 15m rejection/close below ~$0.0648
đ SL: $0.0705
đŻ TP1: $0.0570 â take 50%
đŻ TP2: $0.0480
đŻ TP3: $0.0420
R:R: ~1:2.9
â ïž Biggest Risk
The 0.87 accounts ratio is important. Retail is already short, so a squeeze toward $0.067â$0.070 is entirely possible before the actual breakdown.
If $0.0708â$0.0710 breaks decisively, the short thesis is invalidated. Donât average into a losing short.
đ§ Verdict
SHORT bias = valid, but confirmation matters.
The strongest combination is:
Declining top-trader ratio + falling funding + dominant taker selling + resistance rejection + breakdown below $0.0638.
If those remain aligned, $0.057 â $0.048 becomes the important downside path.
Risk only 1â2% of account capital, and size the position from the SL distanceânot from leverage.
#Crypto #TUTU #ShortSignal #FuturesTrading #Binance
Conviction: 76.3% â VALID SHORT đ
đ Key Signals
* đ Top Trader Ratio: 1.88 â 1.75 â declining while price remains elevated = distribution warning.
* đ° Funding: 0.023% â 0.005% â bullish premium has cooled sharply.
* đ Accounts Ratio: 0.87 â retail now predominantly short, creating short-squeeze risk.
* đ» Taker Flow: 55â60% sell dominance â sellers currently controlling aggressive flow.
* đ§ Liquidation Liquidity: Large long cluster around $0.04â$0.05 could fuel a downside cascade after $0.055 breaks.
* đ POC: $0.04â$0.05 â price is significantly above the main volume zone.
* đš Critical breakdown: $0.0638â$0.0640. A high-volume break strengthens the short thesis.
đŻ Trade Plan
Entry: $0.0635â$0.0650
Confirmation: 15m rejection/close below ~$0.0648
đ SL: $0.0705
đŻ TP1: $0.0570 â take 50%
đŻ TP2: $0.0480
đŻ TP3: $0.0420
R:R: ~1:2.9
â ïž Biggest Risk
The 0.87 accounts ratio is important. Retail is already short, so a squeeze toward $0.067â$0.070 is entirely possible before the actual breakdown.
If $0.0708â$0.0710 breaks decisively, the short thesis is invalidated. Donât average into a losing short.
đ§ Verdict
SHORT bias = valid, but confirmation matters.
The strongest combination is:
Declining top-trader ratio + falling funding + dominant taker selling + resistance rejection + breakdown below $0.0638.
If those remain aligned, $0.057 â $0.048 becomes the important downside path.
Risk only 1â2% of account capital, and size the position from the SL distanceânot from leverage.
#Crypto #TUTU #ShortSignal #FuturesTrading #Binance
