$TAC Long 10x | Pullback zone hit, risk stays tight.
TAC has finally stepped into the demand zone I was tracking—this is where the market picks a side. I am already long, and the invalidation marks the line where I stop being right.
Why this setup? - The setup is not floating in a vacuum: 4h structure is aligned while 1D remains bearish near 0.00207–0.00208, so the stage is set for a clean reaction. - 15m RSI sits at 40, leaving buyers enough room to keep pushing higher as long as this zone holds. - The volume profile backs the entry, with 1.44x pace and 36.36M traded versus 25.29M expected—enough fuel for the move.
Trade here 👇 and Is this a disciplined long entry, or are we early against the daily trend?
EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK.
$ARB Short 75x | Zone tapped, no need to force the entry.
ARB finally stepped into the zone I mapped for sellers to show up. I'm already short with a clear invalidation above, so the reaction here is what matters.
Why this setup? - This is a structural play, not a guess: 4h bearish shape, daily range compression, and price rejecting from the 0.13152–0.13240 supply band. - RSI15 at 40 gives sellers room to extend the move, but only if they hold this level. - Participation is real: volume at 1.81x, with 13.06M traded versus 7.21M expected, confirming who's in control.
My call. Your execution.. Trade here 👇 and Is this the short you wait for confirmation on, or do you trust the zone and enter now?
Why this Setup? Price is showing exhaustion near the highs around the 0.13649 OB, where sellers could be stepping in to cap the move. A rejection from this zone could accelerate the downside toward 0.11789, followed by 0.10262 and potentially 0.08727. As long as 0.14077 holds, the bearish setup remains valid.
Why this setup? - The daily context is still range-bound, and 4h structure is rejecting right at 0.13643–0.13762, keeping the plan intact. - 15m RSI at 65 leaves sellers room to push lower from a stretched level, yet the zone needs to stay defended. - This reaction has weight behind it: 0.15x volume with 3.70M against 24.29M expected, so it’s not just noise.
My call. Your execution.. Trade here 👇 and Do you trust the zone rejection enough to enter, or are you waiting for a cleaner break first?
Why this setup? - The 4h chart still hands me a clean short setup, with 1D price stuck in a range and rejection forming off 0.12924–0.13030 near 0.12977. - 15m RSI at 66 tells me momentum is stretched enough to fade, provided sellers hold the line. - The tape is moving: 0.99x pace, 9.77M traded against 9.87M expected—that’s real distribution, not noise.
My call. Your execution.. Trade here 👇 and If supply cracks here, do we get the flush—or is this just the pause before a breakout trap?
El rechazo en resistencia está funcionando a la perfección. Los vendedores siguen dominando y el precio no logra recuperar terreno por encima de 0.11. Mientras se mantenga esta estructura, el camino hacia 0.1000 sigue totalmente abierto.
Mi gestión ahora: - Stop Loss a break-even para asegurar la operación sin riesgo. - Dejo correr una parte hacia TP2 y TP3.
$ARB está mostrando claras señales de debilidad después de no poder sostenerse sobre los 0.1100. Los vendedores están comenzando a tomar el control, y el precio está perdiendo impulso en una zona de resistencia crítica.
Mi Estrategia para este movimiento:
🔻 **ENTRADA SHORT:** - Zona 1: **0.1074** - Zona 2: **0.1090**
🛑 Stop Loss: 0.125 (por encima del máximo reciente)
Fundamento de la operación: El precio ha rechazado claramente la resistencia reciente. Mientras se mantenga por debajo de 0.125, espero un retroceso hacia los soportes inferiores. Un cierre por encima de ese nivel invalidaría la tesis bajista.
Gestión de riesgo siempre presente. No operen sin plan. Este es el mío, pero cada quien debe ajustarlo a su tolerancia al riesgo.
👇 ¿Qué opinan? ¿Alguien más está viendo este posible retroceso en $ARB ?
💬 Si te gusta este tipo de análisis, no olvides comentar y compartir. ¡Vamos por esos objetivos! 🚀 #short #ShortSignal #SHORT📉
Si no estás mirando $BR ahora mismo, te estás perdiendo hasta un +15%. Estructura 1D y 4H alineadas al alza con RSI 15m (50.4) con margen de subida antes de resistencia.
$BR La presión vendedora continúa dominando la estructura del mercado tras la ruptura de soportes clave. Abrir o mantener posiciones cortas en este escenario permite capitalizar la continuidad de la tendencia bajista hacia los siguientes niveles de objetivo.
Enfoque: Operar a favor del impulso bajista.
Acción: Entrar o sostener posiciones en corto.
Gestión de riesgo: Ajustar stop-loss por encima de la resistencia inmediata.
Mantén la disciplina en tu plan de trading y aprovecha el flujo vendedor actual.
$BR has cleared a key 20-candle consolidation range with volume expanding to 1.13x the moving average. 📊 Full short alignment across the 20, 50, and 200 EMAs confirms smart money is actively distributing into lower timeframe demand.
With RSI pressing 35.7 and negative MACD momentum accelerating, the path of least resistance points directly toward lower liquidity pools. 🔍 Structurally, any weak pullbacks into the broken support block offer high-conviction continuation entries.
🤔 Are you riding this breakdown expansion down to the 3R target or waiting for a structural reclaim? 👇
⚠️ Not financial advice. Always manage your risk. 🛡️
BR is continuing to form lower highs and lower lows on the 4H chart after rejection from the 0.28 area. Price has now returned to the 0.24 zone, with sellers maintaining control and the structure still tilted downward.
A clean break below 0.2347 could accelerate the next downside leg.
ACTUALIZACIÓN & PLAN DE TRADING: $BR (CORTO / SHORT) 🔻
Tras la absorción de liquidez en $0.28955, el movimiento de $BR acelera su fase de distribución y el precio ha caído directamente a la zona de $0.2500. Con la estructura vendedora totalmente confirmada en gráfico diario, la zona actual abre una nueva ventana de oportunidad para posicionarse en corto ante la continuación de la caída.
🎯 Plan de Operación
📌 Zona de Entrada:
$0.2500 – $0.2550 (Posicionamiento en consolidación actual o retrocesos menores)
🎯 Objetivos (Take Profit):
🏁 TP1: $0.2400
🏁 TP2: $0.2230
🏁 TP3: $0.1870
🏁 TP4: $0.1500 (Búsqueda de liquidez macro)
💡 Estrategia de Ejecución: El rompimiento hacia $0.2500 valida la fuerza del impulso vendedor. Construye la posición de manera escalonada en temporalidades menores (15m/1h) confirmando el rechazo en la zona antes de aumentar el apalancamiento.
⚠️ Nota de riesgo: Gestiona tu capital y coloca tu Stop Loss ajustado por encima del nuevo máximo local ($0.2620+) para asegurar un ratio Riesgo/Beneficio óptimo.
$BR upward spike complete and rejection is in! Downside risk is extremely high, pointing towards at least a 20% pullback from current levels. Perfect opportunity for late entries—open your short position right here and set conservative take-profit at 0.22!