$BLUR is showing a pullback-continuation setup after a sharp 32% 24h move and 413% volume expansion.
Buyers have clearly taken control, but chasing $0.02059 carries poor risk/reward; the key is whether the previous breakout area around $0.0185–$0.0192 holds as support. Earlier market structure placed resistance around $0.0188 and support near $0.0170, making the breakout zone important.
EP: $0.0185–$0.0192
TP1: $0.0218
TP2: $0.0238
TP3: $0.0260
SL: $0.0172
The setup assumes a pullback into the breakout/liquidity zone followed by buyer reaction; if price rejects sharply and loses $0.0185, the long thesis weakens. A move toward $0.0218 first allows partial profit-taking, while TP2–TP3 require sustained buying rather than simply following the current pump. Approx. risk/reward to TP1 is 1:1.7, TP2 1:3, and TP3 1:4.**
$ZEC
$牛来
Buyers have clearly taken control, but chasing $0.02059 carries poor risk/reward; the key is whether the previous breakout area around $0.0185–$0.0192 holds as support. Earlier market structure placed resistance around $0.0188 and support near $0.0170, making the breakout zone important.
EP: $0.0185–$0.0192
TP1: $0.0218
TP2: $0.0238
TP3: $0.0260
SL: $0.0172
The setup assumes a pullback into the breakout/liquidity zone followed by buyer reaction; if price rejects sharply and loses $0.0185, the long thesis weakens. A move toward $0.0218 first allows partial profit-taking, while TP2–TP3 require sustained buying rather than simply following the current pump. Approx. risk/reward to TP1 is 1:1.7, TP2 1:3, and TP3 1:4.**
$ZEC
$牛来

