🚨 Something unusual is developing around $MARSCOIN .
A huge number of long positions have opened recently, and based on the current market movement, price could still push a little higher first. But after that, a 20–30% correction remains possible.
While investigating the move, I also noticed heavy exchange activity around the sharp decline from the $0.26 peak.
Several large transfers moved toward exchange wallets:
• 139.9M MARSCOIN worth ~$26.9M
• 42.6M MARSCOIN worth ~$10.6M
• 35M MARSCOIN worth ~$8.5M
• Several additional transfers to Binance and Gate
The timing is what makes this interesting. Some of these large transfers appeared around the period when $MARSCOIN was falling from the $0.26 area.
This does NOT confirm that the tokens were sold, but the size, timing, and concentration of exchange movements are definitely worth watching.
I’m tracking these wallets closely to see where the tokens ultimately move and whether this activity is positioning ahead of the next major move.
For now, the setup looks like potential upside first, followed by correction risk.
A huge number of long positions have opened recently, and based on the current market movement, price could still push a little higher first. But after that, a 20–30% correction remains possible.
While investigating the move, I also noticed heavy exchange activity around the sharp decline from the $0.26 peak.
Several large transfers moved toward exchange wallets:
• 139.9M MARSCOIN worth ~$26.9M
• 42.6M MARSCOIN worth ~$10.6M
• 35M MARSCOIN worth ~$8.5M
• Several additional transfers to Binance and Gate
The timing is what makes this interesting. Some of these large transfers appeared around the period when $MARSCOIN was falling from the $0.26 area.
This does NOT confirm that the tokens were sold, but the size, timing, and concentration of exchange movements are definitely worth watching.
I’m tracking these wallets closely to see where the tokens ultimately move and whether this activity is positioning ahead of the next major move.
For now, the setup looks like potential upside first, followed by correction risk.
