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Data Over Narratives | On-Chain Intelligence | Mechanism & Market Structure Research | X: @Asif_MAHGZ
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[Қайта ойнату] 🎙️ aa Jao Yaro
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🎙️ aa Jao Yaro
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01 сағ 28 а 11 с
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$ZEC has a bullish setup for the next 5–10 hours, but chasing at $1,242 is not attractive after the recent +49.7% 7-day move. 🔥 My prediction: LONG The strongest signals: Price: ~$1,241.82, with +10.37% in 24h and +49.74% in 7d. Futures net flow: +$13.09M in 1h, +$88.47M in 4h, +$106.11M in 8h and +$109.64M in 12h. Spot flow: positive across 1h–12h, reaching +$16.73M over 12h. Short liquidations are dominating: $10.10M shorts liquidated over 24h versus only $2.42M longs. That's classic squeeze fuel. Long/short account ratios are below 0.50, meaning there is still substantial short positioning that can be squeezed. 🎯 Trade setup LONG ENTRY: $1,218 – $1,228 Don't blindly market-buy $1,242. I want the pullback. SL: $1,195 TP1: $1,260 TP2: $1,300 TP3: $1,340 Expected path: $1,218–1,228 → $1,260 → $1,300 → $1,340 The most likely behavior, in my view, is a short-term pullback/consolidation followed by another squeeze higher. ⚠️ Important invalidation If ZEC loses $1,195, I would abandon the long thesis. Don't keep averaging down. Also, if price simply rockets through $1,260 without giving the $1,218–1,228 entry, don't chase it. After a 50% weekly move, chasing is exactly how you turn a good directional thesis into a bad trade. Bias: 🟢 Bullish | Confidence: ~70% | 5–10h target zone: $1,300–$1,340 This is a technical setup, not a guaranteed prediction. {future}(ZECUSDT)
$ZEC has a bullish setup for the next 5–10 hours, but chasing at $1,242 is not attractive after the recent +49.7% 7-day move.

🔥 My prediction: LONG

The strongest signals:
Price: ~$1,241.82, with +10.37% in 24h and +49.74% in 7d.
Futures net flow: +$13.09M in 1h, +$88.47M in 4h, +$106.11M in 8h and +$109.64M in 12h.
Spot flow: positive across 1h–12h, reaching +$16.73M over 12h.

Short liquidations are dominating: $10.10M shorts liquidated over 24h versus only $2.42M longs.

That's classic squeeze fuel. Long/short account ratios are below 0.50, meaning there is still substantial short positioning that can be squeezed.

🎯 Trade setup

LONG ENTRY: $1,218 – $1,228
Don't blindly market-buy $1,242. I want the pullback.

SL: $1,195
TP1: $1,260
TP2: $1,300
TP3: $1,340

Expected path:

$1,218–1,228 → $1,260 → $1,300 → $1,340

The most likely behavior, in my view, is a short-term pullback/consolidation followed by another squeeze higher.

⚠️ Important invalidation

If ZEC loses $1,195, I would abandon the long thesis. Don't keep averaging down.

Also, if price simply rockets through $1,260 without giving the $1,218–1,228 entry, don't chase it. After a 50% weekly move, chasing is exactly how you turn a good directional thesis into a bad trade.
Bias: 🟢 Bullish | Confidence: ~70% | 5–10h target zone: $1,300–$1,340
This is a technical setup, not a guaranteed prediction.
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