Binance Square
VIKAS JANGRA
4.9k Публикации

VIKAS JANGRA

Square Verified+
Markets Play with Mass Psychology. I Decode the Crowd Mindset. Helping Followers Think Clearly. | Binance Square KOL | X: @VikasjangraX
DeFi Challenge Participant
DeFi Challenge Participant
Трейдер с частыми сделками
5.3 г
71 подписок(и/а)
90.0K+ подписчиков(а)
60.7K+ понравилось
1 Значки
Посты
PINNED
·
--
Don’t see the signal after the move. If I’m tracking a setup, key level or any important market move, I try to update my community first. You’ll get signal updates, market updates and important changes there — without waiting for the next public post. I just want the community to have the information a little earlier, so you can make your own decision with better timing and risk management. If you want to stay close to the market, join the Chatroom. #vikas #vikasjangra #vikasjangracrypto
Don’t see the signal after the move.
If I’m tracking a setup, key level or any important market move, I try to update my community first.
You’ll get signal updates, market updates and important changes there — without waiting for the next public post.
I just want the community to have the information a little earlier, so you can make your own decision with better timing and risk management.
If you want to stay close to the market,
join the Chatroom.

#vikas #vikasjangra #vikasjangracrypto
PINNED
·
--
Рост
𝗔𝗦𝗧𝗘𝗥 𝗵𝗮𝘀 𝘀𝘁𝗮𝗿𝘁𝗲𝗱 𝗺𝗼𝘃𝗶𝗻𝗴 𝘁𝗼𝘄𝗮𝗿𝗱 𝗼𝘂𝗿 𝘁𝗮𝗿𝗴𝗲𝘁𝘀. We already shared this LONG setup around 0.6830–0.6900, with TP1 at 0.7200, TP2 at 0.7660 and TP3 at 0.8036. Now price is moving back toward the first target. 𝗜 𝗵𝗼𝗽𝗲 𝘁𝗵𝗼𝘀𝗲 𝘄𝗵𝗼 𝘁𝗼𝗼𝗸 𝘁𝗵𝗲 𝘀𝗲𝘁𝘂𝗽 𝗮𝗿𝗲 𝗲𝗻𝗷𝗼𝘆𝗶𝗻𝗴 𝘁𝗵𝗲 𝗺𝗼𝘃𝗲. If you missed the entry, there may still be a small window — but I wouldn't chase blindly after the move. Setup is already live. Now let the chart do the work. $ASTER {future}(ASTERUSDT)
𝗔𝗦𝗧𝗘𝗥 𝗵𝗮𝘀 𝘀𝘁𝗮𝗿𝘁𝗲𝗱 𝗺𝗼𝘃𝗶𝗻𝗴 𝘁𝗼𝘄𝗮𝗿𝗱 𝗼𝘂𝗿 𝘁𝗮𝗿𝗴𝗲𝘁𝘀.

We already shared this LONG setup around 0.6830–0.6900, with TP1 at 0.7200, TP2 at 0.7660 and TP3 at 0.8036.

Now price is moving back toward the first target.

𝗜 𝗵𝗼𝗽𝗲 𝘁𝗵𝗼𝘀𝗲 𝘄𝗵𝗼 𝘁𝗼𝗼𝗸 𝘁𝗵𝗲 𝘀𝗲𝘁𝘂𝗽 𝗮𝗿𝗲 𝗲𝗻𝗷𝗼𝘆𝗶𝗻𝗴 𝘁𝗵𝗲 𝗺𝗼𝘃𝗲.

If you missed the entry, there may still be a small window — but I wouldn't chase blindly after the move.

Setup is already live. Now let the chart do the work.

$ASTER
ZK is NOT one to ignore. We shared the long setup before the move — and ZK is already moving toward our first target. But honestly, I’m more interested in what comes next. The structure is improving, momentum is building, and if this breakout sustains, ZK could have a much bigger move ahead. I’m not chasing the pump here. I’m watching how price behaves above the key breakout zone. This project deserves attention. Don’t discover ZK only after the next leg starts. Are you still holding ZK? $ZK {future}(ZKUSDT)
ZK is NOT one to ignore.
We shared the long setup before the move — and ZK is already moving toward our first target.
But honestly, I’m more interested in what comes next.
The structure is improving, momentum is building, and if this breakout sustains, ZK could have a much bigger move ahead.
I’m not chasing the pump here. I’m watching how price behaves above the key breakout zone.
This project deserves attention. Don’t discover ZK only after the next leg starts.
Are you still holding ZK?
$ZK
·
--
Рост
𝗡𝗢𝗧 𝘀𝘂𝗿𝗴𝗲𝘀 +𝟭𝟭%: 𝟭𝟲.𝟳𝗕 𝘃𝗼𝗹𝘂𝗺𝗲 𝗯𝗿𝗲𝗮𝗸𝗼𝘂𝘁 𝗽𝗿𝗲𝘀𝘀𝗲𝘀 𝗶𝗻𝘁𝗼 $𝟬.𝟬𝟬𝟬𝟰𝟲 𝗵𝗶𝗴𝗵𝘀. 𝗡𝗢𝗧/𝗨𝗦𝗗𝗧 (𝗟𝗢𝗡𝗚) • Entry: $0.0004440 – $0.0004500 • Target 1: $0.0004650 • Target 2: $0.0004920 • Target 3: $0.0005250 • Stop Loss: $0.0004320 $NOT is catching aggressive momentum at $0.04496 (+11.31%) after testing a fresh 24h high of $0.0004590, backed by $7.12M in volume (16.76B NOT). Retail is looking at this sudden green candle and waiting for a massive pullback, terrified of buying the top. I've been watching this order tape live — this isn't a random wick. The impulse kicked off cleanly from the $0.0004352 floor, and the shallow dip is already stabilizing right above the 7 and 25 MAs while 99 MA ($0.0004433) is rising fast. When high-volume Telegram ecosystem tokens break out with 16B+ volume, holding this micro-retest usually triggers a clean secondary push through $0.000465 toward the $0.00050+ liquidity pool. 15M candle close below $0.0004320 invalidates the setup; clean break over $0.0004590 triggers rapid continuation. Are you bidding this 7 MA retest at $0.000448 or waiting for a confirmed breakout candle above $0.000460? $NOT {future}(NOTUSDT)
𝗡𝗢𝗧 𝘀𝘂𝗿𝗴𝗲𝘀 +𝟭𝟭%: 𝟭𝟲.𝟳𝗕 𝘃𝗼𝗹𝘂𝗺𝗲 𝗯𝗿𝗲𝗮𝗸𝗼𝘂𝘁 𝗽𝗿𝗲𝘀𝘀𝗲𝘀 𝗶𝗻𝘁𝗼 $𝟬.𝟬𝟬𝟬𝟰𝟲 𝗵𝗶𝗴𝗵𝘀.

𝗡𝗢𝗧/𝗨𝗦𝗗𝗧 (𝗟𝗢𝗡𝗚)

• Entry: $0.0004440 – $0.0004500
• Target 1: $0.0004650
• Target 2: $0.0004920
• Target 3: $0.0005250
• Stop Loss: $0.0004320

$NOT is catching aggressive momentum at $0.04496 (+11.31%) after testing a fresh 24h high of $0.0004590, backed by $7.12M in volume (16.76B NOT).

Retail is looking at this sudden green candle and waiting for a massive pullback, terrified of buying the top.
I've been watching this order tape live — this isn't a random wick. The impulse kicked off cleanly from the $0.0004352 floor, and the shallow dip is already stabilizing right above the 7 and 25 MAs while 99 MA ($0.0004433) is rising fast.
When high-volume Telegram ecosystem tokens break out with 16B+ volume, holding this micro-retest usually triggers a clean secondary push through $0.000465 toward the $0.00050+ liquidity pool.

15M candle close below $0.0004320 invalidates the setup; clean break over $0.0004590 triggers rapid continuation.

Are you bidding this 7 MA retest at $0.000448 or waiting for a confirmed breakout candle above $0.000460?

$NOT
·
--
Рост
𝗠𝗜𝗥𝗔 𝗽𝗿𝗲𝘀𝘀𝗶𝗻𝗴 𝗮𝗴𝗮𝗶𝗻𝘀𝘁 $𝟬.𝟬𝟰𝟲 𝗰𝗲𝗶𝗹𝗶𝗻𝗴: 𝗔𝗴𝗴𝗿𝗲𝘀𝘀𝗶𝘃𝗲 𝗩-𝘀𝗵𝗮𝗽𝗲 𝗿𝗲𝗰𝗹𝗮𝗶𝗺 𝘀𝗲𝘁𝘀 𝘂𝗽 𝗯𝗿𝗲𝗮𝗸𝗼𝘂𝘁. 𝗠𝗜𝗥𝗔/𝗨𝗦𝗗𝗧 (𝗟𝗢𝗡𝗚) • Entry: $0.04520 – $0.04590 • Target 1: $0.04750 • Target 2: $0.04980 • Target 3: $0.05250 • Stop Loss: $0.04410 $MIRA is pushing hard at $0.04588 (+10.00%) right under its 24h high of $0.04609, backed by $8.81M volume (199.38M MIRA). Retail is scared to buy right into this $0.046 resistance, expecting another rejection after the run from $0.0413. Watching this intraday tape, that quick shakeout wick down to $0.0452 was instantly bought up with strong volume, snapping price right back above the 7 and 25 MAs. When a token grinds directly into the 24h high after shaking out early sellers, the ceiling usually shatters for a fast squeeze into the $0.050+ psychological zone. 15M candle close below $0.04410 invalidates the structure; clean breakout over $0.04610 triggers rapid continuation. Are you taking this pre-breakout entry or waiting for a confirmed candle close above $0.0461? $MIRA {future}(MIRAUSDT)
𝗠𝗜𝗥𝗔 𝗽𝗿𝗲𝘀𝘀𝗶𝗻𝗴 𝗮𝗴𝗮𝗶𝗻𝘀𝘁 $𝟬.𝟬𝟰𝟲 𝗰𝗲𝗶𝗹𝗶𝗻𝗴: 𝗔𝗴𝗴𝗿𝗲𝘀𝘀𝗶𝘃𝗲 𝗩-𝘀𝗵𝗮𝗽𝗲 𝗿𝗲𝗰𝗹𝗮𝗶𝗺 𝘀𝗲𝘁𝘀 𝘂𝗽 𝗯𝗿𝗲𝗮𝗸𝗼𝘂𝘁.

𝗠𝗜𝗥𝗔/𝗨𝗦𝗗𝗧 (𝗟𝗢𝗡𝗚)

• Entry: $0.04520 – $0.04590
• Target 1: $0.04750
• Target 2: $0.04980
• Target 3: $0.05250
• Stop Loss: $0.04410

$MIRA is pushing hard at $0.04588 (+10.00%) right under its 24h high of $0.04609, backed by $8.81M volume (199.38M MIRA).

Retail is scared to buy right into this $0.046 resistance, expecting another rejection after the run from $0.0413.
Watching this intraday tape, that quick shakeout wick down to $0.0452 was instantly bought up with strong volume, snapping price right back above the 7 and 25 MAs.
When a token grinds directly into the 24h high after shaking out early sellers, the ceiling usually shatters for a fast squeeze into the $0.050+ psychological zone.

15M candle close below $0.04410 invalidates the structure; clean breakout over $0.04610 triggers rapid continuation.

Are you taking this pre-breakout entry or waiting for a confirmed candle close above $0.0461?

$MIRA
·
--
Рост
𝗗𝗔𝗦𝗛 𝗱𝗶𝗽𝘀 𝗶𝗻𝘁𝗼 𝗸𝗲𝘆 𝟮𝟱 𝗠𝗔 𝘀𝘂𝗽𝗽𝗼𝗿𝘁: $𝟰𝟬.𝟴 𝗿𝗲𝘁𝗲𝘀𝘁 𝗼𝗳𝗳𝗲𝗿𝘀 𝗽𝗿𝗶𝗺𝗲 𝗿𝗶𝘀𝗸-𝘁𝗼-𝗿𝗲𝘄𝗮𝗿𝗱. 𝗗𝗔𝗦𝗛/𝗨𝗦𝗗𝗧 (𝗟𝗢𝗡𝗚) • Entry: $40.50 – $41.20 • Target 1: $43.35 • Target 2: $44.60 • Target 3: $47.50 • Stop Loss: $39.60 $DASH is stabilizing at $40.84 after a healthy morning pullback from $43.35, holding firmly right above its $40.43 daily floor. Retail traders often panic when a green impulse cools off by a couple of dollars, thinking the breakout failed. Looking closely at this 4H structure, this pullback is just a textbook retest of the ascending 25 MA base ($40.10) where sellers are failing to push price below $40.40. Defending this higher-low pocket keeps the broader expansion wave intact, giving us a tight 3% risk buffer for a push back through $44.60 toward the $47.50 liquidity highs. 4H candle close below $39.60 invalidates the structure; reclaiming $43.35 triggers rapid continuation. Are you bidding this 25 MA retest at $40.80 or waiting for a bounce candle confirmation above $42.00? $DASH {future}(DASHUSDT)
𝗗𝗔𝗦𝗛 𝗱𝗶𝗽𝘀 𝗶𝗻𝘁𝗼 𝗸𝗲𝘆 𝟮𝟱 𝗠𝗔 𝘀𝘂𝗽𝗽𝗼𝗿𝘁: $𝟰𝟬.𝟴 𝗿𝗲𝘁𝗲𝘀𝘁 𝗼𝗳𝗳𝗲𝗿𝘀 𝗽𝗿𝗶𝗺𝗲 𝗿𝗶𝘀𝗸-𝘁𝗼-𝗿𝗲𝘄𝗮𝗿𝗱.

𝗗𝗔𝗦𝗛/𝗨𝗦𝗗𝗧 (𝗟𝗢𝗡𝗚)

• Entry: $40.50 – $41.20
• Target 1: $43.35
• Target 2: $44.60
• Target 3: $47.50
• Stop Loss: $39.60

$DASH is stabilizing at $40.84 after a healthy morning pullback from $43.35, holding firmly right above its $40.43 daily floor.

Retail traders often panic when a green impulse cools off by a couple of dollars, thinking the breakout failed.
Looking closely at this 4H structure, this pullback is just a textbook retest of the ascending 25 MA base ($40.10) where sellers are failing to push price below $40.40.
Defending this higher-low pocket keeps the broader expansion wave intact, giving us a tight 3% risk buffer for a push back through $44.60 toward the $47.50 liquidity highs.

4H candle close below $39.60 invalidates the structure; reclaiming $43.35 triggers rapid continuation.

Are you bidding this 25 MA retest at $40.80 or waiting for a bounce candle confirmation above $42.00?

$DASH
·
--
Рост
𝗧𝗡𝗦𝗥 𝗽𝘂𝗹𝗹𝗯𝗮𝗰𝗸 𝗴𝗲𝘁𝘁𝗶𝗻𝗴 𝗮𝗴𝗴𝗿𝗲𝘀𝘀𝗶𝘃𝗲𝗹𝘆 𝗮𝗯𝘀𝗼𝗿𝗯𝗲𝗱: 𝟲𝟵% 𝗯𝗶𝗱 𝗱𝗲𝗽𝘁𝗵 𝘀𝘁𝗮𝗰𝗸𝗶𝗻𝗴 𝗮𝗯𝗼𝘃𝗲 $𝟬.𝟬𝟰𝟬. 𝗧𝗡𝗦𝗥/𝗨𝗦𝗗𝗧 (𝗟𝗢𝗡𝗚) • Entry: $0.03960 – $0.04020 • Target 1: $0.04150 • Target 2: $0.04320 • Target 3: $0.04550 • Stop Loss: $0.03840 $TNSR is catching fresh momentum at $0.04016 after cooling off from its 24h high of $0.04553, backed by a massive $50.57M volume turnover (1.22B TNSR). Retail is sitting on their hands thinking this 18% move is exhausted after that quick dip to $0.0386. I've been watching this tape closely, and the order flow tells a completely different story — 69.2% limit bid depth is quietly stacking between $0.04010 and $0.04015, absorbing market sells right as price flipped back over the 99 MA. When aggressive bids step in right below a volume breakout, it usually reloads the tape for a secondary squeeze back toward the $0.0455 liquidity highs. 1H candle close below $0.03840 invalidates the structure; clean breakout over $0.04064 triggers rapid continuation. Are you loading this $0.040 support base or waiting for a confirmed breakout over $0.0415? $TNSR {future}(TNSRUSDT)
𝗧𝗡𝗦𝗥 𝗽𝘂𝗹𝗹𝗯𝗮𝗰𝗸 𝗴𝗲𝘁𝘁𝗶𝗻𝗴 𝗮𝗴𝗴𝗿𝗲𝘀𝘀𝗶𝘃𝗲𝗹𝘆 𝗮𝗯𝘀𝗼𝗿𝗯𝗲𝗱: 𝟲𝟵% 𝗯𝗶𝗱 𝗱𝗲𝗽𝘁𝗵 𝘀𝘁𝗮𝗰𝗸𝗶𝗻𝗴 𝗮𝗯𝗼𝘃𝗲 $𝟬.𝟬𝟰𝟬.
𝗧𝗡𝗦𝗥/𝗨𝗦𝗗𝗧 (𝗟𝗢𝗡𝗚)
• Entry: $0.03960 – $0.04020
• Target 1: $0.04150
• Target 2: $0.04320
• Target 3: $0.04550
• Stop Loss: $0.03840

$TNSR is catching fresh momentum at $0.04016 after cooling off from its 24h high of $0.04553, backed by a massive $50.57M volume turnover (1.22B TNSR).

Retail is sitting on their hands thinking this 18% move is exhausted after that quick dip to $0.0386.
I've been watching this tape closely, and the order flow tells a completely different story — 69.2% limit bid depth is quietly stacking between $0.04010 and $0.04015, absorbing market sells right as price flipped back over the 99 MA.
When aggressive bids step in right below a volume breakout, it usually reloads the tape for a secondary squeeze back toward the $0.0455 liquidity highs.

1H candle close below $0.03840 invalidates the structure; clean breakout over $0.04064 triggers rapid continuation.

Are you loading this $0.040 support base or waiting for a confirmed breakout over $0.0415?

$TNSR
·
--
Рост
Bitcoin’s move from $63.5K to $80K+ looks healthier than a typical leverage-driven rally. QCP Capital estimates around $2.8B in spot BTC ETF inflows during the move, while futures open interest fell from 646K BTC to 588K BTC. Funding rates also stayed relatively low. That means BTC rose while leverage actually decreased — suggesting spot buying + short covering were major drivers. For me, this is a constructive signal. Less leverage means less liquidation risk underneath the rally. But the next question is simple: Can spot demand continue after the short covering fades? If ETF/spot buying stays strong, I think this rally has a much stronger foundation. If demand weakens, the setup changes quickly. $BTC {future}(BTCUSDT)
Bitcoin’s move from $63.5K to $80K+ looks healthier than a typical leverage-driven rally.

QCP Capital estimates around $2.8B in spot BTC ETF inflows during the move, while futures open interest fell from 646K BTC to 588K BTC.

Funding rates also stayed relatively low.

That means BTC rose while leverage actually decreased — suggesting spot buying + short covering were major drivers.

For me, this is a constructive signal. Less leverage means less liquidation risk underneath the rally.

But the next question is simple:

Can spot demand continue after the short covering fades?

If ETF/spot buying stays strong, I think this rally has a much stronger foundation.

If demand weakens, the setup changes quickly.

$BTC
·
--
Рост
𝗧𝗵𝗲 $𝟯.𝟳𝟬 𝗰𝗲𝗶𝗹𝗶𝗻𝗴 𝗷𝘂𝘀𝘁 𝗴𝗼𝘁 𝘀𝗺𝗮𝘀𝗵𝗲𝗱... $𝟯𝟵𝗠 𝗯𝗿𝗲𝗮𝗸𝗼𝘂𝘁 𝘃𝗼𝗹𝘂𝗺𝗲 𝗶𝘀 𝗹𝗼𝗮𝗱𝗶𝗻𝗴 𝘁𝗵𝗲 $𝟰.𝟲𝟬+ 𝗽𝘂𝘀𝗵 🔥 𝗔𝗨𝗖𝗧𝗜𝗢𝗡/𝗨𝗦𝗗𝗧 (𝗟𝗢𝗡𝗚) • Entry: $3.720 – $3.830 • Target 1: $4.250 • Target 2: $4.650 • Target 3: $5.200 • Stop Loss: $3.440 $AUCTION is breaking out across all timeframes, surging +21% with over 10.6 Million tokens ($39.1M USDT) in 24h volume 🔥 The reason I'm stepping into this LONG setup right now is the clean structural expansion breaking out of a 10-day accumulation base. While retail is hesitating after the +20% move, the chart shows this is only the first impulsive breakout candle above the multi-week $3.697 resistance ceiling. Moving averages have fanned out into a textbook golden cross alignment (MA7: 3.462 > MA25: 3.259 > MA99: 3.060) backed by massive $39.1M volume. On the 4H and Daily charts, AUCTION has thoroughly absorbed the sell-side overhang from the August 20 low ($2.699). The former resistance at $3.697 has now flipped into solid structural support. A clean 4H close above $3.90 opens a liquidity vacuum toward $4.25 and the $4.65 mid-range supply target. As long as price holds above the $3.440 invalidation floor (safely below the MA7 breakout base), the momentum heavily favors the upside continuation. $AUCTION {future}(AUCTIONUSDT)
𝗧𝗵𝗲 $𝟯.𝟳𝟬 𝗰𝗲𝗶𝗹𝗶𝗻𝗴 𝗷𝘂𝘀𝘁 𝗴𝗼𝘁 𝘀𝗺𝗮𝘀𝗵𝗲𝗱... $𝟯𝟵𝗠 𝗯𝗿𝗲𝗮𝗸𝗼𝘂𝘁 𝘃𝗼𝗹𝘂𝗺𝗲 𝗶𝘀 𝗹𝗼𝗮𝗱𝗶𝗻𝗴 𝘁𝗵𝗲 $𝟰.𝟲𝟬+ 𝗽𝘂𝘀𝗵 🔥
𝗔𝗨𝗖𝗧𝗜𝗢𝗡/𝗨𝗦𝗗𝗧 (𝗟𝗢𝗡𝗚)
• Entry: $3.720 – $3.830
• Target 1: $4.250
• Target 2: $4.650
• Target 3: $5.200
• Stop Loss: $3.440
$AUCTION is breaking out across all timeframes, surging +21% with over 10.6 Million tokens ($39.1M USDT) in 24h volume 🔥
The reason I'm stepping into this LONG setup right now is the clean structural expansion breaking out of a 10-day accumulation base. While retail is hesitating after the +20% move, the chart shows this is only the first impulsive breakout candle above the multi-week $3.697 resistance ceiling. Moving averages have fanned out into a textbook golden cross alignment (MA7: 3.462 > MA25: 3.259 > MA99: 3.060) backed by massive $39.1M volume.
On the 4H and Daily charts, AUCTION has thoroughly absorbed the sell-side overhang from the August 20 low ($2.699). The former resistance at $3.697 has now flipped into solid structural support. A clean 4H close above $3.90 opens a liquidity vacuum toward $4.25 and the $4.65 mid-range supply target.
As long as price holds above the $3.440 invalidation floor (safely below the MA7 breakout base), the momentum heavily favors the upside continuation.
$AUCTION
·
--
Падение
𝗧𝗵𝗲 $𝟬.𝟯𝟳𝟴 𝗯𝗹𝗼𝘄-𝗼𝗳𝗳 𝘁𝗼𝗽 𝗶𝘀 𝘂𝗻𝘄𝗶𝗻𝗱𝗶𝗻𝗴... 𝗠𝗔(𝟳) 𝗿𝗲𝗷𝗲𝗰𝘁𝗶𝗼𝗻 𝗶𝘀 𝘀𝗲𝘁𝘁𝗶𝗻𝗴 𝘂𝗽 𝘁𝗵𝗲 $𝟬.𝟭𝟰𝟱 𝗯𝗿𝗲𝗮𝗸𝗱𝗼𝘄𝗻 📉 ​𝗔𝗖𝗘/𝗨𝗦𝗗𝗧 (𝗦𝗛𝗢𝗥𝗧) ​• Entry: $0.18800 – $0.19800 • Target 1: $0.16800 • Target 2: $0.14500 • Target 3: $0.11800 • Stop Loss: $0.21200 ​$ACE is breaking down from its post-pump distribution, shedding -24% this week after topping at $0.37888 📉 ​The reason I'm favoring a SHORT setup here is simple: we are witnessing classic post-parabolic distribution. After a massive +500% run to $0.37888, aggressive profit-taking has trapped late retail buyers across the $0.25–$0.35 zone. Every relief bounce over the past week has printed lower highs, with daily price action getting heavily rejected beneath the falling 7-day MA ($0.20375). ​The local $0.1850 base is resting precariously right above the 25-day MA ($0.1770). Once that dynamic support cracks, there is an air pocket in liquidity down toward the $0.1450 and $0.1180 retest levels. Selling rallies into overhead resistance gives us the highest-probability risk-to-reward on the board. ​As long as daily closes stay capped below the $0.21200 invalidation ceiling (safely above MA7 resistance), the momentum heavily favors the downside continuation. ​$ACE
𝗧𝗵𝗲 $𝟬.𝟯𝟳𝟴 𝗯𝗹𝗼𝘄-𝗼𝗳𝗳 𝘁𝗼𝗽 𝗶𝘀 𝘂𝗻𝘄𝗶𝗻𝗱𝗶𝗻𝗴... 𝗠𝗔(𝟳) 𝗿𝗲𝗷𝗲𝗰𝘁𝗶𝗼𝗻 𝗶𝘀 𝘀𝗲𝘁𝘁𝗶𝗻𝗴 𝘂𝗽 𝘁𝗵𝗲 $𝟬.𝟭𝟰𝟱 𝗯𝗿𝗲𝗮𝗸𝗱𝗼𝘄𝗻 📉
​𝗔𝗖𝗘/𝗨𝗦𝗗𝗧 (𝗦𝗛𝗢𝗥𝗧)
​• Entry: $0.18800 – $0.19800
• Target 1: $0.16800
• Target 2: $0.14500
• Target 3: $0.11800
• Stop Loss: $0.21200

$ACE is breaking down from its post-pump distribution, shedding -24% this week after topping at $0.37888 📉

​The reason I'm favoring a SHORT setup here is simple: we are witnessing classic post-parabolic distribution. After a massive +500% run to $0.37888, aggressive profit-taking has trapped late retail buyers across the $0.25–$0.35 zone. Every relief bounce over the past week has printed lower highs, with daily price action getting heavily rejected beneath the falling 7-day MA ($0.20375).

​The local $0.1850 base is resting precariously right above the 25-day MA ($0.1770). Once that dynamic support cracks, there is an air pocket in liquidity down toward the $0.1450 and $0.1180 retest levels. Selling rallies into overhead resistance gives us the highest-probability risk-to-reward on the board.

​As long as daily closes stay capped below the $0.21200 invalidation ceiling (safely above MA7 resistance), the momentum heavily favors the downside continuation.

$ACE
·
--
Рост
𝗧𝗵𝗲 $𝟭.𝟲𝟴 𝗮𝗰𝗰𝘂𝗺𝘂𝗹𝗮𝘁𝗶𝗼𝗻 𝗳𝗹𝗼𝗼𝗿 𝗶𝘀 𝗹𝗼𝗰𝗸𝗲𝗱... 𝘀𝗽𝗼𝘁 𝗮𝗯𝘀𝗼𝗿𝗽𝘁𝗶𝗼𝗻 𝗶𝘀 𝗽𝗿𝗲𝗽𝗮𝗿𝗶𝗻𝗴 𝘁𝗵𝗲 $𝟮.𝟬𝟬+ 𝗯𝗿𝗲𝗮𝗸𝗼𝘂𝘁 🔥 𝗖𝗔𝗞𝗘/𝗨𝗦𝗗𝗧 (𝗟𝗢𝗡𝗚) • Entry: $1.680 – $1.760 • Target 1: $1.980 • Target 2: $2.350 • Target 3: $2.750 • Stop Loss: $1.560 $CAKE is breaking out across all timeframes, surging +2.5% with over 15.2 Million tokens ($26.4M USDT) in 24h volume 🔥 The reason I'm taking this trade right now is the sheer resilience of the higher-low base formed on the 4H and Daily charts. After sweeping the $1.428 cycle low in mid-August, sellers have completely lost momentum, and smart money has steadily stepped in to defend the $1.68–$1.72 shelf. The supply overhang from previous selloffs has been thoroughly absorbed, and moving averages are beginning to fan out upward. On the 1D and 1W charts, CAKE is breaking out from a multi-month accumulation wedge. A clean 4H close above $1.820 triggers an aggressive liquidity cascade toward $1.980 and the $2.350 mid-range supply pocket. As long as price holds above the $1.560 invalidation floor (safely below the primary higher-low pivot), the momentum heavily favors the upside. $CAKE {future}(CAKEUSDT)
𝗧𝗵𝗲 $𝟭.𝟲𝟴 𝗮𝗰𝗰𝘂𝗺𝘂𝗹𝗮𝘁𝗶𝗼𝗻 𝗳𝗹𝗼𝗼𝗿 𝗶𝘀 𝗹𝗼𝗰𝗸𝗲𝗱... 𝘀𝗽𝗼𝘁 𝗮𝗯𝘀𝗼𝗿𝗽𝘁𝗶𝗼𝗻 𝗶𝘀 𝗽𝗿𝗲𝗽𝗮𝗿𝗶𝗻𝗴 𝘁𝗵𝗲 $𝟮.𝟬𝟬+ 𝗯𝗿𝗲𝗮𝗸𝗼𝘂𝘁 🔥
𝗖𝗔𝗞𝗘/𝗨𝗦𝗗𝗧 (𝗟𝗢𝗡𝗚)
• Entry: $1.680 – $1.760
• Target 1: $1.980
• Target 2: $2.350
• Target 3: $2.750
• Stop Loss: $1.560
$CAKE is breaking out across all timeframes, surging +2.5% with over 15.2 Million tokens ($26.4M USDT) in 24h volume 🔥
The reason I'm taking this trade right now is the sheer resilience of the higher-low base formed on the 4H and Daily charts. After sweeping the $1.428 cycle low in mid-August, sellers have completely lost momentum, and smart money has steadily stepped in to defend the $1.68–$1.72 shelf. The supply overhang from previous selloffs has been thoroughly absorbed, and moving averages are beginning to fan out upward.
On the 1D and 1W charts, CAKE is breaking out from a multi-month accumulation wedge. A clean 4H close above $1.820 triggers an aggressive liquidity cascade toward $1.980 and the $2.350 mid-range supply pocket.
As long as price holds above the $1.560 invalidation floor (safely below the primary higher-low pivot), the momentum heavily favors the upside.
$CAKE
·
--
Рост
𝗧𝗵𝗲 $𝟬.𝟬𝟬𝟵𝟭 𝗱𝗶𝗽 𝗷𝘂𝘀𝘁 𝗴𝗼𝘁 𝗮𝗴𝗴𝗿𝗲𝘀𝘀𝗶𝘃𝗲𝗹𝘆 𝗮𝗯𝘀𝗼𝗿𝗯𝗲𝗱... 𝘀𝗽𝗼𝘁 𝗯𝗶𝗱𝘀 𝗮𝗿𝗲 𝘀𝘁𝗮𝗰𝗸𝗲𝗱 𝗳𝗼𝗿 𝘁𝗵𝗲 $𝟬.𝟬𝟭𝟬+ 𝗯𝗿𝗲𝗮𝗸𝗼𝘂𝘁 🔥 𝗭𝗞/𝗨𝗦𝗗𝗧 (𝗟𝗢𝗡𝗚) • Entry: $0.009200 – $0.009450 • Target 1: $0.010200 • Target 2: $0.011200 • Target 3: $0.012500 • Stop Loss: $0.008600 $ZK is breaking out across all timeframes, surging +13% with over 3.11 Billion tokens ($28.1M USDT) in 24h volume 🔥 The reason I'm entering this setup right now is the sheer speed of absorption on the 15M chart. After tapping the 0.009784 high, weak hands dumped into the 0.009141 support shelf, but the order book absorbed every single market sell order with 57.7% bid dominance. Moving averages have fanned out into clean bullish alignment (MA7 > MA25 > MA99), confirming that smart money is using shallow dips to reload before the $0.0100 psychological breakout. On the 4H and Daily charts, ZK has completed a solid macro bottom reversal from the 0.008136 cycle floor, printing aggressive higher-lows. A clean 15M close above 0.00950 opens the floodgates for an immediate liquidity squeeze toward 0.01020 and 0.01120. As long as price holds above the 0.008600 invalidation floor (safely below the MA99 structural base), the momentum heavily favors the upside. $ZK {future}(ZKUSDT)
𝗧𝗵𝗲 $𝟬.𝟬𝟬𝟵𝟭 𝗱𝗶𝗽 𝗷𝘂𝘀𝘁 𝗴𝗼𝘁 𝗮𝗴𝗴𝗿𝗲𝘀𝘀𝗶𝘃𝗲𝗹𝘆 𝗮𝗯𝘀𝗼𝗿𝗯𝗲𝗱... 𝘀𝗽𝗼𝘁 𝗯𝗶𝗱𝘀 𝗮𝗿𝗲 𝘀𝘁𝗮𝗰𝗸𝗲𝗱 𝗳𝗼𝗿 𝘁𝗵𝗲 $𝟬.𝟬𝟭𝟬+ 𝗯𝗿𝗲𝗮𝗸𝗼𝘂𝘁 🔥
𝗭𝗞/𝗨𝗦𝗗𝗧 (𝗟𝗢𝗡𝗚)
• Entry: $0.009200 – $0.009450
• Target 1: $0.010200
• Target 2: $0.011200
• Target 3: $0.012500
• Stop Loss: $0.008600
$ZK is breaking out across all timeframes, surging +13% with over 3.11 Billion tokens ($28.1M USDT) in 24h volume 🔥
The reason I'm entering this setup right now is the sheer speed of absorption on the 15M chart. After tapping the 0.009784 high, weak hands dumped into the 0.009141 support shelf, but the order book absorbed every single market sell order with 57.7% bid dominance. Moving averages have fanned out into clean bullish alignment (MA7 > MA25 > MA99), confirming that smart money is using shallow dips to reload before the $0.0100 psychological breakout.
On the 4H and Daily charts, ZK has completed a solid macro bottom reversal from the 0.008136 cycle floor, printing aggressive higher-lows. A clean 15M close above 0.00950 opens the floodgates for an immediate liquidity squeeze toward 0.01020 and 0.01120.
As long as price holds above the 0.008600 invalidation floor (safely below the MA99 structural base), the momentum heavily favors the upside.
$ZK
·
--
Рост
𝗧𝗵𝗲 $𝟰.𝟴𝟯 𝗳𝗹𝗮𝗴 𝗶𝘀 𝗵𝗼𝗹𝗱𝗶𝗻𝗴 𝗮𝗴𝗴𝗿𝗲𝘀𝘀𝗶𝘃𝗲𝗹𝘆... 𝘀𝗽𝗼𝘁 𝗯𝗶𝗱𝘀 𝗮𝗿𝗲 𝘀𝘁𝗮𝗰𝗸𝗲𝗱 𝗳𝗼𝗿 𝘁𝗵𝗲 $𝟱.𝟬𝟬+ 𝗯𝗿𝗲𝗮𝗸𝗼𝘂𝘁 🔥 𝗨𝗡𝗜/𝗨𝗦𝗗𝗧 (𝗟𝗢𝗡𝗚) • 𝗘𝗻𝘁𝗿𝘆: 4.800 – 4.900 • 𝗧𝗮𝗿𝗴𝗲𝘁 𝟭/𝟮/𝟯: 5.150 / 5.450 / 5.850 • 𝗦𝘁𝗼𝗽 𝗟𝗼𝘀𝘀: 4.560 UNI is printing a textbook 15M bull flag consolidation (+10.3%), compressing tightly between 4.836 and 4.935 with moving averages aligned in a clean bullish fan (MA7: 4.881 / MA25: 4.799 / MA99: 4.584). Order book depth shows clear spot buyer dominance with 57.7% bid support defending the 4.870 shelf against market sells. Both 15M and 1H timeframes agree on trend continuation, setting up an immediate breakout through 4.935 to sweep the 5.00 psychological barrier before expanding toward 5.450 and 5.850. A 15M close below 4.560 breaks the ascending MA structure and invalidates the setup; clearing 4.940 confirms impulsive expansion toward 5.150+. ⚠️ Risk note: Potential liquidity wicks around the $5.00 psychological round level; cap position allocation at 2–3% total portfolio risk. $UNI {future}(UNIUSDT)
𝗧𝗵𝗲 $𝟰.𝟴𝟯 𝗳𝗹𝗮𝗴 𝗶𝘀 𝗵𝗼𝗹𝗱𝗶𝗻𝗴 𝗮𝗴𝗴𝗿𝗲𝘀𝘀𝗶𝘃𝗲𝗹𝘆... 𝘀𝗽𝗼𝘁 𝗯𝗶𝗱𝘀 𝗮𝗿𝗲 𝘀𝘁𝗮𝗰𝗸𝗲𝗱 𝗳𝗼𝗿 𝘁𝗵𝗲 $𝟱.𝟬𝟬+ 𝗯𝗿𝗲𝗮𝗸𝗼𝘂𝘁 🔥
𝗨𝗡𝗜/𝗨𝗦𝗗𝗧 (𝗟𝗢𝗡𝗚)
• 𝗘𝗻𝘁𝗿𝘆: 4.800 – 4.900
• 𝗧𝗮𝗿𝗴𝗲𝘁 𝟭/𝟮/𝟯: 5.150 / 5.450 / 5.850
• 𝗦𝘁𝗼𝗽 𝗟𝗼𝘀𝘀: 4.560
UNI is printing a textbook 15M bull flag consolidation (+10.3%), compressing tightly between 4.836 and 4.935 with moving averages aligned in a clean bullish fan (MA7: 4.881 / MA25: 4.799 / MA99: 4.584). Order book depth shows clear spot buyer dominance with 57.7% bid support defending the 4.870 shelf against market sells. Both 15M and 1H timeframes agree on trend continuation, setting up an immediate breakout through 4.935 to sweep the 5.00 psychological barrier before expanding toward 5.450 and 5.850.
A 15M close below 4.560 breaks the ascending MA structure and invalidates the setup; clearing 4.940 confirms impulsive expansion toward 5.150+.
⚠️ Risk note: Potential liquidity wicks around the $5.00 psychological round level; cap position allocation at 2–3% total portfolio risk.
$UNI
·
--
Рост
𝗧𝗵𝗲 $𝟬.𝟬𝟮𝟯𝟴 𝗯𝗿𝗲𝗮𝗸𝗼𝘂𝘁 𝘀𝗵𝗲𝗹𝗳 𝗶𝘀 𝗵𝗼𝗹𝗱𝗶𝗻𝗴 𝗳𝗶𝗿𝗺... 𝗺𝗼𝗺𝗲𝗻𝘁𝘂𝗺 𝗶𝘀 𝗽𝗿𝗲𝗽𝗮𝗿𝗶𝗻𝗴 𝘁𝗵𝗲 $𝟬.𝟬𝟮𝟲𝟱+ 𝗽𝘂𝘀𝗵 🔥 𝗕𝗜𝗖𝗢/𝗨𝗦𝗗𝗧 (𝗟𝗢𝗡𝗚) • 𝗘𝗻𝘁𝗿𝘆: 0.02400 – 0.02490 • 𝗧𝗮𝗿𝗴𝗲𝘁 𝟭/𝟮/𝟯: 0.02650 / 0.02850 / 0.03150 • 𝗦𝘁𝗼𝗽 𝗟𝗼𝘀𝘀: 0.02280 BICO is printing a clean 15M bull flag consolidation (+11.4%), holding comfortably above the rising MA(7) ($0.02428) after an impulsive surge to 0.02541. Moving averages show complete bullish alignment (MA7 > MA25 > MA99), confirming aggressive spot and perpetual bidding absorbing every dip above 0.02389. Both 15M and 1H timeframes agree on strong continuation, setting up an initial liquidity sweep of 0.02650 before expanding into the 0.02850 and 0.03150 macro targets. A 15M close below 0.02280 breaks the ascending MA structure and invalidates the setup; clearing 0.02545 confirms impulsive expansion toward 0.02650+. ⚠️ Risk note: Fast intraday momentum with potential wick flushes; strictly cap position size at 1.5–2% total portfolio risk. $BICO {future}(BICOUSDT)
𝗧𝗵𝗲 $𝟬.𝟬𝟮𝟯𝟴 𝗯𝗿𝗲𝗮𝗸𝗼𝘂𝘁 𝘀𝗵𝗲𝗹𝗳 𝗶𝘀 𝗵𝗼𝗹𝗱𝗶𝗻𝗴 𝗳𝗶𝗿𝗺... 𝗺𝗼𝗺𝗲𝗻𝘁𝘂𝗺 𝗶𝘀 𝗽𝗿𝗲𝗽𝗮𝗿𝗶𝗻𝗴 𝘁𝗵𝗲 $𝟬.𝟬𝟮𝟲𝟱+ 𝗽𝘂𝘀𝗵 🔥
𝗕𝗜𝗖𝗢/𝗨𝗦𝗗𝗧 (𝗟𝗢𝗡𝗚)
• 𝗘𝗻𝘁𝗿𝘆: 0.02400 – 0.02490
• 𝗧𝗮𝗿𝗴𝗲𝘁 𝟭/𝟮/𝟯: 0.02650 / 0.02850 / 0.03150
• 𝗦𝘁𝗼𝗽 𝗟𝗼𝘀𝘀: 0.02280
BICO is printing a clean 15M bull flag consolidation (+11.4%), holding comfortably above the rising MA(7) ($0.02428) after an impulsive surge to 0.02541. Moving averages show complete bullish alignment (MA7 > MA25 > MA99), confirming aggressive spot and perpetual bidding absorbing every dip above 0.02389. Both 15M and 1H timeframes agree on strong continuation, setting up an initial liquidity sweep of 0.02650 before expanding into the 0.02850 and 0.03150 macro targets.
A 15M close below 0.02280 breaks the ascending MA structure and invalidates the setup; clearing 0.02545 confirms impulsive expansion toward 0.02650+.
⚠️ Risk note: Fast intraday momentum with potential wick flushes; strictly cap position size at 1.5–2% total portfolio risk.
$BICO
·
--
Рост
𝗧𝗵𝗲 $𝟬.𝟬𝟭𝟱𝟭 𝗯𝗮𝘀𝗲 𝗷𝘂𝘀𝘁 𝗶𝗴𝗻𝗶𝘁𝗲𝗱 𝗽𝗮𝗿𝗮𝗯𝗼𝗹𝗶𝗰 𝗲𝘅𝗽𝗮𝗻𝘀𝗶𝗼𝗻... 𝗯𝘂𝘆𝗲𝗿𝘀 𝗮𝗿𝗲 𝗰𝗹𝗲𝗮𝗿𝗶𝗻𝗴 $𝟬.𝟬𝟭𝟲𝟯𝟴 𝗵𝗶𝗴𝗵𝘀 🔥 𝗞𝗢𝗠𝗔/𝗨𝗦𝗗𝗧 (𝗟𝗢𝗡𝗚) • 𝗘𝗻𝘁𝗿𝘆: 0.015600 – 0.016350 • 𝗧𝗮𝗿𝗴𝗲𝘁 𝟭/𝟮/𝟯: 0.017500 / 0.019000 / 0.021000 • 𝗦𝘁𝗼𝗽 𝗟𝗼𝘀𝘀: 0.014400 KOMA is printing an aggressive 15M momentum impulse (+26.4%), breaking out above its 0.015100 consolidation shelf with moving averages fanning out in pure bullish alignment (MA7: 0.01534 / MA25: 0.01468). The staircase higher-low sequence has advanced uninterrupted from the 0.013100 base, showing steady spot and perpetual bid absorption. Both 15M and 1H timeframes agree on strong continuation, setting up an initial liquidity sweep of 0.017500 before pushing into the 0.019000 and 0.021000 blue-sky expansion targets. A 15M close below 0.014400 breaks the ascending MA structure and invalidates the setup; clearing 0.016400 confirms impulsive expansion toward 0.017500+. ⚠️ Risk note: Parabolic low-cap perpetual momentum with high-speed wick volatility; strictly cap position size at 1–1.5% total portfolio risk. $KOMA {future}(KOMAUSDT)
𝗧𝗵𝗲 $𝟬.𝟬𝟭𝟱𝟭 𝗯𝗮𝘀𝗲 𝗷𝘂𝘀𝘁 𝗶𝗴𝗻𝗶𝘁𝗲𝗱 𝗽𝗮𝗿𝗮𝗯𝗼𝗹𝗶𝗰 𝗲𝘅𝗽𝗮𝗻𝘀𝗶𝗼𝗻... 𝗯𝘂𝘆𝗲𝗿𝘀 𝗮𝗿𝗲 𝗰𝗹𝗲𝗮𝗿𝗶𝗻𝗴 $𝟬.𝟬𝟭𝟲𝟯𝟴 𝗵𝗶𝗴𝗵𝘀 🔥
𝗞𝗢𝗠𝗔/𝗨𝗦𝗗𝗧 (𝗟𝗢𝗡𝗚)
• 𝗘𝗻𝘁𝗿𝘆: 0.015600 – 0.016350
• 𝗧𝗮𝗿𝗴𝗲𝘁 𝟭/𝟮/𝟯: 0.017500 / 0.019000 / 0.021000
• 𝗦𝘁𝗼𝗽 𝗟𝗼𝘀𝘀: 0.014400
KOMA is printing an aggressive 15M momentum impulse (+26.4%), breaking out above its 0.015100 consolidation shelf with moving averages fanning out in pure bullish alignment (MA7: 0.01534 / MA25: 0.01468). The staircase higher-low sequence has advanced uninterrupted from the 0.013100 base, showing steady spot and perpetual bid absorption. Both 15M and 1H timeframes agree on strong continuation, setting up an initial liquidity sweep of 0.017500 before pushing into the 0.019000 and 0.021000 blue-sky expansion targets.
A 15M close below 0.014400 breaks the ascending MA structure and invalidates the setup; clearing 0.016400 confirms impulsive expansion toward 0.017500+.
⚠️ Risk note: Parabolic low-cap perpetual momentum with high-speed wick volatility; strictly cap position size at 1–1.5% total portfolio risk.
$KOMA
𝗕𝗲𝗲𝗻 𝘄𝗮𝘁𝗰𝗵𝗶𝗻𝗴 𝘁𝗵𝗶𝘀 $𝟬.𝟰𝟱 𝗮𝗰𝗰𝘂𝗺𝘂𝗹𝗮𝘁𝗶𝗼𝗻 𝗯𝗮𝘀𝗲 𝗰𝗼𝗺𝗽𝗿𝗲𝘀𝘀... 𝘀𝗽𝗼𝘁 𝗮𝗯𝘀𝗼𝗿𝗽𝘁𝗶𝗼𝗻 𝗶𝘀 𝗽𝗿𝗲𝗽𝗮𝗿𝗶𝗻𝗴 𝘁𝗵𝗲 $𝟬.𝟱𝟰+ 𝗯𝗿𝗲𝗮𝗸𝗼𝘂𝘁 🔥 ​𝗧𝗪𝗧/𝗨𝗦𝗗𝗧 (𝗟𝗢𝗡𝗚) ​• 𝗘𝗻𝘁𝗿𝘆: 0.4550 – 0.4850 • 𝗧𝗮𝗿𝗴𝗲𝘁 𝟭/𝟮/𝟯: 0.5450 / 0.6200 / 0.7400 • 𝗦𝘁𝗼𝗽 𝗟𝗼𝘀𝘀: 0.4180 ​TWT is completing a clean structural retest of the 0.4550–0.4850 demand shelf after breaking out from its multi-week bottoming pattern. 4H sell volume has dried up significantly during this pullback, confirming that spot buyers are actively absorbing supply rather than allowing a breakdown. Both 1D and 4H timeframes agree on a macro higher-low reversal from the 0.3820 baseline, setting up an initial liquidity sweep of 0.5450 before expanding toward the 0.6200 and 0.7400 macro targets. ​A 4H close below 0.4180 breaks the accumulation structure and invalidates the setup; structural acceptance above 0.5020 confirms continuation toward higher targets. ​⚠️ Risk note: Utility ecosystem dependency on broader Binance/BNB sentiment; keep position allocation capped at 2–3% total portfolio risk. ​$TWT {future}(TWTUSDT)
𝗕𝗲𝗲𝗻 𝘄𝗮𝘁𝗰𝗵𝗶𝗻𝗴 𝘁𝗵𝗶𝘀 $𝟬.𝟰𝟱 𝗮𝗰𝗰𝘂𝗺𝘂𝗹𝗮𝘁𝗶𝗼𝗻 𝗯𝗮𝘀𝗲 𝗰𝗼𝗺𝗽𝗿𝗲𝘀𝘀... 𝘀𝗽𝗼𝘁 𝗮𝗯𝘀𝗼𝗿𝗽𝘁𝗶𝗼𝗻 𝗶𝘀 𝗽𝗿𝗲𝗽𝗮𝗿𝗶𝗻𝗴 𝘁𝗵𝗲 $𝟬.𝟱𝟰+ 𝗯𝗿𝗲𝗮𝗸𝗼𝘂𝘁 🔥
​𝗧𝗪𝗧/𝗨𝗦𝗗𝗧 (𝗟𝗢𝗡𝗚)
​• 𝗘𝗻𝘁𝗿𝘆: 0.4550 – 0.4850
• 𝗧𝗮𝗿𝗴𝗲𝘁 𝟭/𝟮/𝟯: 0.5450 / 0.6200 / 0.7400
• 𝗦𝘁𝗼𝗽 𝗟𝗼𝘀𝘀: 0.4180

​TWT is completing a clean structural retest of the 0.4550–0.4850 demand shelf after breaking out from its multi-week bottoming pattern. 4H sell volume has dried up significantly during this pullback, confirming that spot buyers are actively absorbing supply rather than allowing a breakdown. Both 1D and 4H timeframes agree on a macro higher-low reversal from the 0.3820 baseline, setting up an initial liquidity sweep of 0.5450 before expanding toward the 0.6200 and 0.7400 macro targets.

​A 4H close below 0.4180 breaks the accumulation structure and invalidates the setup; structural acceptance above 0.5020 confirms continuation toward higher targets.

​⚠️ Risk note: Utility ecosystem dependency on broader Binance/BNB sentiment; keep position allocation capped at 2–3% total portfolio risk.

$TWT
·
--
Рост
𝗪𝗵𝘆 $𝟰 𝗖𝗼𝘂𝗹𝗱 𝗥𝗲𝗮𝗹𝗶𝘀𝘁𝗶𝗰𝗮𝗹𝗹𝘆 𝗥𝗲𝗮𝗰𝗵 $𝟬.𝟭𝟬 Most traders see a +43% move and think the opportunity is gone. I’m looking at the volume. $4 recorded $176.41M in 24H volume against roughly 10.19B tokens traded. That is an unusually aggressive turnover for a token at this price — and it tells me this move deserves more attention than a normal pump. The structure is even more interesting. The $0.0087 wick flushed the previous downside. Price then built a base around $0.0135 before breaking higher. Now, after hitting $0.02088, sellers pushed price back — but buyers are still defending the $0.0160–$0.0168 zone. That’s the level I’m watching. If $0.0215 breaks and later flips into support, the market enters a much cleaner price-discovery zone. And in a momentum-driven low-cap asset, that’s where moves can become violent. My view: I wouldn’t chase the $0.0208 wick. I’d rather see whether $0.016–$0.0168 holds and whether the $0.0215 breakout gets confirmed. If the $0.0135 structural base remains intact, then $0.050 becomes a realistic intermediate level — with $0.10 as the bigger high-risk target, not a guaranteed outcome. Would you rather see $4 reclaim $0.0215 immediately, or get one more retest toward $0.0145 first? $4 {future}(4USDT)
𝗪𝗵𝘆 $𝟰 𝗖𝗼𝘂𝗹𝗱 𝗥𝗲𝗮𝗹𝗶𝘀𝘁𝗶𝗰𝗮𝗹𝗹𝘆 𝗥𝗲𝗮𝗰𝗵 $𝟬.𝟭𝟬

Most traders see a +43% move and think the opportunity is gone.

I’m looking at the volume.

$4 recorded $176.41M in 24H volume against roughly 10.19B tokens traded.

That is an unusually aggressive turnover for a token at this price — and it tells me this move deserves more attention than a normal pump.

The structure is even more interesting.

The $0.0087 wick flushed the previous downside. Price then built a base around $0.0135 before breaking higher.

Now, after hitting $0.02088, sellers pushed price back — but buyers are still defending the $0.0160–$0.0168 zone.

That’s the level I’m watching.

If $0.0215 breaks and later flips into support, the market enters a much cleaner price-discovery zone.

And in a momentum-driven low-cap asset, that’s where moves can become violent.

My view: I wouldn’t chase the $0.0208 wick.

I’d rather see whether $0.016–$0.0168 holds and whether the $0.0215 breakout gets confirmed.

If the $0.0135 structural base remains intact, then $0.050 becomes a realistic intermediate level — with $0.10 as the bigger high-risk target, not a guaranteed outcome.

Would you rather see $4 reclaim $0.0215 immediately, or get one more retest toward $0.0145 first?

$4
·
--
Рост
𝗧𝗵𝗲 $𝟰𝟮.𝟳 𝗿𝗲𝘀𝗶𝘀𝘁𝗮𝗻𝗰𝗲 𝗷𝘂𝘀𝘁 𝗴𝗼𝘁 𝗱𝗲𝘀𝘁𝗿𝗼𝘆𝗲𝗱... 𝗱𝗮𝗶𝗹𝘆 𝗯𝗿𝗲𝗮𝗸𝗼𝘂𝘁 𝘃𝗼𝗹𝘂𝗺𝗲 𝗶𝘀 𝗽𝘂𝘀𝗵𝗶𝗻𝗴 $𝟱𝟬+ 🔥 𝗚𝗜𝗚𝗚𝗟𝗘/𝗨𝗦𝗗𝗧 (𝗟𝗢𝗡𝗚) • 𝗘𝗻𝘁𝗿𝘆: 43.50 – 45.50 • 𝗧𝗮𝗿𝗴𝗲𝘁 𝟭/𝟮/𝟯: 48.50 / 52.00 / 56.00 • 𝗦𝘁𝗼𝗽 𝗟𝗼𝘀𝘀: 39.40 GIGGLE is printing a massive 4H expansion impulse (+24.6%), blowing straight through the 42.70 macro resistance to tap 45.82 with expanding volume ($40.6M USDT). The higher-low structure holds firmly above the 35.09 base, confirming aggressive spot and perpetual bidding dominating the order book. Both 1D and 4H timeframes agree on strong trend continuation, setting up an initial liquidity sweep of 48.50 before extending into the 52.00 and 56.00 expansion targets. A 4H close below 39.40 breaks the breakout shelf and invalidates the setup; acceptance above 46.00 confirms impulsive expansion toward the upper targets. ⚠️ Risk note: High-volatility perpetual with rapid wick retests; strictly cap position size at 1.5–2% total portfolio risk. $GIGGLE {future}(GIGGLEUSDT)
𝗧𝗵𝗲 $𝟰𝟮.𝟳 𝗿𝗲𝘀𝗶𝘀𝘁𝗮𝗻𝗰𝗲 𝗷𝘂𝘀𝘁 𝗴𝗼𝘁 𝗱𝗲𝘀𝘁𝗿𝗼𝘆𝗲𝗱... 𝗱𝗮𝗶𝗹𝘆 𝗯𝗿𝗲𝗮𝗸𝗼𝘂𝘁 𝘃𝗼𝗹𝘂𝗺𝗲 𝗶𝘀 𝗽𝘂𝘀𝗵𝗶𝗻𝗴 $𝟱𝟬+ 🔥
𝗚𝗜𝗚𝗚𝗟𝗘/𝗨𝗦𝗗𝗧 (𝗟𝗢𝗡𝗚)
• 𝗘𝗻𝘁𝗿𝘆: 43.50 – 45.50
• 𝗧𝗮𝗿𝗴𝗲𝘁 𝟭/𝟮/𝟯: 48.50 / 52.00 / 56.00
• 𝗦𝘁𝗼𝗽 𝗟𝗼𝘀𝘀: 39.40
GIGGLE is printing a massive 4H expansion impulse (+24.6%), blowing straight through the 42.70 macro resistance to tap 45.82 with expanding volume ($40.6M USDT). The higher-low structure holds firmly above the 35.09 base, confirming aggressive spot and perpetual bidding dominating the order book. Both 1D and 4H timeframes agree on strong trend continuation, setting up an initial liquidity sweep of 48.50 before extending into the 52.00 and 56.00 expansion targets.
A 4H close below 39.40 breaks the breakout shelf and invalidates the setup; acceptance above 46.00 confirms impulsive expansion toward the upper targets.
⚠️ Risk note: High-volatility perpetual with rapid wick retests; strictly cap position size at 1.5–2% total portfolio risk.
$GIGGLE
·
--
Рост
𝗕𝗥𝗢𝗖𝗖𝗢𝗟𝗜𝟳𝟭𝟰/𝗨𝗦𝗗𝗧 (𝗟𝗢𝗡𝗚) • 𝗘𝗻𝘁𝗿𝘆: 0.01880 – 0.01975 • 𝗧𝗮𝗿𝗴𝗲𝘁 𝟭/𝟮/𝟯: 0.02050 / 0.02250 / 0.02450 • 𝗦𝘁𝗼𝗽 𝗟𝗼𝘀𝘀: 0.01710 BROCCOLI714 is printing an impulsive 4H expansion candle (+10.7%), surging directly out of the 0.01653–0.01733 consolidation base to challenge the 0.02000–0.02052 macro range ceiling. The multi-week higher-low sequence holds firmly above the 0.01235 cycle floor, showing sustained spot and perpetual accumulation across the curve. Both 1D and 4H timeframes agree on structural continuation, setting up an initial liquidity sweep of the 0.02052 prior peak before extending into the 0.02250 and 0.02450 expansion targets. A 4H close below 0.01710 breaks the breakout base and invalidates the setup; a clean breakout above 0.02052 confirms aggressive expansion into higher targets. ⚠️ Risk note: High-volatility meme perpetual with rapid liquidity sweeps; strictly cap position size at 1–1.5% total portfolio risk. $BROCCOLI714 {future}(BROCCOLI714USDT)
𝗕𝗥𝗢𝗖𝗖𝗢𝗟𝗜𝟳𝟭𝟰/𝗨𝗦𝗗𝗧 (𝗟𝗢𝗡𝗚)
• 𝗘𝗻𝘁𝗿𝘆: 0.01880 – 0.01975
• 𝗧𝗮𝗿𝗴𝗲𝘁 𝟭/𝟮/𝟯: 0.02050 / 0.02250 / 0.02450
• 𝗦𝘁𝗼𝗽 𝗟𝗼𝘀𝘀: 0.01710
BROCCOLI714 is printing an impulsive 4H expansion candle (+10.7%), surging directly out of the 0.01653–0.01733 consolidation base to challenge the 0.02000–0.02052 macro range ceiling. The multi-week higher-low sequence holds firmly above the 0.01235 cycle floor, showing sustained spot and perpetual accumulation across the curve. Both 1D and 4H timeframes agree on structural continuation, setting up an initial liquidity sweep of the 0.02052 prior peak before extending into the 0.02250 and 0.02450 expansion targets.
A 4H close below 0.01710 breaks the breakout base and invalidates the setup; a clean breakout above 0.02052 confirms aggressive expansion into higher targets.
⚠️ Risk note: High-volatility meme perpetual with rapid liquidity sweeps; strictly cap position size at 1–1.5% total portfolio risk.
$BROCCOLI714
Войдите, чтобы посмотреть больше материала
Присоединяйтесь к пользователям криптовалют по всему миру на Binance Square
⚡️ Получайте новейшую и полезную информацию о криптоактивах.
💬 Нам доверяет крупнейшая в мире криптобиржа.
👍 Получите достоверные аналитические данные от верифицированных создателей контента.
Эл. почта/номер телефона
Структура веб-страницы
Настройки cookie
Правила и условия платформы