🔴 $BREV /USDT — КОРОТКИЙ НАБОР Зона входа: 0.185 – 0.188 Стоп-лосс: 0.203 (выше 24-часового максимума + пробой сопротивления) 🎯 Цели TP1: 0.178 (поддержка 24-часового минимума) TP2: 0.170 (уровень пробоя) TP3: 0.160 (сильная зона спроса / поддержка на развороте) 📊 Ключевые уровни Сопротивление: 0.195 / 0.202 / 0.210 Поддержка: 0.178 / 0.170 / 0.160 Тенденция: Медвежья ниже 0.195 ⚡ Идея для торговли Цена отклонилась от зоны предложения 0.20, и моментум слабый. Пробой ниже 0.178, вероятно, ускорит распродажу к 0.16. Управление рисками: Используйте риск ≤2–3%, перемещайте стоп после TP1. Если хотите, я также могу оформить это в: ✅ Стиль Telegram ✅ Стиль Twitter/X ✅ Чистая изображение сигнал-карты ✅ План по фьючерсам (соотношение RR + размер позиции) Просто скажите, какой формат вам предпочтительнее.
$XMR is sitting back on a strong support area and the downside still isn’t getting clean follow-through. Dips are being absorbed and price keeps stabilizing instead of accelerating lower, which usually points to buyers quietly in control. As long as this base holds, upside continuation remains the preferred path. This long is invalid if price loses the level and starts accepting below it.
⚠️ Risk: Crypto moves fast. Always protect with a stop loss.
Trading through the link below is the best way to support me 👇
$PUMP is deeply oversold at key support, setting up a technical rebound and potential short squeeze.
Long $PUMP ( MAX 20x ) Entry: $0.00270 – $0.00278 SL: $0.00258 TP1: $0.00285 TP2: $0.0030 TP3: $0.0032
PUMP dropped to $0.00272 (-6.9%) and is holding the $0.00270 psychological + lower Bollinger support while RSI(6) = 24 shows extreme exhaustion. Despite bearish candles, large-order inflows ~$263k with 3.5:1 buy/sell ratio signal smart money absorbing panic sells. Whale sentiment is shifting bullish as L/S ratio climbs to 1.28, while 86% of shorts are in profit, creating fuel for a mean-reversion squeeze if price reclaims $0.00289. As long as $0.00270 holds, risk-reward favors a bounce play toward $0.0031+ rather than chasing downside
Gun failed to accept above the prior supply and is getting sold on every bounce. Upside momentum remains weak and structure still favors continuation lower as long as this area caps price.
Central Banks by the Value of Their #Gold at $5,500/oz
At $5,500 per ounce, gold stops being a hedge and starts looking like a geopolitical balance sheet. Re-pricing official reserves at that level reveals just how massive central-bank stockpiles really are and who would be sitting on trillion-dollar vaults overnight.
Using publicly reported holdings and valuing each tonne at approximately $177B, here’s how the leaderboard stacks up:
1. United States — ~$1.44T 8,133 tonnes. Still the undisputed heavyweight.
2. Germany — ~$593B Europe’s fortress reserve.
3. Italy — ~$434B Quietly one of the largest holders in the world.
4. France — ~$431B
5. Russia — ~$412B
6. China — ~$400B Many analysts believe actual holdings could be higher.
7. Switzerland — ~$184B
8. Japan — ~$150B
9. India — ~$145B
10. Netherlands — ~$108B
Why This Matters for Markets
Gold at $5,500 would radically revalue national balance sheets.
It would strengthen currencies backed by large reserves, highlight de-dollarization hedges, and reinforce the appeal of hard assets dynamics that historically spill over into crypto narratives as well.
When central banks keep stacking metal, macro cycles rarely stay quiet for long.
Gold doesn’t reprice silently. And when it does, everything adjusts. $XAU
$GUN short just hit TP1. Partial profits secured — well played.
From here, you can lock in gains or trail your stop to a clear profitable level and let the rest work. Momentum is still on our side, but discipline matters more than squeezing every last tick.
🚨 $AXS Downtrend with consolidation on 4-Hour timeframe
• Confluence of bearish MA (Moving Average) alignment, negative MACD crossover, price position near the lower Bollinger Band, negative funding rate, and, most critically, the massive and sustained capital outflows from both the contract and spot markets strongly suggests the path of least resistance is down.
• While the KDJ and RSI hint at oversold conditions, they have not generated strong reversal signals yet.
Entry short $AXS : near resistance 2.25–2.28 or breakdown below 2.10. Avoid chasing current levels.
Stop-Loss: 2.32 if shorting at 2.25; or 2.16 if trading breakout below 2.10
Target Price $AXS : 2.05 (support). If breached, next target 1.95 (lower support).
🚨 $LIT Медвежий тренд с краткосрочной консолидацией
Недавние 1-часовые свечи показывают снижение объема во время падений, что указывает на истощение продаж. Тем не менее, прорывы с высоким объемом подтверждают медвежий импульс.
Капитальные потоки: краткосрочные чистые оттоки (1ч: -76k спот, +177k контрактов) указывают на продажи розничных клиентов, но накапливание институциональных инвесторов. Долгосрочные оттоки (24ч: -5.93M контрактов, -2.99M спот) подчеркивают устойчивое медвежье настроение.
Вход в шорт $LIT : Ждите отката к сопротивлению 1.703–1.710 или прорыва ниже 1.625 с подтверждением объема. Избегайте входа во время консолидаций с низким объемом.
Стоп-лосс: 1.680–1.690 если шортите около 1.703
Целевая цена $LIT : 1.555, с расширением до 1.485 (нижняя поддержка), если импульс ускорится.