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$AT {future}(ATUSDT) @APRO-Oracle Price is currently consolidating after a strong bullish impulse, forming a clear sideways range. Key Levels Support: 0.168 – 0.170 Resistance: 0.180 Major Resistance: 0.195 – 0.200 Trading Scenarios Long (Range Support) Entry: 0.170 – 0.172 SL: 0.158 TP1: 0.180 TP2: 0.195 Breakout Long Entry: 4H close above 0.182 SL: 0.172 TP: 0.195 → 0.210 Short (Only at Strong Rejection) Entry: 0.195 – 0.200 SL: 0.205 TP: 0.175 → 0.168 Current price is in the middle of the range, not an ideal FOMO zone. Best approach is wait for reaction at support or confirmed breakout. #AT #Crypto #Altcoins #TechnicalAnalysis
$AT
@APRO Oracle Price is currently consolidating after a strong bullish impulse, forming a clear sideways range.
Key Levels
Support: 0.168 – 0.170
Resistance: 0.180
Major Resistance: 0.195 – 0.200
Trading Scenarios

Long (Range Support)
Entry: 0.170 – 0.172
SL: 0.158
TP1: 0.180
TP2: 0.195

Breakout Long
Entry: 4H close above 0.182
SL: 0.172
TP: 0.195 → 0.210

Short (Only at Strong Rejection)
Entry: 0.195 – 0.200
SL: 0.205
TP: 0.175 → 0.168

Current price is in the middle of the range, not an ideal FOMO zone. Best approach is wait for reaction at support or confirmed breakout.
#AT #Crypto #Altcoins #TechnicalAnalysis
#apro $AT {future}(ATUSDT) Decentralized finance only works if on-chain smart contracts can trust off-chain data. This is where decentralized oracles become critical infrastructure, not just a “support tool.” A weak oracle can break an entire DeFi protocol, no matter how good the code is. @APRO-Oracle focuses on delivering verifiable, decentralized data feeds that reduce single points of failure and manipulation risk. In a multi-chain Web3 environment, reliable oracles are what connect real-world data, prices, and events to trustless execution on-chain. The value proposition of APRO lies in resilience and data integrity. If DeFi is about removing intermediaries, then oracles must follow the same principle. That’s why the long-term relevance of $AT depends less on hype and more on real adoption by protocols that need secure, censorship-resistant data. Infrastructure tokens often move quietly before they matter loudly. #APRO
#apro $AT
Decentralized finance only works if on-chain smart contracts can trust off-chain data. This is where decentralized oracles become critical infrastructure, not just a “support tool.” A weak oracle can break an entire DeFi protocol, no matter how good the code is.
@APRO Oracle focuses on delivering verifiable, decentralized data feeds that reduce single points of failure and manipulation risk. In a multi-chain Web3 environment, reliable oracles are what connect real-world data, prices, and events to trustless execution on-chain.
The value proposition of APRO lies in resilience and data integrity. If DeFi is about removing intermediaries, then oracles must follow the same principle. That’s why the long-term relevance of $AT depends less on hype and more on real adoption by protocols that need secure, censorship-resistant data.
Infrastructure tokens often move quietly before they matter loudly. #APRO
$BROCCOLI714 {future}(BROCCOLI714USDT) Price just experienced a parabolic pump (+70%+), indicating strong speculative momentum. Structure before the pump was sideways → breakout, but current price is already extended. Key Observations Massive bullish impulse with long wick → signs of profit-taking pressure No solid base formed yet above the breakout High volatility = high risk (suitable only for short-term plays) Key Levels Local Resistance: 0.0350 – 0.0380 Psychological Resistance: 0.0500 Support (retest zone): 0.0250 – 0.0230 Strong Support: 0.0190 Scenario 1 — Short (mean reversion after pump) Logic: price is far from equilibrium after vertical move. Entry: 0.0340 – 0.0380 SL: 0.0505 TP1: 0.0260 TP2: 0.0200 Scenario 2 — Long (only on pullback) Logic: avoid FOMO, wait for structure. Entry: 0.0230 – 0.0250 SL: 0.0190 TP1: 0.0320 TP2: 0.0380 Notes Long at current price = late entry Best probability comes from retest or rejection, not chasing Treat this as high-risk, momentum-driven asset Risk management is mandatory.
$BROCCOLI714
Price just experienced a parabolic pump (+70%+), indicating strong speculative momentum. Structure before the pump was sideways → breakout, but current price is already extended.

Key Observations
Massive bullish impulse with long wick → signs of profit-taking pressure
No solid base formed yet above the breakout
High volatility = high risk (suitable only for short-term plays)

Key Levels
Local Resistance: 0.0350 – 0.0380
Psychological Resistance: 0.0500
Support (retest zone): 0.0250 – 0.0230
Strong Support: 0.0190

Scenario 1 — Short (mean reversion after pump)
Logic: price is far from equilibrium after vertical move.
Entry: 0.0340 – 0.0380
SL: 0.0505
TP1: 0.0260
TP2: 0.0200

Scenario 2 — Long (only on pullback)
Logic: avoid FOMO, wait for structure.
Entry: 0.0230 – 0.0250
SL: 0.0190
TP1: 0.0320
TP2: 0.0380

Notes
Long at current price = late entry
Best probability comes from retest or rejection, not chasing
Treat this as high-risk, momentum-driven asset
Risk management is mandatory.
$BTC {future}(BTCUSDT) Price is still in a broader downtrend. The current move toward 91k is a relief rally, not a confirmed trend reversal yet. Key Levels Resistance: 92,000 – 93,500 Major Resistance: 95,000 Support: 88,000 Strong Support: 85,000 Primary Scenario – Short (trend-following) Entry: 92,000 – 93,200 Stop Loss: 95,500 TP1: 88,500 TP2: 85,500 Alternative Scenario – Long (counter-trend, higher risk) Entry: 89,000 – 90,000 Stop Loss: 87,400 TP1: 92,000 TP2: 95,000 Trend shift confirmation: Bullish structure only if daily close above 95,000. DYOR & manage risk. #BTC
$BTC
Price is still in a broader downtrend. The current move toward 91k is a relief rally, not a confirmed trend reversal yet.

Key Levels
Resistance: 92,000 – 93,500
Major Resistance: 95,000
Support: 88,000
Strong Support: 85,000

Primary Scenario – Short (trend-following)
Entry: 92,000 – 93,200
Stop Loss: 95,500
TP1: 88,500
TP2: 85,500

Alternative Scenario – Long (counter-trend, higher risk)
Entry: 89,000 – 90,000
Stop Loss: 87,400
TP1: 92,000
TP2: 95,000

Trend shift confirmation:
Bullish structure only if daily close above 95,000.
DYOR & manage risk.
#BTC
$ZEC {future}(ZECUSDT) Range → bullish corrective, momentum weakening near resistance. Levels Resistance: 515–520 / 530–550 Support: 480–490 / 430–450 Plan A — Short (Resistance Rejection) Entry: 515–525 SL: 555 TP: 490 → 460 → 430 Plan B — Long (Pullback, Preferred) Entry: 470–490 SL: 450 TP: 520 → 550 → 600 Plan C — Long Breakout (High Risk) Trigger: Daily close > 550 Entry: Retest 540–550 SL: 510 TP: 620–680 Trade levels, manage risk. No FOMO.
$ZEC

Range → bullish corrective, momentum weakening near resistance.

Levels
Resistance: 515–520 / 530–550

Support: 480–490 / 430–450

Plan A — Short (Resistance Rejection)
Entry: 515–525
SL: 555
TP: 490 → 460 → 430

Plan B — Long (Pullback, Preferred)
Entry: 470–490
SL: 450
TP: 520 → 550 → 600

Plan C — Long Breakout (High Risk)
Trigger: Daily close > 550
Entry: Retest 540–550
SL: 510
TP: 620–680
Trade levels, manage risk. No FOMO.
$CVX {future}(CVXUSDT) Market Context Strong bullish impulse (+50%) followed by rejection near the high → profit taking likely. Structure suggests a short-term breakout, not a confirmed uptrend. Scenario A — Short (Preferred / Mean Reversion) Valid if price fails to hold above 2.20 Entry: 2.15 – 2.22 Stop Loss: 2.45 TP1: 2.00 TP2: 1.85 TP3: 1.75 Rationale: Vertical pump + rejection → higher pullback probability. Better risk–reward. Scenario B — Long (Pullback Only, No FOMO) Valid on healthy pullback with bullish reaction Entry: 1.90 – 2.00 Stop Loss: 1.75 TP1: 2.20 TP2: 2.35 TP3: 2.45 Rationale: Buy support after confirmation, not strength. Scenario C — Long Breakout (High Risk) Only if daily close above 2.45 Entry: Retest 2.40 – 2.45 Stop Loss: 2.20 TP: 2.80 – 3.00 Key Levels Resistance: 2.30 – 2.45 Support: 2.00 / 1.75 – 1.80 Trade the level, manage risk.
$CVX

Market Context Strong bullish impulse (+50%) followed by rejection near the high → profit taking likely. Structure suggests a short-term breakout, not a confirmed uptrend.
Scenario A — Short (Preferred / Mean Reversion)
Valid if price fails to hold above 2.20
Entry: 2.15 – 2.22
Stop Loss: 2.45
TP1: 2.00
TP2: 1.85
TP3: 1.75
Rationale: Vertical pump + rejection → higher pullback probability. Better risk–reward.
Scenario B — Long (Pullback Only, No FOMO)
Valid on healthy pullback with bullish reaction
Entry: 1.90 – 2.00
Stop Loss: 1.75
TP1: 2.20
TP2: 2.35
TP3: 2.45
Rationale: Buy support after confirmation, not strength.
Scenario C — Long Breakout (High Risk)
Only if daily close above 2.45
Entry: Retest 2.40 – 2.45
Stop Loss: 2.20
TP: 2.80 – 3.00
Key Levels
Resistance: 2.30 – 2.45
Support: 2.00 / 1.75 – 1.80
Trade the level, manage risk.
$CHZ {future}(CHZUSDT) Market Context CHZ is showing an early bullish reversal but is currently trading near a key daily resistance. Both long and short setups are valid depending on price reaction. 🔵 LONG SETUP (Primary) Entry: 0.0418 – 0.0425 Stop Loss: 0.0395 Take Profit: TP1: 0.0458 TP2: 0.0485 TP3: 0.0520 Logic: Buy pullback into demand while higher-low structure holds. 🔴 SHORT SETUP 1 (Resistance Rejection) Condition: Strong rejection at 0.0458 – 0.0465 Entry: 0.0455 – 0.0463 Stop Loss: 0.0480 Take Profit: TP1: 0.0430 TP2: 0.0415 TP3: 0.0398 🔴 SHORT SETUP 2 (Breakdown) Condition: Daily close below 0.0410 and failed reclaim Entry: 0.0408 – 0.0412 Stop Loss: 0.0430 Take Profit: TP1: 0.0385 TP2: 0.0360 TP3: 0.0335 Notes: • Avoid entries in mid-range (0.043–0.044) • Wait for confirmation, don’t chase price • Risk management first Bias: Neutral → reactive to price action
$CHZ
Market Context
CHZ is showing an early bullish reversal but is currently trading near a key daily resistance. Both long and short setups are valid depending on price reaction.

🔵 LONG SETUP (Primary)
Entry: 0.0418 – 0.0425
Stop Loss: 0.0395
Take Profit:
TP1: 0.0458
TP2: 0.0485
TP3: 0.0520
Logic: Buy pullback into demand while higher-low structure holds.

🔴 SHORT SETUP 1 (Resistance Rejection)
Condition: Strong rejection at 0.0458 – 0.0465
Entry: 0.0455 – 0.0463
Stop Loss: 0.0480
Take Profit:
TP1: 0.0430
TP2: 0.0415
TP3: 0.0398

🔴 SHORT SETUP 2 (Breakdown)
Condition: Daily close below 0.0410 and failed reclaim
Entry: 0.0408 – 0.0412
Stop Loss: 0.0430
Take Profit:
TP1: 0.0385
TP2: 0.0360
TP3: 0.0335

Notes:
• Avoid entries in mid-range (0.043–0.044)
• Wait for confirmation, don’t chase price
• Risk management first
Bias: Neutral → reactive to price action
$OG {future}(OGUSDT) SHORT Setup (trend-following) Entry: 8.80 – 9.30 SL: 10.30 TP1: 8.20 TP2: 7.50 TP3: 6.20 LONG Setup (counter-trend, high risk) Entry: 7.80 – 8.10 (wait for clear rejection) SL: 7.20 TP1: 8.90 TP2: 10.20 TP3: 12.50 Notes Volatility is high after the dump → use small size. If daily close < 7.20, long invalid; focus on shorts. Secure partial profits; move SL to BE after TP1.
$OG
SHORT Setup (trend-following)
Entry: 8.80 – 9.30
SL: 10.30
TP1: 8.20
TP2: 7.50
TP3: 6.20

LONG Setup (counter-trend, high risk)
Entry: 7.80 – 8.10 (wait for clear rejection)
SL: 7.20
TP1: 8.90
TP2: 10.20
TP3: 12.50
Notes
Volatility is high after the dump → use small size.
If daily close < 7.20, long invalid; focus on shorts.
Secure partial profits; move SL to BE after TP1.
$LIGHT {future}(LIGHTUSDT) #dump #BTC90kChristmas #StrategyBTCPurchase 📉 Massive dump → structure still bearish Current move = technical rebound / dead cat bounce Primary Bias: SHORT (trend-following) 🔴 Entry: 0.68 – 0.72 ❌ SL: 0.78 🎯 TP1: 0.62 🎯 TP2: 0.58 🎯 TP3: 0.53 Alternative (Counter-trend scalp) 🟢 Entry: 0.60 – 0.62 ❌ SL: 0.56 🎯 TP1: 0.68 🎯 TP2: 0.74 🎯 TP3: 0.80 ⚠️ Avoid mid-range (0.63–0.67) 📌 Best play: short on retracement + rejection
$LIGHT
#dump #BTC90kChristmas #StrategyBTCPurchase
📉 Massive dump → structure still bearish
Current move = technical rebound / dead cat bounce
Primary Bias: SHORT (trend-following)
🔴 Entry: 0.68 – 0.72
❌ SL: 0.78
🎯 TP1: 0.62
🎯 TP2: 0.58
🎯 TP3: 0.53
Alternative (Counter-trend scalp)
🟢 Entry: 0.60 – 0.62
❌ SL: 0.56
🎯 TP1: 0.68
🎯 TP2: 0.74
🎯 TP3: 0.80
⚠️ Avoid mid-range (0.63–0.67)
📌 Best play: short on retracement + rejection
$MAGMA {future}(MAGMAUSDT) Perp — Trade Setup Range: 0.1585 – 0.1660 Long (Support Rebound) Entry: 0.1590 – 0.1600 SL: 0.1568 TP1: 0.1635 TP2: 0.1655 Short (Resistance Rejection) Entry: 0.1650 – 0.1660 SL: 0.1685 TP1: 0.1615 TP2: 0.1590 Breakout Long (Confirmation Only) Entry: Close > 0.1665 SL: 0.1635 TP: 0.1700 – 0.1720
$MAGMA
Perp — Trade Setup

Range: 0.1585 – 0.1660
Long (Support Rebound)
Entry: 0.1590 – 0.1600
SL: 0.1568
TP1: 0.1635
TP2: 0.1655

Short (Resistance Rejection)
Entry: 0.1650 – 0.1660
SL: 0.1685
TP1: 0.1615
TP2: 0.1590

Breakout Long (Confirmation Only)
Entry: Close > 0.1665
SL: 0.1635
TP: 0.1700 – 0.1720
BTC/USDT Entry–Exit Plan (Range-Based, Risk Controlled) 📉 Market structure: BTC is ranging between 85k – 90k on the 1D timeframe. No clear trend. Best strategy is trade the range or wait for confirmation. 🔵 BUY setup (support play) • Entry: 86,000 – 85,200 • Stop loss: 84,500 • Take profit: 88,800 → 90,000 → 92,500 • Idea: Buy near support with rejection, not in the middle. 🔴 SELL / SHORT setup (resistance play) • Entry: 89,800 – 90,500 • Stop loss: 91,300 • Take profit: 87,500 → 86,000 → 84,800 • Idea: Sell rejection below 90.5k. ⚡ Breakout scenarios • Bullish: Daily close above 90,500 → targets 93k – 96k • Bearish: Daily close below 85,000 → targets 82k – 80.5k 🧠 Key logic: No FOMO. No all-in. Best entries are near edges of the range, not the center. #RiskManagement $BTC {future}(BTCUSDT)
BTC/USDT Entry–Exit Plan (Range-Based, Risk Controlled)
📉 Market structure:
BTC is ranging between 85k – 90k on the 1D timeframe. No clear trend. Best strategy is trade the range or wait for confirmation.
🔵 BUY setup (support play)
• Entry: 86,000 – 85,200
• Stop loss: 84,500
• Take profit: 88,800 → 90,000 → 92,500
• Idea: Buy near support with rejection, not in the middle.
🔴 SELL / SHORT setup (resistance play)
• Entry: 89,800 – 90,500
• Stop loss: 91,300
• Take profit: 87,500 → 86,000 → 84,800
• Idea: Sell rejection below 90.5k.
⚡ Breakout scenarios
• Bullish: Daily close above 90,500 → targets 93k – 96k
• Bearish: Daily close below 85,000 → targets 82k – 80.5k
🧠 Key logic:
No FOMO. No all-in.
Best entries are near edges of the range, not the center.
#RiskManagement
$BTC
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don't Ask Short $QNT now
don't Ask Short $QNT now
Prodaja
QNTUSDT
Zaprto
Dobiček/izguba
-2,20USDT
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