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RedSedan

Committed to guiding small investors towards success. STAY SAFE!
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Objave
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$BTC There are liquidity and had little bit of profit! Bitcoin (BTC) is currently trading around $70,000–$70,800 USD on February 15, 2026, showing a solid rebound of about 1.5–2% in the last 24 hours after dipping near $65,000–$68,000 earlier in the month. The daily chart reflects a recovery from a sharp February correction (down ~40–50% from the all-time high above $126,000), with price reclaiming key levels above $70K amid improved risk appetite, possibly driven by cooling inflation data and broader market sentiment. Support holds near $68,000–$69,000, while resistance looms around $75,000; momentum indicators suggest steady accumulation, but volatility remains high in this post-peak consolidation phase. Overall, BTC appears stabilizing with upside potential if it sustains above $70K.
$BTC

There are liquidity and had little bit of profit!

Bitcoin (BTC) is currently trading around $70,000–$70,800 USD on February 15, 2026, showing a solid rebound of about 1.5–2% in the last 24 hours after dipping near $65,000–$68,000 earlier in the month. The daily chart reflects a recovery from a sharp February correction (down ~40–50% from the all-time high above $126,000), with price reclaiming key levels above $70K amid improved risk appetite, possibly driven by cooling inflation data and broader market sentiment. Support holds near $68,000–$69,000, while resistance looms around $75,000; momentum indicators suggest steady accumulation, but volatility remains high in this post-peak consolidation phase. Overall, BTC appears stabilizing with upside potential if it sustains above $70K.
$BTC struggling to hold onto 200 days EMA
$BTC

struggling to hold onto 200 days EMA
$BTC $ETH $SOL is it real!? a while ago saw 4 🥶😨😰😇
$BTC $ETH $SOL

is it real!? a while ago saw 4 🥶😨😰😇
$BTC Historically when btc breaks 100 EMA it goes back to 200 EMA which is in 68~69k... are we gonna see btc there!? or lower? NFA
$BTC

Historically when btc breaks 100 EMA it goes back to 200 EMA which is in 68~69k... are we gonna see btc there!? or lower?

NFA
$BTC BTC Long (only for short period and high risk trade) Buy current level $78684+ Take Profit- lower the stoploss if it goes up! Stoploss $78600 Entry: Buy around current levels or on a bounce from $78,600–$78,700+ (watch for confirmation candle / volume spike) Take Profit: Scale out in stages – e.g., partial at +1–2% ($79,500–$80,000), more at +3–5% or trail aggressively. No fixed TP; let winners run but lock profits quickly in this choppy market. Stop Loss: Tight below $78,600 (e.g., $78,500–$78,550 to limit downside to ~0.1–0.2%). Move to breakeven ASAP if price pushes above $79,000, then trail behind recent lows/swing points as it climbs. Risk Note: Very tight SL + current volatility = high chance of stop hunt/whipsaw. Only for experienced traders with small position size. This is a quick in-and-out scalp, not a swing/hold. NFA
$BTC

BTC Long (only for short period and high risk trade)

Buy current level $78684+
Take Profit- lower the stoploss if it goes up!

Stoploss $78600

Entry: Buy around current levels or on a bounce from $78,600–$78,700+ (watch for confirmation candle / volume spike)
Take Profit: Scale out in stages – e.g., partial at +1–2% ($79,500–$80,000), more at +3–5% or trail aggressively. No fixed TP; let winners run but lock profits quickly in this choppy market.
Stop Loss: Tight below $78,600 (e.g., $78,500–$78,550 to limit downside to ~0.1–0.2%). Move to breakeven ASAP if price pushes above $79,000, then trail behind recent lows/swing points as it climbs.
Risk Note: Very tight SL + current volatility = high chance of stop hunt/whipsaw. Only for experienced traders with small position size. This is a quick in-and-out scalp, not a swing/hold.
NFA
$BTC Current Bitcoin (BTC) Scenario as of February 1, 2026 (when everyone is scared buy SPOT) Bitcoin is in a sharp corrective phase right now, experiencing significant downside pressure after a strong run in late 2025. Here's a concise overview: Price & Market Snapshot Current Price: Approximately $78,000 - $79,000 USD (e.g., ~$78,430 on Yahoo Finance, ~$78,790 on CoinDesk, ~$78,700-$79,000 across aggregates like Binance/CoinMarketCap; slight variations due to exchanges). 24h Change: Down ~5-7% (heavy selling today/this weekend). Recent Low: Dipped toward $75,700-$77,000 in recent hours/sessions (lowest since around April 2025 or late 2025). 24h Volume: High at ~$38B-$75B (elevated due to liquidations and panic selling). Broader Context: BTC is down ~20-30%+ from recent peaks (e.g., highs near $97K-$111K in late 2025/early 2026), marking its fourth consecutive monthly drop in some reports and entering multi-month lows. What's Driving This Scenario? Macro/External Pressures: Outlook & Key Levels to Watch Support: $75,000-$78,000 (critical zone now); break lower could target $69K-$70K. Resistance: $82K-$85K (quick rebound needed to stabilize). Potential Paths: If holds ~$78K and volume dries up on downside, could see a relief bounce/recovery attempt. if continued selling (e.g., from macro headwinds) risks deeper correction toward $70K or below.  
$BTC

Current Bitcoin (BTC) Scenario as of February 1, 2026 (when everyone is scared buy SPOT)

Bitcoin is in a sharp corrective phase right now, experiencing
significant downside pressure after a strong run in late 2025. Here's a concise
overview:

Price & Market Snapshot

Current
Price: Approximately $78,000 - $79,000 USD (e.g.,
~$78,430 on Yahoo Finance, ~$78,790 on CoinDesk, ~$78,700-$79,000 across
aggregates like Binance/CoinMarketCap; slight variations due to
exchanges).
24h
Change: Down ~5-7% (heavy selling today/this
weekend).
Recent
Low: Dipped toward $75,700-$77,000 in recent hours/sessions
(lowest since around April 2025 or late 2025).
24h
Volume: High at ~$38B-$75B (elevated due to liquidations
and panic selling).
Broader
Context: BTC is down ~20-30%+ from recent peaks
(e.g., highs near $97K-$111K in late 2025/early 2026), marking its fourth
consecutive monthly drop in some reports and entering multi-month lows.

What's Driving This Scenario?

Macro/External
Pressures:

Outlook & Key Levels to Watch

Support:
$75,000-$78,000 (critical zone now); break lower could target $69K-$70K.
Resistance:
$82K-$85K (quick rebound needed to stabilize).

Potential Paths:

If holds ~$78K and volume dries up on downside, could see a relief bounce/recovery attempt. if continued selling (e.g., from macro headwinds) risks deeper correction toward $70K or below.

 
silver fell😍
silver fell😍
RedSedan
·
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$XAG

I feel shorting Silver from 119 to have 20% gain may be a good option! (please remember this is highly risky) silver could rapidly reach 120 and then down!
$SUI Caution: Don't trust this market- it may go volatile! as of January 29, 2026 (~11:00 AM +06) Current Price: $1.3636 1D Chart Quick View: Bearish bias — price in falling channel, below key MAs, strong sell signals on most indicators (moving averages sell-heavy, oscillators neutral to sell). Support near $1.34-$1.36 holding for now (possible oversold bounce if RSI low), but breakdown risk to $1.30 or lower. Volume moderate, no clear reversal yet. Simple Conservative Setup (Spot/Low-Leverage) Strategy: Wait for support bounce or avoid aggressive trades (downtrend dominant—better for short-term dip buy if holds). Buy Zone: $1.36 - $1.37 (current area/near support; enter only if holds $1.35+ with bullish candle or volume spike). Take Profit Zones (scale out on rebound): TP1: $1.40 (+3-4%) TP2: $1.43 (+5-6%) TP3: $1.46-$1.48 (+7-9%) — if recovery strengthens. Stop Loss: $1.33 (below support; ~2-3% risk from $1.36 entry—protect against breakdown). Risk/Reward: ~1:3 (low risk for modest upside if bounces). Timeframe: Short-term (1-3 days on 1D); watch BTC/Solana correlation or Sui news. High volatility—small size only! Not financial advice—DYOR
$SUI

Caution: Don't trust this market- it may go volatile!

as of January 29, 2026 (~11:00 AM +06)

Current Price: $1.3636

1D Chart Quick View:
Bearish bias — price in falling channel, below key MAs, strong sell signals on most indicators (moving averages sell-heavy, oscillators neutral to sell). Support near $1.34-$1.36 holding for now (possible oversold bounce if RSI low), but breakdown risk to $1.30 or lower. Volume moderate, no clear reversal yet.

Simple Conservative Setup (Spot/Low-Leverage)

Strategy: Wait for support bounce or avoid aggressive trades (downtrend dominant—better for short-term dip buy if holds).
Buy Zone: $1.36 - $1.37 (current area/near support; enter only if holds $1.35+ with bullish candle or volume spike).
Take Profit Zones (scale out on rebound):
TP1: $1.40 (+3-4%)
TP2: $1.43 (+5-6%)
TP3: $1.46-$1.48 (+7-9%) — if recovery strengthens.

Stop Loss: $1.33 (below support; ~2-3% risk from $1.36 entry—protect against breakdown).

Risk/Reward: ~1:3 (low risk for modest upside if bounces).
Timeframe: Short-term (1-3 days on 1D); watch BTC/Solana correlation or Sui news. High volatility—small size only! Not financial advice—DYOR
$EVAA Dip buys risky—could test lower if no support holds. Crypto volatile—small positions only! Not financial advice—DYOR Suggested Spot/Low-Leverage Trading Setup (Conservative) Strategy: Buy on deep support / Oversold bounce (high-risk at current levels—wait for confirmation; range play if stabilizes). Buy Zones: $0.76 - $0.78 (current area/near strong historical support & ATL zone; enter if holds above $0.76 with volume pickup or bullish reversal candle). Alternative Buy: Breakout above $0.82 (confirms recovery/strength out of dip). Take Profit Zones (scale out): TP1: $0.82 (+6-8% from entry) — partial sell, first resistance/recovery level. TP2: $0.85 (+10-12%). TP3: $0.88-$0.92 (+15-20%) — if rebound gains traction (prior range highs). Stop Loss: $0.74 (below recent/ATL lows; ~3-5% risk from $0.77 entry—tight to avoid deeper drop to sub-$0.70 if breaks). Risk/Reward: ~1:3+ (risk 3-5% for 12-20%+ potential on bounce).
$EVAA

Dip buys risky—could test lower if no support holds. Crypto volatile—small positions only! Not financial advice—DYOR

Suggested Spot/Low-Leverage Trading Setup (Conservative)

Strategy: Buy on deep support / Oversold bounce (high-risk at current levels—wait for confirmation; range play if stabilizes).
Buy Zones: $0.76 - $0.78 (current area/near strong historical support & ATL zone; enter if holds above $0.76 with volume pickup or bullish reversal candle).
Alternative Buy: Breakout above $0.82 (confirms recovery/strength out of dip).
Take Profit Zones (scale out):
TP1: $0.82 (+6-8% from entry) — partial sell, first resistance/recovery level.
TP2: $0.85 (+10-12%).
TP3: $0.88-$0.92 (+15-20%) — if rebound gains traction (prior range highs).

Stop Loss: $0.74 (below recent/ATL lows; ~3-5% risk from $0.77 entry—tight to avoid deeper drop to sub-$0.70 if breaks).
Risk/Reward: ~1:3+ (risk 3-5% for 12-20%+ potential on bounce).
$SUI Buy Zones: $1.42 - $1.43 (current area/strong support retest; enter if holds above $1.40 with volume increase or bullish candle). Alternative Buy: Breakout above $1.48 (confirms reversal/strength). Take Profit Zones (scale out): TP1: $1.48 (+3-4% from entry) — first resistance/partial exit. TP2: $1.52 (+6-7%). TP3: $1.55 - $1.60 (+8-12%) — if momentum builds toward prior highs. Stop Loss: $1.38 (below key support/recent lows; ~3-4% risk from $1.43 entry—tight to protect against breakdown). Risk/Reward: ~1:3+ (risk 3-4% for 10%+ potential on bounce). Why this setup on 1D? $1.40 zone has acted as support multiple times (e.g., triple-bottom signals in Jan analyses). Oversold conditions + potential exhaustion could trigger short-term rebound. Downside risk to $1.30 or lower if breaks—keep SL strict, no high leverage.
$SUI

Buy Zones: $1.42 - $1.43 (current area/strong support retest; enter if holds above $1.40 with volume increase or bullish candle).
Alternative Buy: Breakout above $1.48 (confirms reversal/strength).
Take Profit Zones (scale out):
TP1: $1.48 (+3-4% from entry) — first resistance/partial exit.
TP2: $1.52 (+6-7%).
TP3: $1.55 - $1.60 (+8-12%) — if momentum builds toward prior highs.

Stop Loss: $1.38 (below key support/recent lows; ~3-4% risk from $1.43 entry—tight to protect against breakdown).
Risk/Reward: ~1:3+ (risk 3-4% for 10%+ potential on bounce).

Why this setup on 1D?

$1.40 zone has acted as support multiple times (e.g., triple-bottom signals in Jan analyses).
Oversold conditions + potential exhaustion could trigger short-term rebound.
Downside risk to $1.30 or lower if breaks—keep SL strict, no high leverage.
$XAG I feel shorting Silver from 119 to have 20% gain may be a good option! (please remember this is highly risky) silver could rapidly reach 120 and then down!
$XAG

I feel shorting Silver from 119 to have 20% gain may be a good option! (please remember this is highly risky) silver could rapidly reach 120 and then down!
$SUI Day's Chart (I am really concerned of market going much lower, therefore handle cautiously) Strategy: Buy on support hold / Oversold bounce (wait for confirmation above $1.45 for strength). Buy Zones: $1.42 - $1.44 (current levels/near strong support; enter if holds above $1.40). Alternative Buy: On breakout above $1.48 (confirms short-term upside). Take Profit Zones (scale out): TP1: $1.48 (+3-4% from entry) — partial sell, near-term resistance. TP2: $1.52 (+6-8%). TP3: $1.55-$1.60 (+8-12%) — if momentum builds (higher resistance). Stop Loss: $1.38 (below recent lows/support; ~4% risk from $1.44 entry). Risk/Reward: ~1:2.5+ (risk 4% for potential 10%+ gain). Timeframe: Short-term (hours to days); monitor volume and broader crypto sentiment. Why this call? Strong support cluster around $1.40-$1.42 has held recently (Fib levels, pivot points). Oversold conditions (low RSI) often lead to rebounds in altcoins like SUI. Risk of further drop to $1.30-1.36 if support breaks—keep SL strict.
$SUI

Day's Chart (I am really concerned of market going much lower, therefore handle cautiously)

Strategy: Buy on support hold / Oversold bounce (wait for confirmation above $1.45 for strength).
Buy Zones: $1.42 - $1.44 (current levels/near strong support; enter if holds above $1.40).
Alternative Buy: On breakout above $1.48 (confirms short-term upside).
Take Profit Zones (scale out):
TP1: $1.48 (+3-4% from entry) — partial sell, near-term resistance.
TP2: $1.52 (+6-8%).
TP3: $1.55-$1.60 (+8-12%) — if momentum builds (higher resistance).

Stop Loss: $1.38 (below recent lows/support; ~4% risk from $1.44 entry).
Risk/Reward: ~1:2.5+ (risk 4% for potential 10%+ gain).
Timeframe: Short-term (hours to days); monitor volume and broader crypto sentiment.

Why this call?

Strong support cluster around $1.40-$1.42 has held recently (Fib levels, pivot points).
Oversold conditions (low RSI) often lead to rebounds in altcoins like SUI.
Risk of further drop to $1.30-1.36 if support breaks—keep SL strict.
$SOL as of January 27, 2026 (~10:30 AM UTC / 4:30 PM +06, Dhaka time) Current Price: ~$123.70 - $124.00 (aggregated from CoinMarketCap ~$123.80, CoinGecko ~$123.75, TradingView ~$123.70; up ~1.3% in last 24h after dipping to ~$122). Recent Trend: Short-term rebound from $118-120 support zone, but overall bearish pressure persists (below key MAs, death cross on longer frames). Neutral to weak momentum—holding above $120 is positive, but resistance at $130-135 caps upside. High volatility with memecoin activity on Solana providing some floor. This is a major altcoin—volatile, influenced by BTC/market sentiment. Not financial advice—DYOR, manage risk strictly. Suggested Spot/Low-Leverage Trading Setup (Conservative) Strategy: Buy on support hold / Weak rebound play (wait for confirmation above $125 for strength). Buy Entry: $123 - $124 (current levels/support retest; enter if holds above $122). Alternative Buy: On breakout above $128 (confirms short-term upside shift). Take Profit Levels (scale out): TP1: $128 (+3-4% from entry) — partial sell, near-term resistance. TP2: $132 (+6-7%). TP3: $135-$140 (+9-13%) — if stronger momentum (previous highs). Stop Loss: $119 (below recent lows/support; ~4-5% risk from $124 entry). Risk/Reward: ~1:2.5+ (risk 4-5% for potential 10%+ gain). Timeframe: Short-term (hours to days); monitor BTC correlation and volume for breakout. Why this call? Support at $120-122 has held multiple times recently, with rebound signals. Fundamentals mixed: Strong on-chain (high users/staking), but price detached and bearish technically (strong sell signals on some indicators). Risk of drop to $100-118 if broader market weakens—tight SL essential. Watch for catalysts like Solana ecosystem news or BTC move above $70K. Use TradingView/exchange charts for real-time. Crypto is high-risk—position size small!
$SOL

as of January 27, 2026 (~10:30 AM UTC / 4:30 PM +06, Dhaka time)

Current Price: ~$123.70 - $124.00 (aggregated from CoinMarketCap ~$123.80, CoinGecko ~$123.75, TradingView ~$123.70; up ~1.3% in last 24h after dipping to ~$122).

Recent Trend: Short-term rebound from $118-120 support zone, but overall bearish pressure persists (below key MAs, death cross on longer frames). Neutral to weak momentum—holding above $120 is positive, but resistance at $130-135 caps upside. High volatility with memecoin activity on Solana providing some floor.

This is a major altcoin—volatile, influenced by BTC/market sentiment. Not financial advice—DYOR, manage risk strictly.

Suggested Spot/Low-Leverage Trading Setup (Conservative)

Strategy: Buy on support hold / Weak rebound play (wait for confirmation above $125 for strength).
Buy Entry: $123 - $124 (current levels/support retest; enter if holds above $122).
Alternative Buy: On breakout above $128 (confirms short-term upside shift).
Take Profit Levels (scale out):
TP1: $128 (+3-4% from entry) — partial sell, near-term resistance.
TP2: $132 (+6-7%).
TP3: $135-$140 (+9-13%) — if stronger momentum (previous highs).

Stop Loss: $119 (below recent lows/support; ~4-5% risk from $124 entry).
Risk/Reward: ~1:2.5+ (risk 4-5% for potential 10%+ gain).
Timeframe: Short-term (hours to days); monitor BTC correlation and volume for breakout.

Why this call?

Support at $120-122 has held multiple times recently, with rebound signals.
Fundamentals mixed: Strong on-chain (high users/staking), but price detached and bearish technically (strong sell signals on some indicators).
Risk of drop to $100-118 if broader market weakens—tight SL essential.

Watch for catalysts like Solana ecosystem news or BTC move above $70K. Use TradingView/exchange charts for real-time. Crypto is high-risk—position size small!
$EVAA as of January 27, 2026 (~10:00 AM UTC / 4:00 PM +06) Current Price: ~$0.817 - $0.823 (aggregated from CoinGecko ~$0.817, Gate.io ~$0.820, Binance Futures mark ~$0.816; slight dip in last hours after 24h low ~$0.809 and high ~$0.986). Recent Trend: Volatile but holding above key support; down ~1-3% in 24h, range-bound $0.80-$0.95 over the week. Neutral technicals with potential bounce if support holds. This remains a high-volatility small-cap token — not financial advice, DYOR and risk only what you can afford to lose. Strategy: Range trading / Buy on support (wait for bounce or confirmation of hold). Buy Entry: $0.81 - $0.82 (current levels/near recent support; good if holds above $0.81). Alternative Buy: On breakout above $0.86 (confirms stronger upside momentum). Take Profit Levels (scale out): TP1: $0.86 (+5-6% from entry) — partial sell. TP2: $0.90 (+10-12%). TP3: $0.95-$1.00 (+16-22%) — if volume picks up (previous resistance zone). Stop Loss: $0.795 (below recent 24h lows ~$0.809; ~3-4% risk from $0.82 entry for tighter control). Risk/Reward: ~1:4+ (risk 3-4% for potential 15-20%+ gain). Timeframe: Short-term (hours to days); watch volume spikes or TON ecosystem news for catalysts. Monitor closely due to ongoing volatility. Price has stabilized near support after recent swings — fundamentals remain positive (no new negative news, ongoing protocol activity).
$EVAA

as of January 27, 2026 (~10:00 AM UTC / 4:00 PM +06)

Current Price: ~$0.817 - $0.823 (aggregated from CoinGecko ~$0.817, Gate.io ~$0.820, Binance Futures mark ~$0.816; slight dip in last hours after 24h low ~$0.809 and high ~$0.986).

Recent Trend: Volatile but holding above key support; down ~1-3% in 24h, range-bound $0.80-$0.95 over the week. Neutral technicals with potential bounce if support holds.

This remains a high-volatility small-cap token — not financial advice, DYOR and risk only what you can afford to lose.

Strategy: Range trading / Buy on support (wait for bounce or confirmation of hold).
Buy Entry: $0.81 - $0.82 (current levels/near recent support; good if holds above $0.81).
Alternative Buy: On breakout above $0.86 (confirms stronger upside momentum).
Take Profit Levels (scale out):
TP1: $0.86 (+5-6% from entry) — partial sell.
TP2: $0.90 (+10-12%).
TP3: $0.95-$1.00 (+16-22%) — if volume picks up (previous resistance zone).

Stop Loss: $0.795 (below recent 24h lows ~$0.809; ~3-4% risk from $0.82 entry for tighter control).
Risk/Reward: ~1:4+ (risk 3-4% for potential 15-20%+ gain).
Timeframe: Short-term (hours to days); watch volume spikes or TON ecosystem news for catalysts. Monitor closely due to ongoing volatility.

Price has stabilized near support after recent swings — fundamentals remain positive (no new negative news, ongoing protocol activity).
$BTC Just wait! No hurry now! Waiting is precious sometime! KUDOS!
$BTC
Just wait! No hurry now! Waiting is precious sometime!

KUDOS!
$EVAA born to kill up and down!
$EVAA

born to kill up and down!
$SOL Educational Chart!
$SOL


Educational Chart!
$SOL Current Price: $154.50 | 24h Change: –5.8% | 7d Change: –8.2% Bias: Bear Trap Reversal – High-Probability Long Setup Daily Chart Price rejected $149.18 low (Oct 2025 swing) with a bullish hammer and closed above $152. Volume spike +68% on reversal candle → capitulation selling exhausted. Still below EMA20 ($158.40) and EMA50 ($162.80) — but closing the gap fast. 4H Chart Completed Wave C of ABC correction (A: $170 → B: $161.50 → C: $149.18). Double bottom forming at $149.18 with bullish RSI divergence. Price now in early impulse wave 1 — $154.50 is retest of breakdown level. 1H Chart Trading in tight descending wedge ($156 → $152.50). OBV flattening after sharp drop → selling pressure drying up. Hidden bullish divergence on MACD histogram.
$SOL

Current Price: $154.50 | 24h Change: –5.8% | 7d Change: –8.2%
Bias: Bear Trap Reversal – High-Probability Long Setup

Daily Chart


Price rejected $149.18 low (Oct 2025 swing) with a bullish hammer and closed above $152.
Volume spike +68% on reversal candle → capitulation selling exhausted.
Still below EMA20 ($158.40) and EMA50 ($162.80) — but closing the gap fast.


4H Chart


Completed Wave C of ABC correction (A: $170 → B: $161.50 → C: $149.18).
Double bottom forming at $149.18 with bullish RSI divergence.
Price now in early impulse wave 1 — $154.50 is retest of breakdown level.


1H Chart


Trading in tight descending wedge ($156 → $152.50).
OBV flattening after sharp drop → selling pressure drying up.
Hidden bullish divergence on MACD histogram.
What kind of language is that!? either u don't understand what I said or you r what u called me! being gentle is so precious! take care!
What kind of language is that!? either u don't understand what I said or you r what u called me! being gentle is so precious! take care!
Bi00991
·
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Your are most idiot, AIA and EVAA same coin as sister and brother, you bundle of peoples buying in spot
$EVAA Risk and Profit both is yours! Do a good management! 30minutes chart! Buy Zone (Entry): $1.55 - $1.60 Rationale: Above the ATL ($1.53) for confirmation of support hold. This is a dip-buy zone if it wicks up from lows, aligning with the lower Bollinger Band and psychological $1.50 floor. Wait for a green candle close above $1.55 with volume >$15M to avoid fakeouts. If you're aggressive, scale in 50% at $1.55 and 50% at $1.60. Stop Loss (SL): $1.48 Rationale: ~5% below entry (from $1.56 midpoint), just under the ATL to protect against further cascade. This invalidates the bounce thesis if breached, potentially targeting $1.20 next (volume gap). Tightens risk in this low-float token.
$EVAA

Risk and Profit both is yours! Do a good management! 30minutes chart!

Buy Zone (Entry): $1.55 - $1.60
Rationale: Above the ATL ($1.53) for confirmation of support hold. This is a dip-buy zone if it wicks up from lows, aligning with the lower Bollinger Band and psychological $1.50 floor. Wait for a green candle close above $1.55 with volume >$15M to avoid fakeouts. If you're aggressive, scale in 50% at $1.55 and 50% at $1.60.


Stop Loss (SL): $1.48
Rationale: ~5% below entry (from $1.56 midpoint), just under the ATL to protect against further cascade. This invalidates the bounce thesis if breached, potentially targeting $1.20 next (volume gap). Tightens risk in this low-float token.
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