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Crypto Journey1
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Crypto Journey1

🚀 Passionate Crypto Enthusiast | Blockchain Advocate 🌐 📰 Delivering the Latest Crypto News & Insights 💡 🔍 Exploring the Depths of Decentralized Finance
Open Trade
Frequent Trader
4.3 Years
49 Kuzatilmoqda
68.3K+ Kuzatuvchilar
90.6K+ Yoqdi
Postlar
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$SOL {future}(SOLUSDT) — Breakout Confirmed, Strong Uptrend Solana has officially confirmed a breakout — the setup is ACTIVE. The structure is bullish, with higher highs and higher lows confirming strong directional movement. Trend strength is moderate, but volume is very strong — confirming buyer participation. Momentum sits at a healthy 69/100, and volatility is normal, making this a solid setup with manageable risk. --- What I See on the Charts · Structure: Bullish — higher highs and higher lows. · Trend: Moderate — steady, not overextended. · Phase: Accumulation — building for the next leg up. · Momentum: 69/100 — healthy, room to run. · Volume: Very Strong — buyers are committed. · Volatility: Normal — manageable price swings. · Breakout: Confirmed — setup is active. · Support: $90.35 — very strong. · Resistance: $98.09 — very strong. · Risk: Moderate. --- Trading Plan — LONG SOL · Entry Zone: $92.76 – $93.99 · Target 1: $101.98 · Target 2: $106.06 · Stop Loss: $87.63 · Risk-Reward Ratio: 1:1.5 --- If You Are LONG: · Entry: $92.76 – $93.99. · Take partial profits at $98.09. · Move stop-loss to breakeven after $98.09 is hit. · Let remaining position run to $101.98 and $106.06. · Stop-loss: $87.63. --- If You Are SHORT: · Not recommended — the trend is bullish. · Only if price breaks below $90.35 with volume. · Targets: $87.63 and $85.00. · Stop-loss: above $92.00. --- If You Are Watching: · Wait for a pullback to the entry zone. · Or wait for a confirmed break above $98.09. · Avoid chasing — let the price come to you. --- Then vs. Now SOL was trading near $75 just days ago. Now it's pushing $93 and aiming for $101. The breakout is confirmed, volume is very strong, and the structure is bullish. This is a textbook breakout setup — patience and discipline are now being rewarded.
$SOL
— Breakout Confirmed, Strong Uptrend

Solana has officially confirmed a breakout — the setup is ACTIVE. The structure is bullish, with higher highs and higher lows confirming strong directional movement. Trend strength is moderate, but volume is very strong — confirming buyer participation. Momentum sits at a healthy 69/100, and volatility is normal, making this a solid setup with manageable risk.

---

What I See on the Charts

· Structure: Bullish — higher highs and higher lows.
· Trend: Moderate — steady, not overextended.
· Phase: Accumulation — building for the next leg up.
· Momentum: 69/100 — healthy, room to run.
· Volume: Very Strong — buyers are committed.
· Volatility: Normal — manageable price swings.
· Breakout: Confirmed — setup is active.
· Support: $90.35 — very strong.
· Resistance: $98.09 — very strong.
· Risk: Moderate.

---

Trading Plan — LONG SOL

· Entry Zone: $92.76 – $93.99
· Target 1: $101.98
· Target 2: $106.06
· Stop Loss: $87.63
· Risk-Reward Ratio: 1:1.5

---

If You Are LONG:

· Entry: $92.76 – $93.99.
· Take partial profits at $98.09.
· Move stop-loss to breakeven after $98.09 is hit.
· Let remaining position run to $101.98 and $106.06.
· Stop-loss: $87.63.

---

If You Are SHORT:

· Not recommended — the trend is bullish.
· Only if price breaks below $90.35 with volume.
· Targets: $87.63 and $85.00.
· Stop-loss: above $92.00.

---

If You Are Watching:

· Wait for a pullback to the entry zone.
· Or wait for a confirmed break above $98.09.
· Avoid chasing — let the price come to you.

---

Then vs. Now

SOL was trading near $75 just days ago. Now it's pushing $93 and aiming for $101. The breakout is confirmed, volume is very strong, and the structure is bullish. This is a textbook breakout setup — patience and discipline are now being rewarded.
$BCH {future}(BCHUSDT) — Breakout Confirmed, Strong Uptrend Bitcoin Cash has officially confirmed a breakout — the setup is ACTIVE. The structure is bullish, with higher highs and higher lows confirming strong directional movement. Trend strength is strong, volume is strong, and momentum sits at a healthy 76/100. Risk conditions are manageable. --- What I See on the Charts · Structure: Bullish — higher highs and higher lows. · Trend: Strong — buyers are in full control. · Phase: Accumulation — building for the next leg up. · Momentum: 76/100 — healthy, not overextended. · Volume: Strong — confirming buyer participation. · Volatility: Elevated — price swings are wider. · Breakout: Confirmed — setup is active. · Support: $264 — very strong. · Resistance: $290 — very strong. · Risk: Moderate. --- Trading Plan — LONG BCH · Entry Zone: $272.72 – $276.32 · Target 1: $302.19 · Target 2: $314.28 · Stop Loss: $256.08 · Risk-Reward Ratio: 1:1.5 --- If You Are LONG: · Entry: $272.72 – $276.32. · Take partial profits at $290. · Move stop-loss to breakeven after $290 is hit. · Let remaining position run to $302 and $314. · Stop-loss: $256.08. --- If You Are SHORT: · Not recommended — the trend is strongly bullish. · Only if price breaks below $264 with volume. · Targets: $256 and $250. · Stop-loss: above $272. --- If You Are Watching: · Wait for a pullback to the entry zone. · Or wait for a confirmed break above $290. · Avoid chasing the price — let it come to you. --- Then vs. Now BCH was trading near $219 just days ago. Now it's pushing $272 and aiming for $302. The breakout is confirmed, volume is strong, and the structure is bullish. This is what disciplined trading looks like — waiting for the setup, then acting with confidence.
$BCH
— Breakout Confirmed, Strong Uptrend

Bitcoin Cash has officially confirmed a breakout — the setup is ACTIVE. The structure is bullish, with higher highs and higher lows confirming strong directional movement. Trend strength is strong, volume is strong, and momentum sits at a healthy 76/100. Risk conditions are manageable.

---

What I See on the Charts

· Structure: Bullish — higher highs and higher lows.
· Trend: Strong — buyers are in full control.
· Phase: Accumulation — building for the next leg up.
· Momentum: 76/100 — healthy, not overextended.
· Volume: Strong — confirming buyer participation.
· Volatility: Elevated — price swings are wider.
· Breakout: Confirmed — setup is active.
· Support: $264 — very strong.
· Resistance: $290 — very strong.
· Risk: Moderate.

---

Trading Plan — LONG BCH

· Entry Zone: $272.72 – $276.32
· Target 1: $302.19
· Target 2: $314.28
· Stop Loss: $256.08
· Risk-Reward Ratio: 1:1.5

---

If You Are LONG:

· Entry: $272.72 – $276.32.
· Take partial profits at $290.
· Move stop-loss to breakeven after $290 is hit.
· Let remaining position run to $302 and $314.
· Stop-loss: $256.08.

---

If You Are SHORT:

· Not recommended — the trend is strongly bullish.
· Only if price breaks below $264 with volume.
· Targets: $256 and $250.
· Stop-loss: above $272.

---

If You Are Watching:

· Wait for a pullback to the entry zone.
· Or wait for a confirmed break above $290.
· Avoid chasing the price — let it come to you.

---

Then vs. Now

BCH was trading near $219 just days ago. Now it's pushing $272 and aiming for $302. The breakout is confirmed, volume is strong, and the structure is bullish. This is what disciplined trading looks like — waiting for the setup, then acting with confidence.
$ONG {future}(ONGUSDT) — Extreme Caution, Post-Pump Trap According to data from SokoData, ONG is in a dangerous zone. The structure is neutral, the trend is moderate, but momentum is at 0/100 — absolutely no buying strength. The recent pump is unconfirmed, and this looks like a classic trap for late buyers. --- What I See on the Charts · Structure: Neutral — no clear direction. · Trend: Moderate — not strong, not weak. · Phase: Redistribution — whales are offloading. · Momentum: 0/100 — dead. No buying pressure at all. · Volume: Weak — no conviction behind the move. · Volatility: Extreme — price swings are violent. · Breakout: Post-Pump (Unconfirmed) — the pump was a fakeout. · Support: $0.064945 — weak and fragile. · Resistance: $0.092012 — strong barrier. · Risk: Very High. --- Trading Plan — SHORT ONG · Entry Zone: $0.072 – $0.075 (on a bounce) · Target 1: $0.0649 · Target 2: $0.0580 · Target 3: $0.0520 · Stop Loss: $0.0780 --- If You Are LONG: · Not recommended. · Only if price breaks above $0.092012 with strong volume. · Targets: $0.100 and $0.110. · Stop-loss: below $0.080. If You Are SHORT: · Entry: $0.072 – $0.075. · Targets: $0.0649, $0.0580, $0.0520. · Stop-loss: $0.0780. If You Are Watching: · Stay patient. No clear setup yet. · Wait for a break below support or a confirmed rejection at resistance. --- Then vs. Now ONG pumped from $0.059 to $0.075, but momentum is dead. This looks like a distribution phase — the pump was designed to trap buyers. If support breaks, the drop could be fast and deep.
$ONG
— Extreme Caution, Post-Pump Trap

According to data from SokoData, ONG is in a dangerous zone. The structure is neutral, the trend is moderate, but momentum is at 0/100 — absolutely no buying strength. The recent pump is unconfirmed, and this looks like a classic trap for late buyers.

---

What I See on the Charts

· Structure: Neutral — no clear direction.
· Trend: Moderate — not strong, not weak.
· Phase: Redistribution — whales are offloading.
· Momentum: 0/100 — dead. No buying pressure at all.
· Volume: Weak — no conviction behind the move.
· Volatility: Extreme — price swings are violent.
· Breakout: Post-Pump (Unconfirmed) — the pump was a fakeout.
· Support: $0.064945 — weak and fragile.
· Resistance: $0.092012 — strong barrier.
· Risk: Very High.

---

Trading Plan — SHORT ONG

· Entry Zone: $0.072 – $0.075 (on a bounce)
· Target 1: $0.0649
· Target 2: $0.0580
· Target 3: $0.0520
· Stop Loss: $0.0780

---

If You Are LONG:

· Not recommended.
· Only if price breaks above $0.092012 with strong volume.
· Targets: $0.100 and $0.110.
· Stop-loss: below $0.080.

If You Are SHORT:

· Entry: $0.072 – $0.075.
· Targets: $0.0649, $0.0580, $0.0520.
· Stop-loss: $0.0780.

If You Are Watching:

· Stay patient. No clear setup yet.
· Wait for a break below support or a confirmed rejection at resistance.

---

Then vs. Now

ONG pumped from $0.059 to $0.075, but momentum is dead. This looks like a distribution phase — the pump was designed to trap buyers. If support breaks, the drop could be fast and deep.
$NEIRO {future}(NEIROUSDT) — Dead Momentum, More Downside Ahead According to the data from SokoData, NEIRO is flashing serious warning signs. The structure is bearish, momentum is practically dead at 7/100, and the recent pump is unconfirmed. --- What I See · Structure: Bearish — lower highs and lower lows. · Trend: Moderate — sellers in control. · Phase: Markdown — distribution ongoing. · Momentum: 7/100 — almost zero buying interest. · Volume: Weak — no conviction. · Volatility: High — swings are wide. · Breakout: Post-Pump (Unconfirmed) — the pump was a trap. · Support: $0.000082 — weak. · Resistance: $0.000093 — strong barrier. --- Risk Level: High Setup Status: Not Active — 2 requirements still missing. --- Trading Plan — SHORT NEIRO · Entry Zone: $0.000086 – $0.000090 (on a bounce) · Stop Loss: $0.000095 · Take Profit 1: $0.000075 · Take Profit 2: $0.000070 · Take Profit 3: $0.000065 --- If You Are LONG: · Not recommended. · Only if price breaks above $0.000093 with strong volume. · Targets: $0.000100 and $0.000110. · Stop-loss: below $0.000080. If You Are SHORT: · Entry: $0.000086 – $0.000090. · Targets: $0.000075, $0.000070, $0.000065. · Stop-loss: $0.000095. If You Are Watching: · Stay patient. No active setup yet. · Wait for a clear break below support or a confirmed rejection at resistance. --- Then vs. Now NEIRO pumped from $0.000070 to $0.000090, but the momentum is dead. This looks like a distribution phase — the pump was a trap for late buyers. If support breaks, the drop could be fast and deep.
$NEIRO
— Dead Momentum, More Downside Ahead

According to the data from SokoData, NEIRO is flashing serious warning signs. The structure is bearish, momentum is practically dead at 7/100, and the recent pump is unconfirmed.

---

What I See

· Structure: Bearish — lower highs and lower lows.
· Trend: Moderate — sellers in control.
· Phase: Markdown — distribution ongoing.
· Momentum: 7/100 — almost zero buying interest.
· Volume: Weak — no conviction.
· Volatility: High — swings are wide.
· Breakout: Post-Pump (Unconfirmed) — the pump was a trap.
· Support: $0.000082 — weak.
· Resistance: $0.000093 — strong barrier.

---

Risk Level: High

Setup Status: Not Active — 2 requirements still missing.

---

Trading Plan — SHORT NEIRO

· Entry Zone: $0.000086 – $0.000090 (on a bounce)
· Stop Loss: $0.000095
· Take Profit 1: $0.000075
· Take Profit 2: $0.000070
· Take Profit 3: $0.000065

---

If You Are LONG:

· Not recommended.
· Only if price breaks above $0.000093 with strong volume.
· Targets: $0.000100 and $0.000110.
· Stop-loss: below $0.000080.

If You Are SHORT:

· Entry: $0.000086 – $0.000090.
· Targets: $0.000075, $0.000070, $0.000065.
· Stop-loss: $0.000095.

If You Are Watching:

· Stay patient. No active setup yet.
· Wait for a clear break below support or a confirmed rejection at resistance.

---

Then vs. Now

NEIRO pumped from $0.000070 to $0.000090, but the momentum is dead. This looks like a distribution phase — the pump was a trap for late buyers. If support breaks, the drop could be fast and deep.
$ZEC {future}(ZECUSDT) — EXTREME DATA! BUT CHOPPY MARKET! Zcash is showing extreme data: momentum at 100/100, trend very strong, volume very strong. But — the market is choppy, the breakout is Post-Pump (Unconfirmed), and risk is very high. Volatility is extreme. The setup is not active — 2 requirements still missing. Support sits at $646, resistance at $935. The range is wide — a break above $935 with volume could trigger a massive rally to $1000 and beyond. But without consolidation, the risk of a sharp drop is equally high. If LONG: · Wait for consolidation near $646 or a confirmed break above $935 with volume. · Targets: $935, $1000, $1050. · Stop-loss: below $600. If SHORT: · Only if price breaks below $646 with volume. · Targets: $600 and $550. · Stop-loss: above $700. If watching: · Stay patient — no active setup yet. Choppy market means false breakouts are likely. Then vs Now: ZEC pumped from $598 to $859, but confidence is reduced. Pullback risk is high. Protect your capital and wait for confirmation.
$ZEC
— EXTREME DATA! BUT CHOPPY MARKET!

Zcash is showing extreme data: momentum at 100/100, trend very strong, volume very strong. But — the market is choppy, the breakout is Post-Pump (Unconfirmed), and risk is very high. Volatility is extreme. The setup is not active — 2 requirements still missing.

Support sits at $646, resistance at $935. The range is wide — a break above $935 with volume could trigger a massive rally to $1000 and beyond. But without consolidation, the risk of a sharp drop is equally high.

If LONG:

· Wait for consolidation near $646 or a confirmed break above $935 with volume.
· Targets: $935, $1000, $1050.
· Stop-loss: below $600.

If SHORT:

· Only if price breaks below $646 with volume.
· Targets: $600 and $550.
· Stop-loss: above $700.

If watching:

· Stay patient — no active setup yet. Choppy market means false breakouts are likely.

Then vs Now: ZEC pumped from $598 to $859, but confidence is reduced. Pullback risk is high. Protect your capital and wait for confirmation.
$COTI {future}(COTIUSDT) — PUMP CONFIRMED! BUT RISK IS HIGH! COTI is up strong with momentum at 74/100 — bullish structure, higher highs and higher lows. BUT — the breakout is Post-Pump (Unconfirmed), confidence is reduced, and risk is high. Volatility is elevated. Setup is not active — 2 requirements still missing. Key Levels: · Support: $0.011712 (Moderate) · Resistance: $0.013563 (Moderate) If LONG: · ⚠️ Wait for consolidation near $0.011712 or a confirmed break above resistance with volume. · Targets: $0.0135, $0.0150, $0.0165. · Stop-loss: below $0.0110. If SHORT: · Only if price breaks below $0.011712 with volume. · Targets: $0.0105 and $0.0095. · Stop-loss: above $0.0125. If watching: · ✅ Stay patient. No active setup yet. Wait for consolidation or confirmed breakout. Then vs Now: COTI pumped hard, but confidence is reduced. Pullback risk is high. Protect your capital and wait for confirmation.
$COTI
— PUMP CONFIRMED! BUT RISK IS HIGH!

COTI is up strong with momentum at 74/100 — bullish structure, higher highs and higher lows. BUT — the breakout is Post-Pump (Unconfirmed), confidence is reduced, and risk is high. Volatility is elevated. Setup is not active — 2 requirements still missing.

Key Levels:

· Support: $0.011712 (Moderate)
· Resistance: $0.013563 (Moderate)

If LONG:

· ⚠️ Wait for consolidation near $0.011712 or a confirmed break above resistance with volume.
· Targets: $0.0135, $0.0150, $0.0165.
· Stop-loss: below $0.0110.

If SHORT:

· Only if price breaks below $0.011712 with volume.
· Targets: $0.0105 and $0.0095.
· Stop-loss: above $0.0125.

If watching:

· ✅ Stay patient. No active setup yet. Wait for consolidation or confirmed breakout.

Then vs Now: COTI pumped hard, but confidence is reduced. Pullback risk is high. Protect your capital and wait for confirmation.
$POL {future}(POLUSDT) — EXTREME MOMENTUM! BUT POST-PUMP WARNING! POL is showing extreme strength — momentum at 100/100, trend very strong, structure bullish. BUT — the breakout is Post-Pump (Unconfirmed), confidence is reduced, and risk is very high. Volatility is extreme. Setup is not active — 2 requirements still missing. --- Key Levels: · Support: $0.0949 (Moderate) · Resistance: $0.1285 (Moderate) --- If LONG: · ⚠️ Wait for consolidation near $0.0949 or a confirmed break above resistance with volume. · Targets: $0.1285, $0.1400, $0.1550. · Stop-loss: below $0.0900. --- If SHORT: · Only if price breaks below $0.0949 with volume. · Targets: $0.0850 and $0.0780. · Stop-loss: above $0.1000. --- If watching: · ✅ Stay patient. No active setup yet. Wait for consolidation or confirmed breakout. --- Then vs Now: POL pumped hard from $0.084 to $0.111, but confidence is reduced. Pullback risk is high. Protect your capital and wait for confirmation.
$POL
— EXTREME MOMENTUM! BUT POST-PUMP WARNING!

POL is showing extreme strength — momentum at 100/100, trend very strong, structure bullish. BUT — the breakout is Post-Pump (Unconfirmed), confidence is reduced, and risk is very high. Volatility is extreme. Setup is not active — 2 requirements still missing.

---

Key Levels:

· Support: $0.0949 (Moderate)
· Resistance: $0.1285 (Moderate)

---

If LONG:

· ⚠️ Wait for consolidation near $0.0949 or a confirmed break above resistance with volume.
· Targets: $0.1285, $0.1400, $0.1550.
· Stop-loss: below $0.0900.

---

If SHORT:

· Only if price breaks below $0.0949 with volume.
· Targets: $0.0850 and $0.0780.
· Stop-loss: above $0.1000.

---

If watching:

· ✅ Stay patient. No active setup yet. Wait for consolidation or confirmed breakout.

---

Then vs Now: POL pumped hard from $0.084 to $0.111, but confidence is reduced. Pullback risk is high. Protect your capital and wait for confirmation.
$MOVE {future}(MOVEUSDT) — POST-PUMP WARNING! HIGH RISK! Movement is showing extreme momentum at 100/100 but the breakout is Post-Pump (Unconfirmed). Volume is weak. Volatility is Extreme. Risk is Very High. Setup is NOT ACTIVE — 2 requirements still missing. Key Levels: · Support: $0.007542 (Moderate) · Resistance: $0.010835 (Moderate) If LONG: · Wait for consolidation near $0.007542 or a confirmed break above resistance. · Targets: $0.0108 and $0.0120. · Stop-loss: below $0.0070. If SHORT: · Only if price breaks below $0.007542 with volume. · Targets: $0.0065 and $0.0060. · Stop-loss: above $0.0085. If watching: · Stay patient. No active setup yet. Then vs Now: MOVE pumped hard, but confidence is reduced. Pullback risk is high. Protect your capital and wait for confirmation.
$MOVE
— POST-PUMP WARNING! HIGH RISK!

Movement is showing extreme momentum at 100/100 but the breakout is Post-Pump (Unconfirmed). Volume is weak. Volatility is Extreme. Risk is Very High. Setup is NOT ACTIVE — 2 requirements still missing.

Key Levels:

· Support: $0.007542 (Moderate)
· Resistance: $0.010835 (Moderate)

If LONG:

· Wait for consolidation near $0.007542 or a confirmed break above resistance.
· Targets: $0.0108 and $0.0120.
· Stop-loss: below $0.0070.

If SHORT:

· Only if price breaks below $0.007542 with volume.
· Targets: $0.0065 and $0.0060.
· Stop-loss: above $0.0085.

If watching:

· Stay patient. No active setup yet.

Then vs Now: MOVE pumped hard, but confidence is reduced. Pullback risk is high. Protect your capital and wait for confirmation.
$TRUMP {future}(TRUMPUSDT) — MASSIVE BULLISH DATA! BUT FAKEOUT WARNING! TRUMP is up 67.20% at $2.85. Data is extremely bullish: whales buying 100%, selling 0%. Stop-Hunt at 92% — shorts are about to get crushed. Short squeeze probability at 52%. Volume is 260% of market cap — massive. OI up 39.9%, Long/Short at 3.00x — heavily skewed to upside. Volatility maxed at 100/100. Caution: Price swept resistance and failed quickly — classic stop-hunt. A dip could come before the real pump. Plan: · If LONG: Entry at $2.85 or $2.70 on dip. Targets: $3.20, $3.60, $4.00. Stop-loss: $2.50. · If SHORT: Only if price rejects $3.20 clearly. Targets: $2.70 and $2.50. Stop-loss: above $3.30. Then vs Now: TRUMP was $1.70 — now $2.85, a 67% gain. Momentum is strong, but the fakeout warning means patience. Protect your gains and don't chase.
$TRUMP
— MASSIVE BULLISH DATA! BUT FAKEOUT WARNING!

TRUMP is up 67.20% at $2.85. Data is extremely bullish: whales buying 100%, selling 0%. Stop-Hunt at 92% — shorts are about to get crushed. Short squeeze probability at 52%. Volume is 260% of market cap — massive. OI up 39.9%, Long/Short at 3.00x — heavily skewed to upside. Volatility maxed at 100/100.

Caution: Price swept resistance and failed quickly — classic stop-hunt. A dip could come before the real pump.

Plan:

· If LONG: Entry at $2.85 or $2.70 on dip. Targets: $3.20, $3.60, $4.00. Stop-loss: $2.50.
· If SHORT: Only if price rejects $3.20 clearly. Targets: $2.70 and $2.50. Stop-loss: above $3.30.

Then vs Now: TRUMP was $1.70 — now $2.85, a 67% gain. Momentum is strong, but the fakeout warning means patience. Protect your gains and don't chase.
$PEPE {spot}(PEPEUSDT) — BULLISH POWER! BUT WATCH THE FAKEOUT! PEPE is up 22% at $0.00000424. Data is screaming bullish: whales buying 100%, selling 0%. Stop-Hunt at 92% — shorts about to get crushed. Short squeeze probability at 59%. Exchange outflows confirm holders are holding. Volatility is maxed at 100/100. Caution: Price swept resistance and failed quickly — classic stop-hunt. A dip could come before the real pump. Plan: · If LONG: Entry at $0.00000424 or $0.0000040 on dip. Targets: $0.0000045, $0.0000050, $0.0000055. Stop-loss: $0.0000038. · If SHORT: Only if price rejects $0.0000045 clearly. Targets: $0.0000040 and $0.0000038. Stop-loss: above $0.0000046. Then vs Now: PEPE was $0.00000347 — now $0.00000424, a 22% gain. Momentum is strong, but the fakeout warning means patience. Protect your gains and don't chase.
$PEPE
— BULLISH POWER! BUT WATCH THE FAKEOUT!

PEPE is up 22% at $0.00000424. Data is screaming bullish: whales buying 100%, selling 0%. Stop-Hunt at 92% — shorts about to get crushed. Short squeeze probability at 59%. Exchange outflows confirm holders are holding. Volatility is maxed at 100/100.

Caution: Price swept resistance and failed quickly — classic stop-hunt. A dip could come before the real pump.

Plan:

· If LONG: Entry at $0.00000424 or $0.0000040 on dip. Targets: $0.0000045, $0.0000050, $0.0000055. Stop-loss: $0.0000038.
· If SHORT: Only if price rejects $0.0000045 clearly. Targets: $0.0000040 and $0.0000038. Stop-loss: above $0.0000046.

Then vs Now: PEPE was $0.00000347 — now $0.00000424, a 22% gain. Momentum is strong, but the fakeout warning means patience. Protect your gains and don't chase.
$PROM {future}(PROMUSDT) — BREAKOUT CONFIRMED! STRONG MOMENTUM! PROM is up 34.49% at $2.749. Price is above MA7 (2.627), MA25 (2.341), MA99 (2.049) — confirming a strong bullish breakout. 24h high is 2.938, support at 2.507. Volume is moderate but building. Plan: · If LONG: Enter now or wait for pullback to MA7 (2.627). Targets: 2.938, 3.100, 3.300. Stop-loss: 2.500. · If SHORT: Not recommended — trend is too strong. · If WATCHING: Wait for pullback to MA7 for safer entry. Then vs Now: PROM was 1.988 — now 2.749, a 34% gain. Breakout confirmed — room to run.
$PROM
— BREAKOUT CONFIRMED! STRONG MOMENTUM!

PROM is up 34.49% at $2.749. Price is above MA7 (2.627), MA25 (2.341), MA99 (2.049) — confirming a strong bullish breakout. 24h high is 2.938, support at 2.507. Volume is moderate but building.

Plan:

· If LONG: Enter now or wait for pullback to MA7 (2.627). Targets: 2.938, 3.100, 3.300. Stop-loss: 2.500.
· If SHORT: Not recommended — trend is too strong.
· If WATCHING: Wait for pullback to MA7 for safer entry.

Then vs Now: PROM was 1.988 — now 2.749, a 34% gain. Breakout confirmed — room to run.
$GALA {future}(GALAUSDT) is up 35.61%, trading at 0.002129. Price is above MA7 (0.002041), MA25 (0.001787), and MA99 (0.001532) — confirming a strong bullish breakout. The 24h high is at 0.002179, which is the immediate resistance. Volume is solid, indicating real buying pressure. Plan: · If you are LONG, consider taking partial profits near 0.002179 and moving your stop-loss to breakeven. A confirmed break above 0.002179 could open the door to 0.002250 and 0.002400. · If you are SHORT, avoid this move — the trend is strongly bullish and chasing a reversal is high risk. · If you are watching, wait for a pullback to MA7 (0.002041) for a safer entry. Then vs Now: GALA was at 0.001542 — now at 0.002129, a 35%+ gain. Momentum is strong, and the breakout appears confirmed.
$GALA
is up 35.61%, trading at 0.002129. Price is above MA7 (0.002041), MA25 (0.001787), and MA99 (0.001532) — confirming a strong bullish breakout. The 24h high is at 0.002179, which is the immediate resistance. Volume is solid, indicating real buying pressure.

Plan:

· If you are LONG, consider taking partial profits near 0.002179 and moving your stop-loss to breakeven. A confirmed break above 0.002179 could open the door to 0.002250 and 0.002400.
· If you are SHORT, avoid this move — the trend is strongly bullish and chasing a reversal is high risk.
· If you are watching, wait for a pullback to MA7 (0.002041) for a safer entry.

Then vs Now: GALA was at 0.001542 — now at 0.002129, a 35%+ gain. Momentum is strong, and the breakout appears confirmed.
$ENA {future}(ENAUSDT) — HUGE BREAKOUT! DON'T MISS! 🔥 ENA is up 39.89% at $0.1494 — leading the market today! Data: · Price above MA7 (0.1471), MA25 (0.1307), MA99 (0.0986) — strong bullish structure. · Volume: 1.12B — whales are buying aggressively. · 7-day gain: 75.56% — parabolic run in progress. Targets: · TP1: 0.1555 (24h high) · TP2: 0.1700 · TP3: 0.1900 · TP4: 0.2200 (if momentum holds) Plan: · If LONG: Enter now or pullback to 0.1450 – 0.1470. Stop-loss: 0.1400. Take partial at 0.1555, move stop to breakeven. · If SHORT: Not recommended. Trend is too strong. · If WATCHING: Wait for pullback to MA7 for safer entry. Then vs Now: ENA was 0.1060 — now 0.1494, a 40% move. Momentum is real — don't fight it.
$ENA
— HUGE BREAKOUT! DON'T MISS! 🔥

ENA is up 39.89% at $0.1494 — leading the market today!

Data:

· Price above MA7 (0.1471), MA25 (0.1307), MA99 (0.0986) — strong bullish structure.
· Volume: 1.12B — whales are buying aggressively.
· 7-day gain: 75.56% — parabolic run in progress.

Targets:

· TP1: 0.1555 (24h high)
· TP2: 0.1700
· TP3: 0.1900
· TP4: 0.2200 (if momentum holds)

Plan:

· If LONG: Enter now or pullback to 0.1450 – 0.1470. Stop-loss: 0.1400. Take partial at 0.1555, move stop to breakeven.
· If SHORT: Not recommended. Trend is too strong.
· If WATCHING: Wait for pullback to MA7 for safer entry.

Then vs Now: ENA was 0.1060 — now 0.1494, a 40% move. Momentum is real — don't fight it.
$INJ {future}(INJUSDT) — Confirmed Breakout in a Choppy Market Injective has an active confirmed breakout — setup is ACTIVE. Price trades between support at 4.568 and resistance at 4.954. Momentum 75/100, volume moderate. Choppy market — false breakouts likely, caution advised. If LONG: · Entry: 4.6886 – 4.75048. · Targets: 5.1524 and 5.3585. · Stop: 4.4309. · Take partial at 4.954, move stop to breakeven. If SHORT: · Not recommended unless price breaks below 4.568 with volume. · Targets: 4.4000 and 4.3000. · Stop: above 4.8000. If watching: · Choppy market — enter with caution. Then vs Now: Confirmed breakout — but choppy conditions mean careful risk management.
$INJ
— Confirmed Breakout in a Choppy Market

Injective has an active confirmed breakout — setup is ACTIVE. Price trades between support at 4.568 and resistance at 4.954. Momentum 75/100, volume moderate. Choppy market — false breakouts likely, caution advised.

If LONG:

· Entry: 4.6886 – 4.75048.
· Targets: 5.1524 and 5.3585.
· Stop: 4.4309.
· Take partial at 4.954, move stop to breakeven.

If SHORT:

· Not recommended unless price breaks below 4.568 with volume.
· Targets: 4.4000 and 4.3000.
· Stop: above 4.8000.

If watching:

· Choppy market — enter with caution.

Then vs Now: Confirmed breakout — but choppy conditions mean careful risk management.
$TIA {future}(TIAUSDT) — Consolidation Before the Next Move Celestia is building higher highs and higher lows — bullish structure intact. Price stuck between support at 0.3284 and resistance at 0.3499. Momentum 70/100 but volume weak. Breakout unconfirmed — 2 requirements still missing. Elevated volatility means wider swings. If LONG: · Wait for confirmed break above 0.3499 with volume. · Targets: 0.3600 and 0.3750. · Stop: below 0.3200. If SHORT: · Only if price breaks below 0.3284 with volume. · Targets: 0.3150 and 0.3000. · Stop: above 0.3400. If watching: · Stay patient — no active setup yet. Then vs Now: Accumulation zone — direction pending confirmation. Let the market show its hand first.
$TIA
— Consolidation Before the Next Move

Celestia is building higher highs and higher lows — bullish structure intact. Price stuck between support at 0.3284 and resistance at 0.3499. Momentum 70/100 but volume weak. Breakout unconfirmed — 2 requirements still missing. Elevated volatility means wider swings.

If LONG:

· Wait for confirmed break above 0.3499 with volume.
· Targets: 0.3600 and 0.3750.
· Stop: below 0.3200.

If SHORT:

· Only if price breaks below 0.3284 with volume.
· Targets: 0.3150 and 0.3000.
· Stop: above 0.3400.

If watching:

· Stay patient — no active setup yet.

Then vs Now: Accumulation zone — direction pending confirmation. Let the market show its hand first.
$LTC {future}(LTCUSDT) — Range Bound, Direction Pending Litecoin in accumulation zone — support 46.49, resistance 49.49. Momentum 66/100, volume moderate. Breakout unconfirmed. If LONG: · Wait for break above 49.49 with volume. · Targets: 52.00 and 54.00. · Stop: below 45.50. If SHORT: · Only if price breaks below 46.49. · Targets: 44.50 and 43.00. · Stop: above 48.00.
$LTC
— Range Bound, Direction Pending

Litecoin in accumulation zone — support 46.49, resistance 49.49. Momentum 66/100, volume moderate. Breakout unconfirmed.

If LONG:

· Wait for break above 49.49 with volume.
· Targets: 52.00 and 54.00.
· Stop: below 45.50.

If SHORT:

· Only if price breaks below 46.49.
· Targets: 44.50 and 43.00.
· Stop: above 48.00.
$MELANIA {future}(MELANIAUSDT) — BULLISH STRUCTURE, AWAITING CONFIRMATION MELANIA is showing a bullish structure with higher highs and higher lows, but the setup is not yet active. Price is ranging between strong support at 0.076189 and resistance at 0.081859. Momentum sits at 70/100 but volume is weak. Breakout remains unconfirmed — two requirements still missing. If LONG: · Wait for confirmed break above 0.081859 with volume. · Targets: 0.0850 and 0.0880. · Stop: below 0.0740. If SHORT: · Only if price breaks below 0.076189 with volume. · Targets: 0.0730 and 0.0700. · Stop: above 0.0785. If watching: · Stay on sidelines until breakout or breakdown confirmed. Then vs Now: Building base in accumulation zone — patience is key.
$MELANIA
— BULLISH STRUCTURE, AWAITING CONFIRMATION

MELANIA is showing a bullish structure with higher highs and higher lows, but the setup is not yet active. Price is ranging between strong support at 0.076189 and resistance at 0.081859. Momentum sits at 70/100 but volume is weak. Breakout remains unconfirmed — two requirements still missing.

If LONG:

· Wait for confirmed break above 0.081859 with volume.
· Targets: 0.0850 and 0.0880.
· Stop: below 0.0740.

If SHORT:

· Only if price breaks below 0.076189 with volume.
· Targets: 0.0730 and 0.0700.
· Stop: above 0.0785.

If watching:

· Stay on sidelines until breakout or breakdown confirmed.

Then vs Now: Building base in accumulation zone — patience is key.
$STABLE {future}(STABLEUSDT) — SHORT SETUP IN PLAY STABLE is in a downtrend — sellers in control. Support at 0.026757, resistance at 0.028401. Momentum weak at 41/100. Setup not yet active — wait for confirmation. If SHORT: · Entry: 0.027849 – 0.02821. · Targets: 0.026195 and 0.025147. · Stop: 0.029253. · Wait for break below support or rejection at resistance. If LONG: · Not recommended unless price breaks above 0.028401 with volume. · Targets: 0.0295 and 0.0300. · Stop: below 0.0267. Then vs Now: Lower highs forming — bearish structure intact. Patience is key.
$STABLE
— SHORT SETUP IN PLAY

STABLE is in a downtrend — sellers in control. Support at 0.026757, resistance at 0.028401. Momentum weak at 41/100. Setup not yet active — wait for confirmation.

If SHORT:

· Entry: 0.027849 – 0.02821.
· Targets: 0.026195 and 0.025147.
· Stop: 0.029253.
· Wait for break below support or rejection at resistance.

If LONG:

· Not recommended unless price breaks above 0.028401 with volume.
· Targets: 0.0295 and 0.0300.
· Stop: below 0.0267.

Then vs Now: Lower highs forming — bearish structure intact. Patience is key.
$MMT {future}(MMTUSDT) — SHORT SETUP IN PLAY Momentum is in a downtrend — sellers in control. Support at 0.1664, resistance at 0.1838. Momentum weak at 37/100. Setup not yet active — wait for confirmation. If SHORT: · Entry: 0.17494 – 0.17721. · Targets: 0.1562 and 0.1495. · Stop: 0.1893. · Wait for break below 0.1664 or rejection at resistance. If LONG: · Not recommended unless price breaks above 0.1838 with volume. · Targets: 0.1900 and 0.2000. · Stop: below 0.1664. Then vs Now: Lower highs forming — bearish structure intact. Patience is key.
$MMT
— SHORT SETUP IN PLAY

Momentum is in a downtrend — sellers in control. Support at 0.1664, resistance at 0.1838. Momentum weak at 37/100. Setup not yet active — wait for confirmation.

If SHORT:

· Entry: 0.17494 – 0.17721.
· Targets: 0.1562 and 0.1495.
· Stop: 0.1893.
· Wait for break below 0.1664 or rejection at resistance.

If LONG:

· Not recommended unless price breaks above 0.1838 with volume.
· Targets: 0.1900 and 0.2000.
· Stop: below 0.1664.

Then vs Now: Lower highs forming — bearish structure intact. Patience is key.
$ALGO {future}(ALGOUSDT) — Choppy Market, Await Confirmation Algorand is choppy — false breakouts likely. Setup not yet active. Support at 0.082945, resistance at 0.088966. Momentum 68/100 but volume weak. If LONG: · Entry: 0.084643 – 0.08576. · Targets: 0.0923 and 0.0960. · Stop: 0.0804. · Wait for break above 0.088966 with volume. If SHORT: · Only if price rejects 0.088966. · Targets: 0.0846 and 0.0829. · Stop: above 0.0900. Then vs Now: Stuck in a range. Choppy market — patience is key. Protect capital.
$ALGO
— Choppy Market, Await Confirmation

Algorand is choppy — false breakouts likely. Setup not yet active. Support at 0.082945, resistance at 0.088966. Momentum 68/100 but volume weak.

If LONG:

· Entry: 0.084643 – 0.08576.
· Targets: 0.0923 and 0.0960.
· Stop: 0.0804.
· Wait for break above 0.088966 with volume.

If SHORT:

· Only if price rejects 0.088966.
· Targets: 0.0846 and 0.0829.
· Stop: above 0.0900.

Then vs Now: Stuck in a range. Choppy market — patience is key. Protect capital.
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