Short sellers were squeezed as DOLO pushed above the $0.0707 level, invalidating bearish positioning built around the prior compression range. The move showed clean continuation with limited rejection, indicating shorts were forced to cover into real buying pressure rather than a brief liquidity sweep.
Entry (EP): $0.06990
Take Profit (TP): $0.07720
Stop Loss (SL): $0.06810
Market Outlook: $DOLO is holding a constructive short-term bullish posture after reclaiming this liquidation zone. As long as price remains above the $0.070–$0.071 support area, upside continuation toward higher resistance remains likely. Momentum is positive but volatility remains elevated strict risk management is essential.
Long positions were flushed as LIT failed to hold above the $2.26 support region, triggering stop losses from late longs positioned for continuation. The breakdown showed clean downside follow-through with limited bounce, indicating genuine selling pressure rather than a brief liquidity sweep.
Entry (EP): $2.30
Take Profit (TP): $2.08
Stop Loss (SL): $2.38
Market Outlook: $LIT is showing short-term bearish pressure after losing this liquidation zone. As long as price remains below the $2.26–$2.30 resistance band, downside continuation toward lower support levels remains likely. Momentum is negative and volatility remains elevated strict risk management is essential.
$BOME Dlouhá likvidace: 2 795 K USD při 0,00068 USD
Dlouhé pozice byly agresivně vyčištěny, protože BOME se nepodařilo udržet se nad odolnou oblastí 0,00068 USD, což způsobilo vlnu stop lossů u pákových dlouhých pozic. Rozpad ukázal silný pokles s omezenou reakcí.
Vstupní cena (EP): 0,000695 USD
Cíl zisku (TP): 0,000630 USD
Stop loss (SL): 0,000725 USD
Pohled na trh: $BOME ukazuje krátkodobý tlak na pokles po ztrátě této oblasti likvidace. Dokud bude cena pod odolnou páskou 0,00068 až 0,000695 USD, zůstává pravděpodobný pokles k nižším podporám. Momentum je negativní a volatilita zůstává vysoká, takže je nezbytné přísné řízení rizik.
Long positions were forced out as COTI failed to hold above the $0.0208 support region, triggering stop losses from continuation-focused longs. The breakdown showed steady downside acceptance, confirming real selling pressure.
Entry (EP): $0.02110
Take Profit (TP): $0.01960
Stop Loss (SL): $0.02190
Market Outlook: $COTI is showing short-term bearish pressure after losing this liquidation zone. As long as price remains below the $0.0208–$0.0211 resistance band, downside continuation toward lower demand zones remains likely. Momentum is negative and volatility remains elevated strict risk management is essential.
Short sellers were squeezed as PLAY pushed above the $0.0663 level, invalidating bearish positioning built around the prior consolidation range. The move showed clean continuation with limited rejection, indicating shorts were forced to cover into real buying pressure rather than a brief liquidity sweep.
Entry (EP): $0.06540
Take Profit (TP): $0.07320
Stop Loss (SL): $0.06390
Market Outlook: $PLAY is holding a constructive short-term bullish posture after reclaiming this liquidation zone. As long as price remains above the $0.065–$0.066 support area, upside continuation toward higher resistance remains likely. Momentum is positive but volatility remains elevated strict risk management is essential.
Short sellers were squeezed as IPUSDC pushed above the $2.835 level, invalidating bearish positioning built around the prior compression range. The move showed clean continuation with limited rejection, indicating shorts were forced to cover into real buying pressure rather than a brief liquidity sweep.
Entry (EP): $2.805
Take Profit (TP): $3.020
Stop Loss (SL): $2.740
Market Outlook: $IP USDC is holding a constructive short-term bullish posture after reclaiming this liquidation zone. As long as price remains above the $2.80–$2.84 support area, upside continuation toward higher resistance remains likely. Momentum is positive but volatility remains elevated strict risk management is essential.
$CYS Krátké likvidace: 4,8172 tis. USD při ceně 0,46778
Krátce prodávající byli agresivně přinuceni k pokrytí, když se CYS posunulo nad úroveň 0,468, což zpochybnilo bearishní pozice postavené kolem dobře chráněné konzolidační oblasti. Pohyb ukázal silnou pokračovatelnost s minimálním odporu, což naznačuje, že krátké pozice byly nutně pokryty v reakci na trvalý nákupní tlak, nikoli krátkodobý výsledný výběr likvidity.
Vstupní cena (EP): 0,46220 USD
Cílová cena (TP): 0,50500 USD
Ukončení ztráty (SL): 0,45010 USD
Pohled na trh: $CYS drží konstruktivní krátkodobou bullish posturu po návratu do této oblasti likvidace. Dokud bude cena nad oblastí podpory 0,462–0,468 USD, je pravděpodobné další růst směrem k vyšším odporům. Momentum je silné, ale volatilita je zvýšená, proto je důležité přísné řízení rizik.
$BEAT Krátké likvidace: 3,9204 tis. USD při 0,41168 USD
Krátce prodávající byli přinuceni zavřít pozice, když BEAT překonal úroveň 0,4117 USD, což způsobilo ztrátu platnosti bearishních pozic vytvořených během předchozího komprese. Pohyb ukázal čisté pokračování s omezeným odporovým odrazem, což naznačuje, že krátké pozice byly nutně zavřeny při reálném nákupním tlaku, nikoli krátkodobém vyčištění likvidity.
Vstupní cena (EP): 0,40690 USD
Cílová cena (TP): 0,44500 USD
Stop loss (SL): 0,39820 USD
Tržní pohled: $BEAT drží konstruktivní krátkodobě bullšskou pozici po návratu do této oblasti likvidace. Dokud bude cena nad oblastí podpory 0,407–0,412 USD, je pravděpodobné pokračování vzhůru k vyšším odporům. Momentum je pozitivní, ale volatilita zůstává vysoká, proto je nezbytné striktní řízení rizik.
Short sellers were squeezed as ARIA pushed above the $0.0978 level, invalidating bearish positioning built around the prior consolidation range. The move showed steady continuation with limited rejection, indicating shorts were forced to cover into real buying pressure rather than a brief liquidity sweep.
Entry (EP): $0.09620
Take Profit (TP): $0.10650
Stop Loss (SL): $0.09390
Market Outlook: $ARIA is holding a constructive short-term bullish posture after reclaiming this liquidation zone. As long as price remains above the $0.096–$0.098 support area, upside continuation toward higher resistance remains likely. Momentum is positive but volatility remains elevated strict risk management is essential.
Long positions were flushed as XMR failed to hold above the $599.6 support region, triggering stop losses from late longs positioned for continuation. The breakdown showed clean downside follow-through with limited bounce, indicating genuine selling pressure rather than a brief liquidity sweep.
Entry (EP): $607.50
Take Profit (TP): $565.00
Stop Loss (SL): $620.80
Market Outlook: $XMR is showing short-term bearish pressure after losing this liquidation zone. As long as price remains below the $600–$608 resistance band, downside continuation toward lower support levels remains likely. Momentum is negative and volatility remains elevated strict risk management is essential.
Short sellers were squeezed as DOLO pushed above the $0.0682 level, invalidating bearish positioning built around the prior compression range. The move showed clean continuation with limited rejection, indicating shorts were forced to cover into real buying pressure rather than a brief liquidity sweep.
Entry (EP): $0.06740
Take Profit (TP): $0.07420
Stop Loss (SL): $0.06580
Market Outlook: $DOLO is holding a constructive short-term bullish posture after reclaiming this liquidation zone. As long as price remains above the $0.067–$0.068 support area, upside continuation toward higher resistance remains likely. Momentum is positive but volatility remains elevated strict risk management is essential.
Long positions were flushed as AIOT failed to hold above the $0.0929 support region, triggering stop losses from late longs positioned for continuation. The breakdown showed clean downside follow-through with limited bounce, indicating genuine selling pressure rather than a brief liquidity sweep.
Entry (EP): $0.09460
Take Profit (TP): $0.08680
Stop Loss (SL): $0.09720
Market Outlook: $AIOT is showing short-term bearish pressure after losing this liquidation zone. As long as price remains below the $0.093–$0.095 resistance band, downside continuation toward lower support levels remains likely. Momentum is negative and volatility remains elevated strict risk management is essential.
Long positions were forced out as AVNT failed to sustain above the $0.306 support region, triggering stop losses from continuation-focused longs. The breakdown showed steady downside acceptance, confirming real selling pressure.
Entry (EP): $0.31120
Take Profit (TP): $0.28700
Stop Loss (SL): $0.31950
Market Outlook: $AVNT is showing short-term bearish pressure after losing this liquidation zone. As long as price remains below the $0.306–$0.311 resistance band, downside continuation toward lower demand zones remains likely. Momentum is negative and volatility remains elevated strict risk management is essential.
Long positions were flushed as XMR failed to hold above the $586.5 support region, triggering stop losses from late longs positioned for continuation. The breakdown showed clean downside follow-through with limited bounce, indicating genuine selling pressure.
Entry (EP): $593.80
Take Profit (TP): $560.00
Stop Loss (SL): $606.50
Market Outlook: $XMR is showing short-term bearish pressure after losing this liquidation zone. As long as price remains below the $586–$594 resistance band, downside continuation toward lower support levels remains likely. Momentum is negative and volatility remains elevated strict risk management is essential.
Short sellers were aggressively squeezed as IR pushed above the $0.0852 level, invalidating bearish positioning built around a well-defended compression range. The move showed strong continuation with minimal rejection, indicating shorts were forced to cover into sustained buying pressure rather than a brief liquidity sweep.
Entry (EP): $0.08410
Take Profit (TP): $0.09280
Stop Loss (SL): $0.08190
Market Outlook: $IR is holding a constructive short-term bullish posture after reclaiming this liquidation zone. As long as price remains above the $0.084–$0.085 support area, upside continuation toward higher resistance remains likely. Momentum is strong but volatility is elevated strict risk management is essential.
Long positions were flushed as SOL failed to hold above the $142.0 support region, triggering stop losses from late longs positioned for continuation. The breakdown showed clean downside follow-through with limited bounce, indicating genuine selling pressure rather than a brief liquidity sweep.
Entry (EP): $143.40
Take Profit (TP): $135.60
Stop Loss (SL): $146.10
Market Outlook: $SOL is showing short-term bearish pressure after losing this liquidation zone. As long as price remains below the $142.0–$143.5 resistance band, downside continuation toward lower support levels remains likely. Momentum is negative and volatility remains elevated strict risk management is essential.
Long positions were aggressively flushed as ACH failed to sustain above the $0.0104 support region, triggering a cascade of stop losses from leveraged longs. The breakdown showed strong downside continuation with limited recovery, confirming real selling pressure.
Entry (EP): $0.01055
Take Profit (TP): $0.00955
Stop Loss (SL): $0.01090
Market Outlook: $ACH is showing short-term bearish pressure after losing this liquidation zone. As long as price remains below the $0.0104–$0.0106 resistance band, downside continuation toward lower support levels remains likely. Momentum is negative and volatility remains elevated strict risk management is essential.
Long positions were forced out as VIRTUAL failed to hold above the $1.017 support region, triggering stop losses from continuation-focused longs. The breakdown showed steady downside acceptance, indicating sustained selling pressure.
Entry (EP): $1.032
Take Profit (TP): $0.958
Stop Loss (SL): $1.065
Market Outlook: $VIRTUAL is showing short-term bearish pressure after losing this liquidation zone. As long as price remains below the $1.02–$1.03 resistance band, downside continuation toward lower demand levels remains likely. Momentum is negative and volatility remains elevated strict risk management is essential.
$DOT Dlouhá likvidace: 1,1922 tis. USD při ceně 2,072 USD
Dlouhé pozice byly zlikvidovány, protože DOT se nepodařilo udržet výše oblasti podpory 2,07 USD, což vyvolalo zastavení ztrát u pozic dlouhých, které byly otevřeny s cílem pokračování trendu. Rozpad ukázal čisté poklesové pokračování s omezeným odrazem.
Vstupní cena (EP): 2,095 USD
Cílová cena (TP): 1,955 USD
Ukončení ztrát (SL): 2,145 USD
Pohled na trh: $DOT ukazuje krátkodobý tlak směrem dolů po ztrátě této oblasti likvidace. Dokud bude cena pod oblastí odporu 2,07 až 2,10 USD, je pravděpodobné pokračování poklesu k nižším úrovni podpory. Momentum je negativní a volatilita zůstává vysoká, takže je nezbytné přísné řízení rizik.
Long positions were aggressively flushed as KAITO failed to hold above the $0.649 support region, triggering stop losses from leveraged longs positioned for continuation. The breakdown showed strong downside follow-through with limited recovery.
Entry (EP): $0.65780
Take Profit (TP): $0.61200
Stop Loss (SL): $0.67250
Market Outlook: $KAITO is showing short-term bearish pressure after losing this liquidation zone. As long as price remains below the $0.649–$0.658 resistance band, downside continuation toward lower support levels remains likely. Momentum is negative and volatility remains elevated strict risk management is essential.