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Block_Zen

Crypto is my pulse | charts are my language | Fearless in the bull | patient in the bear
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Traduci
$DOLO Short Liquidation: $1.5398K at $0.07066 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. #StrategyBTCPurchase #USTradeDeficitShrink #ZTCBinanceTGE #USJobsData $DOLO
$DOLO Short Liquidation: $1.5398K at $0.07066

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.

#StrategyBTCPurchase #USTradeDeficitShrink #ZTCBinanceTGE #USJobsData

$DOLO
Visualizza originale
$LIT Liquidazione a lungo: 2,6424K a 2,26271 Le posizioni lunghe sono state chiuse poiché LIT non è riuscito a mantenere il supporto a 2,26, scatenando i stop loss delle posizioni lunghe tardive che puntavano alla continuazione. La rottura ha mostrato una discesa netta con un rimbalzo limitato, indicando una reale pressione vendita piuttosto che un semplice sfollamento di liquidità. Entrata (EP): 2,30 Punto di profitto (TP): 2,08 Stop Loss (SL): 2,38 Prospettiva di mercato: $LIT mostra una pressione ribassista a breve termine dopo aver perso questa zona di liquidazione. Finché il prezzo rimane al di sotto della fascia di resistenza a 2,26–2,30, una continuazione al ribasso verso livelli di supporto inferiori rimane probabile. Il momentum è negativo e la volatilità rimane elevata; una gestione rigorosa del rischio è essenziale. #StrategyBTCPurchase #USTradeDeficitShrink #ZTCBinanceTGE #USJobsData $LIT
$LIT Liquidazione a lungo: 2,6424K a 2,26271

Le posizioni lunghe sono state chiuse poiché LIT non è riuscito a mantenere il supporto a 2,26, scatenando i stop loss delle posizioni lunghe tardive che puntavano alla continuazione. La rottura ha mostrato una discesa netta con un rimbalzo limitato, indicando una reale pressione vendita piuttosto che un semplice sfollamento di liquidità.

Entrata (EP): 2,30

Punto di profitto (TP): 2,08

Stop Loss (SL): 2,38

Prospettiva di mercato:
$LIT mostra una pressione ribassista a breve termine dopo aver perso questa zona di liquidazione. Finché il prezzo rimane al di sotto della fascia di resistenza a 2,26–2,30, una continuazione al ribasso verso livelli di supporto inferiori rimane probabile. Il momentum è negativo e la volatilità rimane elevata; una gestione rigorosa del rischio è essenziale.

#StrategyBTCPurchase #USTradeDeficitShrink #ZTCBinanceTGE #USJobsData

$LIT
Traduci
$BOME Long Liquidation: $2.795K at $0.00068 Long positions were aggressively flushed as BOME failed to sustain above the $0.00068 support region, triggering a wave of stop losses from leveraged longs. The breakdown showed strong downside continuation with limited recovery. Entry (EP): $0.000695 Take Profit (TP): $0.000630 Stop Loss (SL): $0.000725 Market Outlook: $BOME is showing short-term bearish pressure after losing this liquidation zone. As long as price remains below the $0.00068–$0.000695 resistance band, downside continuation toward lower support levels remains likely. Momentum is negative and volatility remains elevated strict risk management is essential. #StrategyBTCPurchase #USTradeDeficitShrink #ZTCBinanceTGE #CPIWatch $BOME
$BOME Long Liquidation: $2.795K at $0.00068

Long positions were aggressively flushed as BOME failed to sustain above the $0.00068 support region, triggering a wave of stop losses from leveraged longs. The breakdown showed strong downside continuation with limited recovery.

Entry (EP): $0.000695

Take Profit (TP): $0.000630

Stop Loss (SL): $0.000725

Market Outlook:
$BOME is showing short-term bearish pressure after losing this liquidation zone. As long as price remains below the $0.00068–$0.000695 resistance band, downside continuation toward lower support levels remains likely. Momentum is negative and volatility remains elevated strict risk management is essential.

#StrategyBTCPurchase #USTradeDeficitShrink #ZTCBinanceTGE #CPIWatch

$BOME
Traduci
$COTI Long Liquidation: $1.2913K at $0.02078 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. #StrategyBTCPurchase #USNonFarmPayrollReport #ZTCBinanceTGE #BinanceHODLerBREV $COTI
$COTI Long Liquidation: $1.2913K at $0.02078

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.

#StrategyBTCPurchase #USNonFarmPayrollReport #ZTCBinanceTGE #BinanceHODLerBREV

$COTI
Traduci
$PLAY Short Liquidation: $3.8782K at $0.0663 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. #StrategyBTCPurchase #USTradeDeficitShrink #CPIWatch #WriteToEarnUpgrade $PLAY
$PLAY Short Liquidation: $3.8782K at $0.0663

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.

#StrategyBTCPurchase #USTradeDeficitShrink #CPIWatch #WriteToEarnUpgrade

$PLAY
Traduci
$IPUSDC Short Liquidation: $1.0314K at $2.835 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. #StrategyBTCPurchase #USTradeDeficitShrink #ZTCBinanceTGE #BinanceHODLerBREV $IP
$IPUSDC Short Liquidation: $1.0314K at $2.835

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.

#StrategyBTCPurchase #USTradeDeficitShrink #ZTCBinanceTGE #BinanceHODLerBREV

$IP
Traduci
$CYS Short Liquidation: $4.8172K at $0.46778 Short sellers were aggressively squeezed as CYS pushed above the $0.468 level, invalidating bearish positioning built around a well-defended consolidation 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): $0.46220 Take Profit (TP): $0.50500 Stop Loss (SL): $0.45010 Market Outlook: $CYS is holding a constructive short-term bullish posture after reclaiming this liquidation zone. As long as price remains above the $0.462–$0.468 support area, upside continuation toward higher resistance remains likely. Momentum is strong but volatility is elevated strict risk management is essential. #StrategyBTCPurchase #USTradeDeficitShrink #ZTCBinanceTGE #BTCVSGOLD $CYS
$CYS Short Liquidation: $4.8172K at $0.46778

Short sellers were aggressively squeezed as CYS pushed above the $0.468 level, invalidating bearish positioning built around a well-defended consolidation 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): $0.46220

Take Profit (TP): $0.50500

Stop Loss (SL): $0.45010

Market Outlook:
$CYS is holding a constructive short-term bullish posture after reclaiming this liquidation zone. As long as price remains above the $0.462–$0.468 support area, upside continuation toward higher resistance remains likely. Momentum is strong but volatility is elevated strict risk management is essential.

#StrategyBTCPurchase #USTradeDeficitShrink #ZTCBinanceTGE #BTCVSGOLD

$CYS
Traduci
$BEAT Short Liquidation: $3.9204K at $0.41168 Short sellers were squeezed as BEAT pushed above the $0.4117 level, invalidating bearish positioning built during 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): $0.40690 Take Profit (TP): $0.44500 Stop Loss (SL): $0.39820 Market Outlook: $BEAT is holding a constructive short-term bullish posture after reclaiming this liquidation zone. As long as price remains above the $0.407–$0.412 support area, upside continuation toward higher resistance remains likely. Momentum is positive but volatility remains elevated strict risk management is essential. #StrategyBTCPurchase #USTradeDeficitShrink #ZTCBinanceTGE #BTCVSGOLD $BEAT
$BEAT Short Liquidation: $3.9204K at $0.41168

Short sellers were squeezed as BEAT pushed above the $0.4117 level, invalidating bearish positioning built during 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): $0.40690

Take Profit (TP): $0.44500

Stop Loss (SL): $0.39820

Market Outlook:
$BEAT is holding a constructive short-term bullish posture after reclaiming this liquidation zone. As long as price remains above the $0.407–$0.412 support area, upside continuation toward higher resistance remains likely. Momentum is positive but volatility remains elevated strict risk management is essential.

#StrategyBTCPurchase #USTradeDeficitShrink #ZTCBinanceTGE #BTCVSGOLD

$BEAT
Traduci
$ARIA Short Liquidation: $1.5325K at $0.09777 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. #StrategyBTCPurchase #USTradeDeficitShrink #ZTCBinanceTGE #CPIWatch $ARIA
$ARIA Short Liquidation: $1.5325K at $0.09777

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.

#StrategyBTCPurchase #USTradeDeficitShrink #ZTCBinanceTGE #CPIWatch

$ARIA
Visualizza originale
$XMR Liquido a lungo: 1,463K a 599,60 Le posizioni lunghe sono state eliminate poiché XMR non è riuscito a mantenere il supporto a 599,60, innescando i stop loss delle posizioni lunghe tardive programmate per un continuo rialzo. La rottura ha mostrato una discesa chiara con un rimbalzo limitato, indicando una reale pressione vendita piuttosto che un semplice sfondamento temporaneo della liquidità. Prezzo di ingresso (EP): 607,50 Obiettivo di profitto (TP): 565,00 Stop loss (SL): 620,80 Prospettiva di mercato: $XMR sta mostrando una pressione ribassista a breve termine dopo aver perso questa zona di liquidazione. Finché il prezzo rimane al di sotto della fascia di resistenza a 600-608, è probabile un ulteriore calo verso livelli di supporto più bassi. Il momentum è negativo e la volatilità rimane elevata; è essenziale un rigoroso controllo del rischio. #StrategyBTCPurchase #USTradeDeficitShrink #ZTCBinanceTGE #CPIWatch $XMR
$XMR Liquido a lungo: 1,463K a 599,60

Le posizioni lunghe sono state eliminate poiché XMR non è riuscito a mantenere il supporto a 599,60, innescando i stop loss delle posizioni lunghe tardive programmate per un continuo rialzo. La rottura ha mostrato una discesa chiara con un rimbalzo limitato, indicando una reale pressione vendita piuttosto che un semplice sfondamento temporaneo della liquidità.

Prezzo di ingresso (EP): 607,50

Obiettivo di profitto (TP): 565,00

Stop loss (SL): 620,80

Prospettiva di mercato:
$XMR sta mostrando una pressione ribassista a breve termine dopo aver perso questa zona di liquidazione. Finché il prezzo rimane al di sotto della fascia di resistenza a 600-608, è probabile un ulteriore calo verso livelli di supporto più bassi. Il momentum è negativo e la volatilità rimane elevata; è essenziale un rigoroso controllo del rischio.

#StrategyBTCPurchase #USTradeDeficitShrink #ZTCBinanceTGE #CPIWatch

$XMR
Traduci
$DOLO Short Liquidation: $1.6803K at $0.06816 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. #USNonFarmPayrollReport #USTradeDeficitShrink #ZTCBinanceTGE #BTCVSGOLD $DOLO
$DOLO Short Liquidation: $1.6803K at $0.06816

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.

#USNonFarmPayrollReport #USTradeDeficitShrink #ZTCBinanceTGE #BTCVSGOLD

$DOLO
Visualizza originale
$AIOT Liquidazione lunga: 2,5755K a 0,09294 Le posizioni long sono state eliminate quando l'AIOT non è riuscito a mantenere il supporto a 0,0929, scatenando i stop loss delle posizioni long tardive che puntavano a un continuo rialzo. La rottura ha mostrato una discesa netta con un rimbalzo limitato, indicando una reale pressione vendita piuttosto che un semplice sfondamento temporaneo della liquidità. Prezzo di ingresso (EP): 0,09460 Prezzo obiettivo (TP): 0,08680 Stop Loss (SL): 0,09720 Prospettiva di mercato: $AIOT sta mostrando una pressione ribassista a breve termine dopo aver perso questa zona di liquidazione. Finché il prezzo rimane al di sotto della fascia di resistenza a 0,093–0,095, è probabile una continuazione al ribasso verso livelli di supporto inferiori. Il momentum è negativo e la volatilità rimane elevata; è fondamentale un controllo rigoroso dei rischi. #StrategyBTCPurchase #USTradeDeficitShrink #CPIWatch #BTCVSGOLD $AIOT
$AIOT Liquidazione lunga: 2,5755K a 0,09294

Le posizioni long sono state eliminate quando l'AIOT non è riuscito a mantenere il supporto a 0,0929, scatenando i stop loss delle posizioni long tardive che puntavano a un continuo rialzo. La rottura ha mostrato una discesa netta con un rimbalzo limitato, indicando una reale pressione vendita piuttosto che un semplice sfondamento temporaneo della liquidità.

Prezzo di ingresso (EP): 0,09460

Prezzo obiettivo (TP): 0,08680

Stop Loss (SL): 0,09720

Prospettiva di mercato:
$AIOT sta mostrando una pressione ribassista a breve termine dopo aver perso questa zona di liquidazione. Finché il prezzo rimane al di sotto della fascia di resistenza a 0,093–0,095, è probabile una continuazione al ribasso verso livelli di supporto inferiori. Il momentum è negativo e la volatilità rimane elevata; è fondamentale un controllo rigoroso dei rischi.

#StrategyBTCPurchase #USTradeDeficitShrink #CPIWatch #BTCVSGOLD

$AIOT
Traduci
$AVNT Long Liquidation: $1.7425K at $0.3057 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. #StrategyBTCPurchase #USTradeDeficitShrink #ZTCBinanceTGE #CPIWatch $AVNT
$AVNT Long Liquidation: $1.7425K at $0.3057

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.

#StrategyBTCPurchase #USTradeDeficitShrink #ZTCBinanceTGE #CPIWatch

$AVNT
Traduci
$XMR Long Liquidation: $1.2957K at $586.55 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. #StrategyBTCPurchase #USNonFarmPayrollReport #ZTCBinanceTGE #BTCVSGOLD $XMR
$XMR Long Liquidation: $1.2957K at $586.55

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.

#StrategyBTCPurchase #USNonFarmPayrollReport #ZTCBinanceTGE #BTCVSGOLD

$XMR
Traduci
$IR Short Liquidation: $4.7007K at $0.08521 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. #StrategyBTCPurchase #USNonFarmPayrollReport #USTradeDeficitShrink #BinanceHODLerBREV $IR
$IR Short Liquidation: $4.7007K at $0.08521

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.

#StrategyBTCPurchase #USNonFarmPayrollReport #USTradeDeficitShrink #BinanceHODLerBREV

$IR
Visualizza originale
$SOL Liquidazione a lungo: 2,5173K a 141,98 Le posizioni long sono state chiuse poiché SOL non è riuscito a mantenere il supporto a 142,0, scatenando i stop loss delle posizioni long tardive che erano aperte per un ulteriore rialzo. La rottura ha mostrato una discesa netta con un rimbalzo limitato, indicando una reale pressione vendita piuttosto che un semplice sfondamento temporaneo della liquidità. Prezzo di ingresso (EP): 143,40 Obiettivo di profitto (TP): 135,60 Stop loss (SL): 146,10 Prospettiva di mercato: $SOL mostra una pressione ribassista a breve termine dopo aver perso questa zona di liquidazione. Finché il prezzo rimane al di sotto della fascia di resistenza tra 142,0 e 143,5, un ulteriore ribasso verso livelli di supporto inferiori rimane probabile. Il momentum è negativo e la volatilità rimane elevata, quindi è essenziale un rigoroso controllo dei rischi. #StrategyBTCPurchase #USTradeDeficitShrink #ZTCBinanceTGE #WriteToEarnUpgrade $SOL
$SOL Liquidazione a lungo: 2,5173K a 141,98

Le posizioni long sono state chiuse poiché SOL non è riuscito a mantenere il supporto a 142,0, scatenando i stop loss delle posizioni long tardive che erano aperte per un ulteriore rialzo. La rottura ha mostrato una discesa netta con un rimbalzo limitato, indicando una reale pressione vendita piuttosto che un semplice sfondamento temporaneo della liquidità.

Prezzo di ingresso (EP): 143,40

Obiettivo di profitto (TP): 135,60

Stop loss (SL): 146,10

Prospettiva di mercato:
$SOL mostra una pressione ribassista a breve termine dopo aver perso questa zona di liquidazione. Finché il prezzo rimane al di sotto della fascia di resistenza tra 142,0 e 143,5, un ulteriore ribasso verso livelli di supporto inferiori rimane probabile. Il momentum è negativo e la volatilità rimane elevata, quindi è essenziale un rigoroso controllo dei rischi.

#StrategyBTCPurchase #USTradeDeficitShrink #ZTCBinanceTGE #WriteToEarnUpgrade

$SOL
Traduci
$ACH Long Liquidation: $4.1135K at $0.0104 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. #StrategyBTCPurchase #USNonFarmPayrollReport #USTradeDeficitShrink #WriteToEarnUpgrade $ACH
$ACH Long Liquidation: $4.1135K at $0.0104

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.

#StrategyBTCPurchase #USNonFarmPayrollReport #USTradeDeficitShrink #WriteToEarnUpgrade

$ACH
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$VIRTUAL Liquidazione a lungo: 1,3869K a 1,01736 Le posizioni long sono state forzate all'uscita poiché VIRTUAL non è riuscito a mantenere il supporto a 1,017, innescando i stop loss delle posizioni long focalizzate sulla continuazione. La rottura ha mostrato un'accettazione costante del ribasso, indicando una pressione vendita sostenuta. Entrata (EP): 1,032 Obiettivo di profitto (TP): 0,958 Stop Loss (SL): 1,065 Prospettiva di mercato: $VIRTUAL mostra una pressione ribassista a breve termine dopo aver perso questa zona di liquidazione. Finché il prezzo rimane al di sotto della fascia di resistenza a 1,02–1,03, è probabile una continuazione del ribasso verso livelli inferiori di domanda. Il momentum è negativo e la volatilità rimane elevata; è essenziale un rigoroso gestione del rischio. #StrategyBTCPurchase #USNonFarmPayrollReport #USTradeDeficitShrink #BTCVSGOLD $VIRTUAL
$VIRTUAL Liquidazione a lungo: 1,3869K a 1,01736

Le posizioni long sono state forzate all'uscita poiché VIRTUAL non è riuscito a mantenere il supporto a 1,017, innescando i stop loss delle posizioni long focalizzate sulla continuazione. La rottura ha mostrato un'accettazione costante del ribasso, indicando una pressione vendita sostenuta.

Entrata (EP): 1,032

Obiettivo di profitto (TP): 0,958

Stop Loss (SL): 1,065

Prospettiva di mercato:
$VIRTUAL mostra una pressione ribassista a breve termine dopo aver perso questa zona di liquidazione. Finché il prezzo rimane al di sotto della fascia di resistenza a 1,02–1,03, è probabile una continuazione del ribasso verso livelli inferiori di domanda. Il momentum è negativo e la volatilità rimane elevata; è essenziale un rigoroso gestione del rischio.

#StrategyBTCPurchase #USNonFarmPayrollReport #USTradeDeficitShrink #BTCVSGOLD

$VIRTUAL
Visualizza originale
$DOT Liquidazione a lungo: 1.1922K a 2,072 Le posizioni a lungo sono state chiuse poiché DOT non è riuscito a mantenere il livello superiore alla zona di supporto a 2,07, innescando i stop loss delle posizioni a lungo tardive che erano posizionate per una continuazione. La rottura ha mostrato una forte discesa con un rimbalzo limitato. Entrata (EP): 2,095 Profitto (TP): 1,955 Stop Loss (SL): 2,145 Prospettiva di mercato: $DOT sta mostrando una pressione ribassista a breve termine dopo aver perso questa zona di liquidazione. Finché il prezzo rimane al di sotto della fascia di resistenza a 2,07–2,10, una continuazione al ribasso verso livelli di supporto inferiori rimane probabile. Il momentum è negativo e la volatilità rimane elevata, quindi una gestione rigorosa del rischio è essenziale. #StrategyBTCPurchase #USTradeDeficitShrink #ZTCBinanceTGE #USJobsData $DOT
$DOT Liquidazione a lungo: 1.1922K a 2,072

Le posizioni a lungo sono state chiuse poiché DOT non è riuscito a mantenere il livello superiore alla zona di supporto a 2,07, innescando i stop loss delle posizioni a lungo tardive che erano posizionate per una continuazione. La rottura ha mostrato una forte discesa con un rimbalzo limitato.

Entrata (EP): 2,095

Profitto (TP): 1,955

Stop Loss (SL): 2,145

Prospettiva di mercato:
$DOT sta mostrando una pressione ribassista a breve termine dopo aver perso questa zona di liquidazione. Finché il prezzo rimane al di sotto della fascia di resistenza a 2,07–2,10, una continuazione al ribasso verso livelli di supporto inferiori rimane probabile. Il momentum è negativo e la volatilità rimane elevata, quindi una gestione rigorosa del rischio è essenziale.

#StrategyBTCPurchase #USTradeDeficitShrink #ZTCBinanceTGE #USJobsData

$DOT
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$KAITO Liquido a lungo: 2,7142K a 0,64936 Le posizioni lunghe sono state liquidate in modo aggressivo poiché KAITO non è riuscito a mantenere il livello di supporto di 0,649, innescando i stop loss delle posizioni leveraged lunghe programmate per un continuo rialzo. La rottura ha mostrato un forte follow-through al ribasso con una ripresa limitata. Prezzo di ingresso (EP): 0,65780 Prezzo di profitto (TP): 0,61200 Stop Loss (SL): 0,67250 Prospettiva di mercato: $KAITO sta mostrando una pressione ribassista a breve termine dopo aver perso questa zona di liquidazione. Finché il prezzo rimane al di sotto della fascia di resistenza di 0,649–0,658, un ulteriore movimento al ribasso verso livelli di supporto più bassi rimane probabile. Il momentum è negativo e la volatilità rimane elevata, la gestione rigorosa del rischio è essenziale. #USNonFarmPayrollReport #USNonFarmPayrollReport #ZTCBinanceTGE #USJobsData $KAITO
$KAITO Liquido a lungo: 2,7142K a 0,64936

Le posizioni lunghe sono state liquidate in modo aggressivo poiché KAITO non è riuscito a mantenere il livello di supporto di 0,649, innescando i stop loss delle posizioni leveraged lunghe programmate per un continuo rialzo. La rottura ha mostrato un forte follow-through al ribasso con una ripresa limitata.

Prezzo di ingresso (EP): 0,65780

Prezzo di profitto (TP): 0,61200

Stop Loss (SL): 0,67250

Prospettiva di mercato:
$KAITO sta mostrando una pressione ribassista a breve termine dopo aver perso questa zona di liquidazione. Finché il prezzo rimane al di sotto della fascia di resistenza di 0,649–0,658, un ulteriore movimento al ribasso verso livelli di supporto più bassi rimane probabile. Il momentum è negativo e la volatilità rimane elevata, la gestione rigorosa del rischio è essenziale.

#USNonFarmPayrollReport #USNonFarmPayrollReport #ZTCBinanceTGE #USJobsData

$KAITO
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