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Tulkot
The bitter truth about the crypto market one coin can change your life, while another can destroy your capital completely.... $BIFI ($20 → $7,551) An early entry at $20 was a massive win. A $30 investment became $11,326, while $100 turned into $37,755 over 37,000% ROI. $FLOW ($8 → $0.09) FLOW did the opposite. A drop from $8 to $0.09 means a 98.9% crash. A $100 investment was reduced to nearly $1. Lesson: Same market, two outcomes. Timing, structure, and discipline decide everything.
The bitter truth about the crypto market one coin can change your life, while another can destroy your capital completely....

$BIFI ($20 → $7,551)
An early entry at $20 was a massive win. A $30 investment became $11,326, while $100 turned into $37,755 over 37,000% ROI.

$FLOW ($8 → $0.09)
FLOW did the opposite. A drop from $8 to $0.09 means a 98.9% crash. A $100 investment was reduced to nearly $1.

Lesson:

Same market, two outcomes. Timing, structure, and discipline decide everything.
Tulkot
STAY ALERT VOLUME IS DROPPING CONTINUOSLY.Deep Chart Analysis$SOL ​Price Action: The chart shows a strong rejection from the recent high of $123.63. Following this peak, there is a clear "staircase" of red candles (lower highs and lower lows), indicating that sellers are currently in control of the short-term momentum.$SOL ​Momentum Shift: The green candle volume that drove the price up to $123.63 appears to be fading. The subsequent red candles are pushing the price back toward the $123.00 psychological level. ​Key Support/Resistance: The price is hovering around a local support area ($122.90–$123.00). If this level fails, the next major downside target is the previous swing low shown on your chart at $122.45. ​Order Book Sentiment: While the "Bid" (50.53%) and "Ask" (49.47%) are nearly balanced, the price action is leaning bearish, suggesting the "bids" may be passive rather than aggressive buyers. ​Strategy Note ​📉 Stay Alert: Short-term momentum has shifted bearish after a rejection at $123.63. Volume is thinning on this pullback, suggesting a lack of strong buying interest at current levels. Keep a tight stop-loss just below the $122.45 support; a break there could trigger a faster slide.

STAY ALERT VOLUME IS DROPPING CONTINUOSLY.

Deep Chart Analysis$SOL

​Price Action: The chart shows a strong rejection from the recent high of $123.63. Following this peak, there is a clear "staircase" of red candles (lower highs and lower lows), indicating that sellers are currently in control of the short-term momentum.$SOL
​Momentum Shift: The green candle volume that drove the price up to $123.63 appears to be fading. The subsequent red candles are pushing the price back toward the $123.00 psychological level.
​Key Support/Resistance: The price is hovering around a local support area ($122.90–$123.00). If this level fails, the next major downside target is the previous swing low shown on your chart at $122.45.
​Order Book Sentiment: While the "Bid" (50.53%) and "Ask" (49.47%) are nearly balanced, the price action is leaning bearish, suggesting the "bids" may be passive rather than aggressive buyers.

​Strategy Note

​📉 Stay Alert: Short-term momentum has shifted bearish after a rejection at $123.63. Volume is thinning on this pullback, suggesting a lack of strong buying interest at current levels. Keep a tight stop-loss just below the $122.45 support; a break there could trigger a faster slide.
Skatīt oriģinālu
Lūdzu, uzmanību, Es vēlētos izteikt patiesu lūgumu visiem Square veidotājiem. Cenšoties iegūt write-to-earn atlīdzības, lūdzu, neriskējiet ar citu cilvēku smagi nopelnītajiem naudas līdzekļiem vai emocijām. Tā vietā centieties būt atbildīgiem un uzticamiem veidotājiem. Vadiet un izglītojiet tos, kuri patiešām vēlas mācīties, kā nopelnīt un kuri patiešām nepieciešama atbalsts. Lūdzu, atturieties no nejaušu, neapstiprinātu signālu koplietošanas bez pienācīgas analīzes. Lai gan šādas prakses var palīdzēt jums nopelnīt, izmantojot write-to-earn atlīdzības, tās var radīt būtiskus zaudējumus citiem. Ne visi sāk ar labi attīstītām prasmēm; daudzi cilvēki raugās uz jums, jo vēlas no jums mācīties. Tādējādi es laipni lūdzu jūs atcerēties šo atbildību un rīkoties ar integritāti. Visbeidzot, mans sirsnīgais paldies visiem jums, un lūdzu, atcerieties mūs savās lūgšanās. #Tecnicalanalaysis #Fundamental_Analysis
Lūdzu, uzmanību,
Es vēlētos izteikt patiesu lūgumu visiem Square veidotājiem. Cenšoties iegūt write-to-earn atlīdzības, lūdzu, neriskējiet ar citu cilvēku smagi nopelnītajiem naudas līdzekļiem vai emocijām. Tā vietā centieties būt atbildīgiem un uzticamiem veidotājiem. Vadiet un izglītojiet tos, kuri patiešām vēlas mācīties, kā nopelnīt un kuri patiešām nepieciešama atbalsts.
Lūdzu, atturieties no nejaušu, neapstiprinātu signālu koplietošanas bez pienācīgas analīzes. Lai gan šādas prakses var palīdzēt jums nopelnīt, izmantojot write-to-earn atlīdzības, tās var radīt būtiskus zaudējumus citiem. Ne visi sāk ar labi attīstītām prasmēm; daudzi cilvēki raugās uz jums, jo vēlas no jums mācīties.
Tādējādi es laipni lūdzu jūs atcerēties šo atbildību un rīkoties ar integritāti.
Visbeidzot, mans sirsnīgais paldies visiem jums, un lūdzu, atcerieties mūs savās lūgšanās.
#Tecnicalanalaysis #Fundamental_Analysis
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Pozitīvs
Tulkot
#apro $AT The momentum behind $AT is becoming impossible to ignore! 🚀 As a next-gen AI-powered oracle, @APRO_Oracle is bridging the gap between real-world data and the blockchain with serious precision. ​With its recent surge and growing ecosystem, it’s clear this is more than just hype—it’s about real utility. Keeping my eyes on this one! 📈✨$AT {future}(ATUSDT)
#apro $AT The momentum behind $AT is becoming impossible to ignore! 🚀 As a next-gen AI-powered oracle, @APRO_Oracle is bridging the gap between real-world data and the blockchain with serious precision.
​With its recent surge and growing ecosystem, it’s clear this is more than just hype—it’s about real utility. Keeping my eyes on this one! 📈✨$AT
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Pozitīvs
Tulkot
🚀 APRO (AT): The Next-Gen AI Oracle Disrupting Binance! 💎 ​If you’ve been looking for the next big narrative in the 2025 bull run, look no further than $AT (APRO). Recently listed on Binance, this project isn't just another token—it’s the backbone of the AI-Web3 revolution. ​🌟 Why everyone is talking about $AT: ​AI-Enhanced Oracles: Unlike old-school oracles, APRO uses Large Language Models (LLMs) to verify real-world data. It’s smarter, faster, and built for the AI age. 🤖 ​The "Binance Effect": Listed as the 59th Binance HODLer Airdrop project,has the ultimate stamp of approval from the world’s biggest exchange. 🔶 ​Real World Assets (RWA): APRO is already powering over $300M in tokenized assets on Arbitrum and expanding across 40+ chains. ​Massive Momentum: With a recent 20%+ pump in the last 24 hours, the market is starting to realize how undervalued this infrastructure play really is. 📈 ​💎 Key Tokenomics: ​ ​Circulating Supply: ~250M (Scarce!) ​Utility: Staking, Governance, and powering AI Data feeds. ​Bottom Line: While the rest of the market chases memes, the smart money is moving into AI Infrastructure. $AT is positioned perfectly at the intersection of AI and DeFi. 🚀 ​🔥 Pro Tip: Keep an eye on the $0.15–$0.20 resistance levels. Once $AT breaks out, the sky is the limit! ​Disclaimer: Not financial advice. Always DYOR (Do Your Own Research) before investing!
🚀 APRO (AT): The Next-Gen AI Oracle Disrupting Binance! 💎

​If you’ve been looking for the next big narrative in the 2025 bull run, look no further than $AT (APRO). Recently listed on Binance, this project isn't just another token—it’s the backbone of the AI-Web3 revolution.

​🌟 Why everyone is talking about $AT :
​AI-Enhanced Oracles: Unlike old-school oracles, APRO uses Large Language Models (LLMs) to verify real-world data. It’s smarter, faster, and built for the AI age. 🤖

​The "Binance Effect": Listed as the 59th Binance HODLer Airdrop project,has the ultimate stamp of approval from the world’s biggest exchange. 🔶

​Real World Assets (RWA): APRO is already powering over $300M in tokenized assets on Arbitrum and expanding across 40+ chains.
​Massive Momentum: With a recent 20%+ pump in the last 24 hours, the market is starting to realize how undervalued this infrastructure play really is. 📈

​💎 Key Tokenomics:

​Circulating Supply: ~250M (Scarce!)
​Utility: Staking, Governance, and powering AI Data feeds.

​Bottom Line: While the rest of the market chases memes, the smart money is moving into AI Infrastructure. $AT is positioned perfectly at the intersection of AI and DeFi. 🚀

​🔥 Pro Tip: Keep an eye on the $0.15–$0.20 resistance levels. Once $AT breaks out, the sky is the limit!

​Disclaimer: Not financial advice. Always DYOR (Do Your Own Research) before investing!
Skatīt oriģinālu
Atsaldēšanas loģika.$ZEC ​1. Noraidījums vietējā pretestībā ​Cena sasniedza 24h augstumu $518.74 un nekavējoties atkāpās. 15 minūšu grafikā mēs redzam "garu sveci" augšā, ko seko mazas sarkanas sveces. Tas liecina, ka sākotnējā "pumpēšanas" momenta ir apstājusies un pārdevēji iejaucas, lai aizsargātu $515–$520 zonu. ​2. Pārsniegts kustība ("Atsaldēšanas" loģika) ​Veiktspēja: ZEC ir pieaudzis par +14.56% 24 stundu laikā un vairāk nekā 15.5% tikai šodien. ​Skalpa iestatījums: Pēc tādas vertikālas "Dieva sveces" (lielā zaļā josla vidū) cena bieži ieiet konsolidācijas fāzē vai "vidējā atgriešanās". Skalperi meklē šo kritumu atpakaļ uz atbalsta līmeņiem (piemēram, $506 vai $490), lai ātri gūtu peļņu pirms nākamās tendences lēmuma.

Atsaldēšanas loģika.

$ZEC ​1. Noraidījums vietējā pretestībā

​Cena sasniedza 24h augstumu $518.74 un nekavējoties atkāpās. 15 minūšu grafikā mēs redzam "garu sveci" augšā, ko seko mazas sarkanas sveces. Tas liecina, ka sākotnējā "pumpēšanas" momenta ir apstājusies un pārdevēji iejaucas, lai aizsargātu $515–$520 zonu.

​2. Pārsniegts kustība ("Atsaldēšanas" loģika)

​Veiktspēja: ZEC ir pieaudzis par +14.56% 24 stundu laikā un vairāk nekā 15.5% tikai šodien.
​Skalpa iestatījums: Pēc tādas vertikālas "Dieva sveces" (lielā zaļā josla vidū) cena bieži ieiet konsolidācijas fāzē vai "vidējā atgriešanās". Skalperi meklē šo kritumu atpakaļ uz atbalsta līmeņiem (piemēram, $506 vai $490), lai ātri gūtu peļņu pirms nākamās tendences lēmuma.
Tulkot
Current market status,short term prediction,future price prediction.$SOL Current Market Status ​Current Price: $123.18 (as shown in your screenshot). ​Immediate Trend: Consolidating / Bearish. The chart shows Solana has been under pressure, recently dropping from a high of $125.14 and finding temporary support around the $123 level. ​Technical Indicator: The Relative Strength Index (RSI) is neutral (around 50), suggesting the market is indecisive and waiting for a breakout or further breakdown. ​Short-Term Prediction (Next 1–2 Weeks) ​Resistance: $125.00 – $128.00. To see a recovery, the price must break and stay above the $125.14 high shown in your chart. ​Support: $117.00 – $119.00. If it fails to hold the current $123 level, technical analysts expect a slide toward the $117–$119 range (near the $119.24 low marked on your chart). ​Outlook: Likely to remain range-bound between $120 and $130 as year-end liquidity is typically low. ​Future Price Prediction (2026) ​Bullish Scenario: Analysts suggest that if institutional interest (like a potential Solana ETF) remains strong, SOL could recover toward $180–$220 by mid-2026. ​Moderate Scenario: A more cautious forecast sees SOL trading in a steady range of $130–$160 if the broader crypto market remains stable but lacks a major "bull run." ​Bearish Scenario: If the current downward trend persists and macroeconomic conditions worsen, the price could retest psychological floors at $100–$110.$SOL $SOL

Current market status,short term prediction,future price prediction.

$SOL
Current Market Status

​Current Price: $123.18 (as shown in your screenshot).
​Immediate Trend: Consolidating / Bearish. The chart shows Solana has been under pressure, recently dropping from a high of $125.14 and finding temporary support around the $123 level.
​Technical Indicator: The Relative Strength Index (RSI) is neutral (around 50), suggesting the market is indecisive and waiting for a breakout or further breakdown.

​Short-Term Prediction (Next 1–2 Weeks)

​Resistance: $125.00 – $128.00. To see a recovery, the price must break and stay above the $125.14 high shown in your chart.
​Support: $117.00 – $119.00. If it fails to hold the current $123 level, technical analysts expect a slide toward the $117–$119 range (near the $119.24 low marked on your chart).
​Outlook: Likely to remain range-bound between $120 and $130 as year-end liquidity is typically low.

​Future Price Prediction (2026)

​Bullish Scenario: Analysts suggest that if institutional interest (like a potential Solana ETF) remains strong, SOL could recover toward $180–$220 by mid-2026.
​Moderate Scenario: A more cautious forecast sees SOL trading in a steady range of $130–$160 if the broader crypto market remains stable but lacks a major "bull run."
​Bearish Scenario: If the current downward trend persists and macroeconomic conditions worsen, the price could retest psychological floors at $100–$110.$SOL $SOL
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Negatīvs
Tulkot
Golden time full your bags within 8 hours. PIPPIN/USDT Sell short Entry :- 0.49350 - 0.49550 TP 1 :- 0.47210 TP 2 :- 0.42150 TP 3 :- 0.31650 TP 4 :- 0.26350 Note :- This is a premium signal after booking the profits i will describe you why it happens till that (DYOR) do your own research.$pippin {future}(PIPPINUSDT)
Golden time full your bags within 8 hours.

PIPPIN/USDT
Sell short

Entry :- 0.49350 - 0.49550

TP 1 :- 0.47210

TP 2 :- 0.42150

TP 3 :- 0.31650

TP 4 :- 0.26350

Note :- This is a premium signal after booking the profits i will describe you why it happens till that (DYOR) do your own research.$pippin
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Negatīvs
Tulkot
Here is the Clean Sweep signal. Trust the process and the signal. After booking profits, I will explain the reasons and how we explored this Clean Sweep setup. SELL SHORT SOL/USDT ENTRY :- 125.9 TP 1 :- 123 TP 2 :- 120 TP 3 :- 116 TP 4 :- 112 SL :- 128.5 $SOL
Here is the Clean Sweep signal. Trust the process and the signal. After booking profits, I will explain the reasons and how we explored this Clean Sweep setup.

SELL SHORT
SOL/USDT

ENTRY :- 125.9

TP 1 :- 123

TP 2 :- 120

TP 3 :- 116

TP 4 :- 112

SL :- 128.5

$SOL
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Negatīvs
Tulkot
A humble request to all beginner, intermediate, and professional traders: Please avoid providing any signal that can wipe out someone’s hard-earned portfolio in a single move. Market volatility is natural, but our responsibility is to protect our followers by sharing realistic insights, accurate trend analysis, and genuine market predictions. Let’s prioritize safety, discipline, and responsible trading for everyone.
A humble request to all beginner, intermediate, and professional traders:
Please avoid providing any signal that can wipe out someone’s hard-earned portfolio in a single move. Market volatility is natural, but our responsibility is to protect our followers by sharing realistic insights, accurate trend analysis, and genuine market predictions. Let’s prioritize safety, discipline, and responsible trading for everyone.
Tulkot
📉 Short Note on a Potential Bearish TrendWhile the price is currently holding at a recent high of 131.06 and shows a significant gain of +3.41\%, the immediate hourly chart displays some potential warning signs that suggest a short-term bearish reversal may be imminent. ​Recent High Rejection: The last couple of candles show the price attempting to push toward the 24h High of 132.75 but failing to hold that level, resulting in an upper wick and a move back down towards the current price of 131.06. This indicates selling pressure entering the market at the top. ​MACD Divergence Potential: The MACD (0.20) is positive, but the momentum (represented by the height of the green histogram bars) appears to be losing steam compared to earlier in the run. The DIF line (0.77) is moving closer to the DEA line (0.58). A crossover where the DIF drops below the DEA would confirm a bearish signal, which the chart seems to be setting up for. ​Volume Exhaustion: Although recent volume bars are high, they are not translating into significantly higher prices, which can signal buying exhaustion. A decline in price on heavy volume from here would strongly confirm a trend reversal. ​Mark my words: it will land on 118 again.$SOL {future}(SOLUSDT) $SOL

📉 Short Note on a Potential Bearish Trend

While the price is currently holding at a recent high of 131.06 and shows a significant gain of +3.41\%, the immediate hourly chart displays some potential warning signs that suggest a short-term bearish reversal may be imminent.

​Recent High Rejection: The last couple of candles show the price attempting to push toward the 24h High of 132.75 but failing to hold that level, resulting in an upper wick and a move back down towards the current price of 131.06. This indicates selling pressure entering the market at the top.
​MACD Divergence Potential: The MACD (0.20) is positive, but the momentum (represented by the height of the green histogram bars) appears to be losing steam compared to earlier in the run. The DIF line (0.77) is moving closer to the DEA line (0.58). A crossover where the DIF drops below the DEA would confirm a bearish signal, which the chart seems to be setting up for.
​Volume Exhaustion: Although recent volume bars are high, they are not translating into significantly higher prices, which can signal buying exhaustion. A decline in price on heavy volume from here would strongly confirm a trend reversal.

​Mark my words: it will land on 118 again.$SOL

$SOL
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Pozitīvs
Tulkot
Just one line about $SOL and that is jackpot under the W. premium signal 🚀🚀🚀which will sky rocket your portfolio. LONG entry price = 130.80 - 132.30 TP 1 = 136.60 TP 2 = 143.44 TP 3 = 153.55 TP 4 = 168++++++++++ SL = 125.20 Lets liquidate bears by injecting.
Just one line about $SOL and that is jackpot under the W.

premium signal 🚀🚀🚀which will sky rocket your portfolio.

LONG

entry price = 130.80 - 132.30

TP 1 = 136.60

TP 2 = 143.44

TP 3 = 153.55

TP 4 = 168++++++++++
SL = 125.20

Lets liquidate bears by injecting.
Tulkot
{future}(SOLUSDT) BULLS PLAYED WELL ALL STOPLOSSES TRIGGERED HERE.$SOL ​A recent price candle triggered a cascade of tight stop-loss orders placed between $130.28 and $130.65. This event effectively cleared out short-term selling pressure or over-leveraged long positions. ​With those resistance points breached and stop-losses executed, the prediction is that the market is now primed for a significant upward movement back toward the key resistance/target zone of $143 to $148.
BULLS PLAYED WELL ALL STOPLOSSES TRIGGERED HERE.$SOL

​A recent price candle triggered a cascade of tight stop-loss orders placed between $130.28 and $130.65. This event effectively cleared out short-term selling pressure or over-leveraged long positions.
​With those resistance points breached and stop-losses executed, the prediction is that the market is now primed for a significant upward movement back toward the key resistance/target zone of $143 to $148.
Tulkot
SOLUSDT Chart Analysis: Is This a Bull Trap Reversal? {future}(SOLUSDT) ​To the SOL Community, $SOL ​The current price action on the SOLUSDT chart, specifically the sharp dip and the subsequent rebound back toward the $132.71 area, presents an interesting technical scenario. ​Based on one interpretation of this chart, the deep, rapid sell-off (the red candles) immediately followed by a solid buying reaction (the green candles) right near the $130.44 level could be viewed as a classic liquidity grab or a 'false breakdown' attempting to trigger stop-losses. ​This sudden "injection of volume" on the reversal could suggest that significant buying pressure stepped in aggressively to defend a key level. If this buying conviction sustains, the market is positioned for an upside explosion rather than a continuation of the downtrend. ​The Technical View: The market is testing the lower boundaries after being decisively rejected from the EMA cluster (7, 25, 99). A strong move and close above the EMA(7) at $136.11 would provide the initial confirmation of a bullish reversal and would be a key indicator for a move back towards the 24h High of $144.78. ​RSI (13.16): The Relative Strength Index is showing extremely oversold conditions, indicating that the selling pressure may have been temporarily exhausted. ​In summary: Monitor the price action closely. If the buyers can maintain momentum from this bounce, the downward pressure may have been negated, setting the stage for a strong recovery.$SOL

SOLUSDT Chart Analysis: Is This a Bull Trap Reversal?


​To the SOL Community,
$SOL
​The current price action on the SOLUSDT chart, specifically the sharp dip and the subsequent rebound back toward the $132.71 area, presents an interesting technical scenario.
​Based on one interpretation of this chart, the deep, rapid sell-off (the red candles) immediately followed by a solid buying reaction (the green candles) right near the $130.44 level could be viewed as a classic liquidity grab or a 'false breakdown' attempting to trigger stop-losses.
​This sudden "injection of volume" on the reversal could suggest that significant buying pressure stepped in aggressively to defend a key level. If this buying conviction sustains, the market is positioned for an upside explosion rather than a continuation of the downtrend.
​The Technical View: The market is testing the lower boundaries after being decisively rejected from the EMA cluster (7, 25, 99). A strong move and close above the EMA(7) at $136.11 would provide the initial confirmation of a bullish reversal and would be a key indicator for a move back towards the 24h High of $144.78.
​RSI (13.16): The Relative Strength Index is showing extremely oversold conditions, indicating that the selling pressure may have been temporarily exhausted.
​In summary: Monitor the price action closely. If the buyers can maintain momentum from this bounce, the downward pressure may have been negated, setting the stage for a strong recovery.$SOL
Tulkot
BUYING AND SELLING PRESSURE RATIO.​$SOL 📈 Short Note: SOLUSDT Top Trader Sentiment Analysis ​Dominantly Bullish Sentiment: Throughout the entire period shown (17:25 to 19:50), the Long Account percentage (green) has significantly outweighed the Short Account percentage (red). This indicates a strong and increasing bullish bias among top traders on Binance Futures for SOLUSDT. ​Rapid Ratio Spike: The Long/Short Ratio (white line) experienced a sharp and significant increase in the final moments of the chart (around 19:15 to 19:50), rising from approximately 4.47 to 4.63 (the peak value on the right-hand axis). This is a very high ratio, suggesting that the vast majority of top accounts are positioned for further price increases. ​Interpretation & Next Steps: ​Immediate Outlook: The high and sharply rising ratio suggests continued buying pressure and an expectation for the SOLUSDT price to move higher in the very short term, driven by the positioning of top accounts. ​A Word of Caution (Contrarian View): In trading, such an extremely high ratio can sometimes indicate a market that is overly-leveraged long and potentially "overbought" from a sentiment perspective. If a large number of long positions have been opened very quickly, the market is vulnerable to a sharp correction (a move down) if any unexpected negative news or a large selling event occurs, as many traders would be forced to liquidate their long positions. This is a potential setup for a "long squeeze."$SOL {future}(SOLUSDT) $SOL 🚀🚀🚀🚀🚀

BUYING AND SELLING PRESSURE RATIO.

$SOL 📈 Short Note: SOLUSDT Top Trader Sentiment Analysis



​Dominantly Bullish Sentiment: Throughout the entire period shown (17:25 to 19:50), the Long Account percentage (green) has significantly outweighed the Short Account percentage (red). This indicates a strong and increasing bullish bias among top traders on Binance Futures for SOLUSDT.
​Rapid Ratio Spike: The Long/Short Ratio (white line) experienced a sharp and significant increase in the final moments of the chart (around 19:15 to 19:50), rising from approximately 4.47 to 4.63 (the peak value on the right-hand axis). This is a very high ratio, suggesting that the vast majority of top accounts are positioned for further price increases.

​Interpretation & Next Steps:

​Immediate Outlook: The high and sharply rising ratio suggests continued buying pressure and an expectation for the SOLUSDT price to move higher in the very short term, driven by the positioning of top accounts.
​A Word of Caution (Contrarian View): In trading, such an extremely high ratio can sometimes indicate a market that is overly-leveraged long and potentially "overbought" from a sentiment perspective. If a large number of long positions have been opened very quickly, the market is vulnerable to a sharp correction (a move down) if any unexpected negative news or a large selling event occurs, as many traders would be forced to liquidate their long positions. This is a potential setup for a "long squeeze."$SOL $SOL 🚀🚀🚀🚀🚀
Tulkot
​🚀 SOL/USDT: Short-Term Rebound Potential - A Strong Bounce at Support ​Current Price: $138.52 ​Solana ($SOL) is showing promising signs of a short-term rebound after its recent correction, driven by a solid defense of a key support level. ​Bullish Technical Highlights ​Defense of Support: The price action (candlesticks) has shown a strong, decisive bounce from the recent low around $128.82, confirming that buyers are stepping in aggressively at this support zone. This indicates exhaustion from the sellers at this level. ​RSI Signaling Relief: The 6-period Relative Strength Index (RSI), currently at 36.92, is climbing out of the oversold territory. This upward hook suggests fading selling pressure and the start of positive momentum, often preceding a short-term price recovery. ​MACD Turning Up: Although the MACD is still negative (-0.90), the histogram (the red/green bars) appears to be contracting and moving towards the zero line. This reduction in negative momentum points to a potential bullish cross (DIF crossing DEA) in the near future, which would be a strong buy signal. ​The Outlook ​The market is showing a classic setup for a short-term relief rally. If buyers can sustain this momentum and push the price to clear the first minor resistance at the EMA(7) of $141.02, we could see a quick move to retest the next resistance levels. ​Keep an eye on: A sustained close above $142.83 (the 24h High) would confirm the bullish short-term shift and set targets towards the next major Moving Average resistance.
​🚀 SOL/USDT: Short-Term Rebound Potential - A Strong Bounce at Support
​Current Price: $138.52
​Solana ($SOL) is showing promising signs of a short-term rebound after its recent correction, driven by a solid defense of a key support level.
​Bullish Technical Highlights
​Defense of Support: The price action (candlesticks) has shown a strong, decisive bounce from the recent low around $128.82, confirming that buyers are stepping in aggressively at this support zone. This indicates exhaustion from the sellers at this level.
​RSI Signaling Relief: The 6-period Relative Strength Index (RSI), currently at 36.92, is climbing out of the oversold territory. This upward hook suggests fading selling pressure and the start of positive momentum, often preceding a short-term price recovery.
​MACD Turning Up: Although the MACD is still negative (-0.90), the histogram (the red/green bars) appears to be contracting and moving towards the zero line. This reduction in negative momentum points to a potential bullish cross (DIF crossing DEA) in the near future, which would be a strong buy signal.
​The Outlook
​The market is showing a classic setup for a short-term relief rally. If buyers can sustain this momentum and push the price to clear the first minor resistance at the EMA(7) of $141.02, we could see a quick move to retest the next resistance levels.
​Keep an eye on: A sustained close above $142.83 (the 24h High) would confirm the bullish short-term shift and set targets towards the next major Moving Average resistance.
Tulkot
$SOL 🚀🚀🚀🚀
$SOL 🚀🚀🚀🚀
Mr Experty
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🔥 $SOL ON FIRE: New Breakout Signal Detected! 🚀

Solana is once again showing why it’s one of the strongest altcoins in this market cycle.
$SOL just confirmed a bullish breakout after holding above a key support area — and momentum is building fast.

📌 Key Highlights

$SOL
{spot}(SOLUSDT)
broke above $165 with strong candle confirmation

Daily RSI flipped bullish, showing room for upside

$550M in fresh liquidity entered Solana ecosystem this week

Popular projects (Jupiter, BONK, PYTH) showing renewed strength

If momentum holds, next target could be $175 – $182


📉 Risk Level: Medium

📈 Trend: Strong Uptrend

⚠ Watch-Zone:

Support: $160 – $165

Bullish continuation above: $172


Solana continues to attract traders due to its speed, liquidity, and constant developer activity — making it one of the top performers in 2025.


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💡 My Pro Tip

Never chase a pump blindly.
Wait for breakout + retest confirmation to avoid fake moves.
Smart entries = better profits & fewer losses.


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💬 Question for Engagement

Do you think Solana will hit $180 this week?
Comment your target below! 👇🔥


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🔥 Hashtags

#Solana #SOL #Binance ptoNews #Altcoins #BinanceSquareTalks #cyptoMarket #SOLPrice #Binance #Blockchain #FYP #TradingSignals #WriteToEarn
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Pozitīvs
Tulkot
$SOL is going to sky rocket Buy hold and sleep.
$SOL is going to sky rocket Buy hold and sleep.
Binance News
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Solana Jaunumi Šodien: SOL Cena Pieaug par 1% uz ETF Pieprasījuma
Galvenie secinājumiSOL turas virs $137, jo ETF plūsmas paplašina institucionālo ekspozīcijuBullish moments veidojas pēc atgūšanās no $130 nedēļas atbalstaSpot un nākotnes pieprasījums pieaug, ar atklāto intereses pieaugumu par 5%ETF plūsmas nostiprina šodienas pieaugumuASV Solana ETF tagad ir reģistrējuši 15 pēc kārtas dienas plūsmas, pievienojot 8.26 miljonus dolāru pirmdienā un palielinot kumulatīvās plūsmas līdz 390 miljoniem dolāru. Kopējie neto ETF aktīvi tagad pārsniedz 513 miljonus dolāru, atspoguļojot pastāvīgu pirkšanas spiedienu no institūcijām pat tad, kad Bitcoin un Ethereum fondiem bija ievērojami izplūdes pagājušajā nedēļā.
Skatīt oriģinālu
TEHNISKĀS ANALĪZES PĀRSKATS.Tehniskās analīzes pārskats ​Balstoties uz indikatoriem attēlā (2025. gada 16. novembrī) ​ Cenu darbība: Cena ir pie 136.39 un pašlaik tiek tirgota zem Vidējā Bollingera joslas (MB: 164.60) un ļoti tuvu Apakšējai Bollingera joslai (DN: 128.28) . ​Interpretācija: Cena ir bijusi skaidrā lejupslīdē kopš oktobra vidus, neizdodas noturēt vidējo joslu un tuvojas tipiskajai "pārdotai" Bollingera joslu reģionam. ​ Bollingera joslas (BOLL): ​Pašreizējā cena: 136.39 ​Apakšējā josla (DN): 128.28

TEHNISKĀS ANALĪZES PĀRSKATS.

Tehniskās analīzes pārskats


​Balstoties uz indikatoriem attēlā (2025. gada 16. novembrī)

Cenu darbība:
Cena ir pie

136.39
un pašlaik tiek tirgota
zem Vidējā Bollingera joslas (MB: 164.60)
un ļoti tuvu
Apakšējai Bollingera joslai (DN: 128.28)
.

​Interpretācija: Cena ir bijusi skaidrā lejupslīdē kopš oktobra vidus, neizdodas noturēt vidējo joslu un tuvojas tipiskajai "pārdotai" Bollingera joslu reģionam.

Bollingera joslas (BOLL):
​Pašreizējā cena: 136.39
​Apakšējā josla (DN): 128.28
Tulkot
Technical Analysis Summary $ZECThe chart shows strong bullish momentum of $ZEC over the past few days, but the price is currently at a high-risk location based on key indicators: ​Bollinger Bands (BOLL): The price ($647.48) is trading very close to the Upper Band ($702.84), indicating a severely overbought condition in the short term. This makes an immediate "Long" entry risky due to the high probability of a mean-reversion move (a pullback) towards the Middle Band ($557.67).​MACD: The MACD line (=36.78) is far above the Signal line (=20.63), and the histogram (=16.15) is high and positive. This confirms the strong bullish trend but also suggests that momentum may be nearing a peak before a cooling-off period.​Price Action: The price has recently experienced a parabolic surge from the $366 area, hitting an intermediate high near $775, and is currently in a high-volatility range. ​🛡️ Safer Entry Point Suggestion (Long) ​Given the high-risk nature of 30x leverage, a safe entry strategy must involve waiting for a significant pullback to a confirmed support level. Entering now is highly dangerous as a minor correction could liquidate a 30x position very quickly. ​🎯 Entry Area for a "Long" Position: $560 - $515 ​A safer long entry would be to wait for the price to drop back to one of the following key support areas: ​Middle Bollinger Band / Psychological Support (Safer): The Middle Bollinger Band (SMA-20) is at $557.67, which often acts as a strong dynamic support in an uptrend. The area around $550 - $560 is a logical pullback target. ​Previous High / Strong Support Zone (Safest): The $480 - $515 zone is a critical previous resistance that, after being broken, is expected to turn into strong support. This is also aligned with the key psychological support level of \$500 mentioned in external analysis. ​🛑 Critical Risk Management for 30x Leverage ​30x leverage is suitable only for scalping or very brief trades, as a mere 3.33% move against your position will lead to liquidation. Action Price Level Rationale Safer Long Entry {$525 - $560} Wait for a pullback to key support/Middle BB. Stop-Loss (SL) $ZEC {$495} (or tighter) Place stop below the strong psychological support of $500 and previous swing lows. Take-Profit (TP) {$690} Targeting the previous local high area or the Upper Bollinger Band (BB) Crucial Note: A 1-2% drop from a \$560 entry at 30x leverage is enough to eliminate half your margin. You must calculate your position size meticulously so that a 3.5\% move (SL at \$495) does not wipe out your entire trading capital. For a 30x leveraged trade, your risk per trade should be a tiny fraction of your total account equity.

Technical Analysis Summary $ZEC

The chart shows strong bullish momentum of $ZEC over the past few days, but the price is currently at a high-risk location based on key indicators:
​Bollinger Bands (BOLL): The price ($647.48) is trading very close to the Upper Band ($702.84), indicating a severely overbought condition in the short term. This makes an immediate "Long" entry risky due to the high probability of a mean-reversion move (a pullback) towards the Middle Band ($557.67).​MACD: The MACD line (=36.78) is far above the Signal line (=20.63), and the histogram (=16.15) is high and positive. This confirms the strong bullish trend but also suggests that momentum may be nearing a peak before a cooling-off period.​Price Action: The price has recently experienced a parabolic surge from the $366 area, hitting an intermediate high near $775, and is currently in a high-volatility range.
​🛡️ Safer Entry Point Suggestion (Long)
​Given the high-risk nature of 30x leverage, a safe entry strategy must involve waiting for a significant pullback to a confirmed support level. Entering now is highly dangerous as a minor correction could liquidate a 30x position very quickly.
​🎯 Entry Area for a "Long" Position: $560 - $515
​A safer long entry would be to wait for the price to drop back to one of the following key support areas:

​Middle Bollinger Band / Psychological Support (Safer): The Middle Bollinger Band (SMA-20) is at $557.67, which often acts as a strong dynamic support in an uptrend. The area around $550 - $560 is a logical pullback target.
​Previous High / Strong Support Zone (Safest): The $480 - $515 zone is a critical previous resistance that, after being broken, is expected to turn into strong support. This is also aligned with the key psychological support level of \$500 mentioned in external analysis.
​🛑 Critical Risk Management for 30x Leverage


​30x leverage is suitable only for scalping or very brief trades, as a mere 3.33% move against your position will lead to liquidation.

Action


Price Level


Rationale


Safer Long Entry


{$525 - $560}


Wait for a pullback to key support/Middle BB.


Stop-Loss (SL)


$ZEC {$495} (or tighter)


Place stop below the strong psychological support of $500 and previous swing lows.


Take-Profit (TP)


{$690}


Targeting the previous local high area or the Upper Bollinger Band (BB)

Crucial Note: A 1-2% drop from a \$560 entry at 30x leverage is enough to eliminate half your margin. You must calculate your position size meticulously so that a 3.5\% move (SL at \$495) does not wipe out your entire trading capital. For a 30x leveraged trade, your risk per trade should be a tiny fraction of your total account equity.
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