⚠️ Avoid chasing above $0.80 without a clean break & hold.
$CLO just delivered a clean bullish breakout, ripping over 33% and reclaiming all major EMAs with authority. This isn’t a random pump — capital is flowing in, whales are positioned early, and structure is bullish.
Price is now consolidating just below the psychological $0.80 level, which often acts as a launchpad if defended properly.
🧠 Why This LONG Has Edge:
• Strong 33% breakout with confirmation volume • Price holding above EMA 25 ($0.72) & EMA 99 ($0.65) • RSI at 63 → bullish but not overheated • MACD firmly positive → trend continuation • 67M+ USDT weekly inflows → real capital, not noise • Smart money L/S at 2.96 → whales confidently long • Shorts clustered near $0.72 → fuel on pullbacks
⚠️ Risk Factors to Respect:
• $0.80 is a psychological resistance → expect wicks • RSI approaching overbought → consolidation likely before next leg • Failure to hold $0.72 would weaken momentum
As long as $0.72 holds, dips are buy-the-structure, not sell signals.
📊 Execution Mindset: Trade with the flow, not against it. Let breakouts confirm — then size in with discipline.
yesterday I shared the signal for short trade on $ZEC when the price was 432$ and see the results 🫡 price came down as I predicted 🫡 #BinanceSquare #TradingSignal
Rai-
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🔴 $ZEC SHORT / SELL-RALLY SETUP
Current Price: $434
🎯 Sell Zone
$440 – $450 (relief rally into resistance)
🎯 Targets
TP1: $430 (liquidation magnet)
TP2: $410 (accumulation zone)
TP3: $395 (panic extension if governance fear escalates)
🛑 Invalidation / Stop Loss
$468 daily close (EMA 99 reclaim + structure flip)
🧠 WHY THIS IS A SHORT (CLEAR & LOGICAL): 1️⃣ Relief bounce ≠ trend reversal
Price only reclaimed EMA 7/25, which is short-term
EMA 99 at $466 remains untouched → macro trend still bearish
2️⃣ Whales are positioned SHORT
Long/Short ratio collapsed to 0.51
Short whales entered around $453 and are still in control
Long whales remain underwater, no accumulation confirmation
3️⃣ Liquidation magnet below
$28.4M long liquidations at $430
Price already drifting toward it → high probability stop hunt
4️⃣ Fundamental overhang (VERY important)
Entire ECC dev team resigned
Governance uncertainty = institutions reduce exposure, not add
“cashZ” is future potential, not a current catalyst
5️⃣ Volume ≠ accumulation
$1.37B volume but hourly net outflows
This is distribution + hedging, not confident buying
📌 What NOT to do
❌ Do NOT long just because RSI is mid-range ❌ Do NOT trust bounce without EMA 99 reclaim ❌ Do NOT fight whale positioning during governance crises {future}(ZECUSDT)
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