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HinaGoswami

I share thoughts on trends, news, and price action. Let’s grow and survive the volatility together 🤝📈
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$JELLYJELLY is hitting a major wall after its recent parabolic run. The momentum is officially rolling over. $JELLYJELLY SHORT Entry: 0.0585 – 0.060 SL: 0.0619 TP1: 0.0549 TP2: 0.0531 TP3: 0.0514 Heavy supply zone near the 30-day moving average, where big sellers are stepping in to absorb the remaining buy orders. I am seeing a clear bearish divergence on the RSI and a negative MACD histogram, signaling that the buyers are exhausted and a deeper correction is imminent. With a significant pocket of untapped sell-side liquidity resting below the current support levels, the market is likely to flush toward these targets to rebalance the recent inefficient spike. Trade $JELLYJELLY here 👇 {future}(JELLYJELLYUSDT)
$JELLYJELLY is hitting a major wall after its recent parabolic run. The momentum is officially rolling over.
$JELLYJELLY SHORT
Entry: 0.0585 – 0.060
SL: 0.0619
TP1: 0.0549
TP2: 0.0531
TP3: 0.0514
Heavy supply zone near the 30-day moving average, where big sellers are stepping in to absorb the remaining buy orders. I am seeing a clear bearish divergence on the RSI and a negative MACD histogram, signaling that the buyers are exhausted and a deeper correction is imminent. With a significant pocket of untapped sell-side liquidity resting below the current support levels, the market is likely to flush toward these targets to rebalance the recent inefficient spike.
Trade $JELLYJELLY here 👇
current market technical analysis$BTC 当前加密货币市场——“熊市”震荡与反弹交织 2026年初,加密货币市场依然处于极高波动状态。在经历了自2025年10月以来持续下行的阶段后,主要数字资产价格面临剧烈震荡和阶段性反弹。比特币价格曾一度跌至61000美元附近,破掉了2024年以来的大部分涨幅,引发市场恐慌与高强度清算。(Reuters) 不过,在近几日的交易中,BTC出现技术性回升,从低位反弹至70000美元附近,带动整体市场情绪有所缓解。市场数据显示,短线避险资金与流动性资金进入市场推动成交量增长,但整体情绪仍偏谨慎。(CoinDesk) 与此同时,投资者对加息周期、宏观流动性预期和资金成本的变化高度敏感,金融市场的大波动直接传导至加密资产市场,这也是近期币价剧烈震荡的一大原因。 市场市值与整体走势 根据最新市场数据,总市值在数万亿美元级别上下浮动,但相较之前高峰已明显缩水。多项分析指出: 多数主流币价格较历史高点跌超50%,市场复苏不均衡。(DePINscan)总市值与历史高点相比已有明显回落,波动剧烈。 从币种表现看,比特币与以太坊仍然占据主导地位,而其它山寨币、DeFi代币和表情包币则分化明显——在跌深之后部分小币种反弹更为剧烈,但多数仍难以脱离震荡区间。(DePINscan) 这种走势反映出市场整体风险偏好仍然偏低,而短期资金多在少数核心资产中寻找价值。 市场参与者的行为与风险事件 近年来,加密市场爆仓、杠杆清算事件频发,尤其是在价格下行或恐慌性抛压加剧时,不少交易者因杠杆仓位被强制清算。数据显示,仅过去24小时就有大量杠杆仓位遭到清算,引发高达数亿美元的损失。([Binance](https://www.generallink.top/fr/square/post/35928499536322?utm_source=chatgpt.com)) 此外,黑客攻击、交易所安全事件、流动性问题也对市场信心造成冲击。例如大型交易平台曾因安全漏洞遭受资金损失,并在短期内引发市场波动。(gate.com) DeFi平台也并非安全无虞:过去几年内,因合约漏洞和经济攻击导致的损失不断累积,强化了投资者对风险管理、智能合约安全的重视。 宏观因素对加密市场的影响 2026年宏观环境依然对加密资产价格产生深刻影响: 1. 利率与流动性预期 全球主要央行货币政策动向直接影响风险资产。紧缩货币政策通常抑制资金流入高风险资产,加密市场也未能幸免。与此同时,如果市场预期未来降息或宽松政策,则可能刺激短期投机行为。 2. 监管政策与合规动态 各国监管框架不断变化,对市场情绪有显著影响。清晰、包容的监管通常有利于机构投资者进入;而监管紧缩或不确定性则可能抑制投资热情。 例如,美国政府此前倡导数字资产战略储备的举措一度提升市场信心,但随着价格下挫,这种利好效果被短期市场波动所部分抵消。(Barron's) 3. 机构参与与ETF产品流动 随着比特币ETF、以太坊ETF等逐渐进入主流投资者视野,机构资金流动在近年对价格走势产生越来越大的影响。整体而言,机构参与度提高有助于市场成熟,但同时也带来与传统资产更高的相关性。 未来趋势与投资机会 尽管短期波动剧烈,但一些市场结构性趋势值得关注: 1. DeFi与去中心化金融规模增长 行业报告指出,去中心化金融(DeFi)总锁仓量有望在2026年前继续扩张,并吸引机构级资金参与。去中心化交易所、借贷平台、流动性协议等有潜力成为市场增长引擎。(Coinpedia Fintech News) 2. 基础设施与层2技术发展 以太坊Layer-2、比特币侧链和跨链桥技术的改进都有望降低交易成本、提高网络效率,这对于提升加密资产的实际使用价值至关重要。 3. 稳定币与支付应用 稳定币作为连接传统金融和加密世界的桥梁,其应用范围不断扩大。在全球支付、跨境结算和数字经济领域,稳定币有可能提升整体市场的实用性与流动性。 4. NFT与数字资产创新 NFT生态也正向更多实用方向演进,比如版权交易、数字身份、会员权益等,这些领域可能在未来为市场注入新的增长动能。 总结:高风险、高波动、长期价值潜力 总体来看,2026年的加密货币市场仍处于高波动、高风险状态,价格走势深受宏观经济、监管变化、市场情绪等因素影响。尽管短期内波动剧烈、不确定性依旧,市场长期的基础结构发展却在持续推进: 主流资产仍占主导地位,但波动加大;DeFi、稳定币、基础设施技术是中长期的重要增长点;风险管理、合规框架建设对市场成熟至关重要。 对于投资者而言,这既是一个充满挑战的阶段,也是寻求长期价值布局的时机——前提是做好风险控制、深入理解资产本质和市场动态。 如果你想,我也可以写一份带图表或市场数据分析的版本(比如BTC、ETH价格区间、交易量、情绪指数等)。要不要?📊 #currentMarketAnalysis

current market technical analysis

$BTC 当前加密货币市场——“熊市”震荡与反弹交织
2026年初,加密货币市场依然处于极高波动状态。在经历了自2025年10月以来持续下行的阶段后,主要数字资产价格面临剧烈震荡和阶段性反弹。比特币价格曾一度跌至61000美元附近,破掉了2024年以来的大部分涨幅,引发市场恐慌与高强度清算。(Reuters)
不过,在近几日的交易中,BTC出现技术性回升,从低位反弹至70000美元附近,带动整体市场情绪有所缓解。市场数据显示,短线避险资金与流动性资金进入市场推动成交量增长,但整体情绪仍偏谨慎。(CoinDesk)
与此同时,投资者对加息周期、宏观流动性预期和资金成本的变化高度敏感,金融市场的大波动直接传导至加密资产市场,这也是近期币价剧烈震荡的一大原因。

市场市值与整体走势
根据最新市场数据,总市值在数万亿美元级别上下浮动,但相较之前高峰已明显缩水。多项分析指出:
多数主流币价格较历史高点跌超50%,市场复苏不均衡。(DePINscan)总市值与历史高点相比已有明显回落,波动剧烈。
从币种表现看,比特币与以太坊仍然占据主导地位,而其它山寨币、DeFi代币和表情包币则分化明显——在跌深之后部分小币种反弹更为剧烈,但多数仍难以脱离震荡区间。(DePINscan)
这种走势反映出市场整体风险偏好仍然偏低,而短期资金多在少数核心资产中寻找价值。

市场参与者的行为与风险事件
近年来,加密市场爆仓、杠杆清算事件频发,尤其是在价格下行或恐慌性抛压加剧时,不少交易者因杠杆仓位被强制清算。数据显示,仅过去24小时就有大量杠杆仓位遭到清算,引发高达数亿美元的损失。(Binance)
此外,黑客攻击、交易所安全事件、流动性问题也对市场信心造成冲击。例如大型交易平台曾因安全漏洞遭受资金损失,并在短期内引发市场波动。(gate.com)
DeFi平台也并非安全无虞:过去几年内,因合约漏洞和经济攻击导致的损失不断累积,强化了投资者对风险管理、智能合约安全的重视。

宏观因素对加密市场的影响
2026年宏观环境依然对加密资产价格产生深刻影响:
1. 利率与流动性预期
全球主要央行货币政策动向直接影响风险资产。紧缩货币政策通常抑制资金流入高风险资产,加密市场也未能幸免。与此同时,如果市场预期未来降息或宽松政策,则可能刺激短期投机行为。
2. 监管政策与合规动态
各国监管框架不断变化,对市场情绪有显著影响。清晰、包容的监管通常有利于机构投资者进入;而监管紧缩或不确定性则可能抑制投资热情。
例如,美国政府此前倡导数字资产战略储备的举措一度提升市场信心,但随着价格下挫,这种利好效果被短期市场波动所部分抵消。(Barron's)
3. 机构参与与ETF产品流动
随着比特币ETF、以太坊ETF等逐渐进入主流投资者视野,机构资金流动在近年对价格走势产生越来越大的影响。整体而言,机构参与度提高有助于市场成熟,但同时也带来与传统资产更高的相关性。

未来趋势与投资机会
尽管短期波动剧烈,但一些市场结构性趋势值得关注:
1. DeFi与去中心化金融规模增长
行业报告指出,去中心化金融(DeFi)总锁仓量有望在2026年前继续扩张,并吸引机构级资金参与。去中心化交易所、借贷平台、流动性协议等有潜力成为市场增长引擎。(Coinpedia Fintech News)
2. 基础设施与层2技术发展
以太坊Layer-2、比特币侧链和跨链桥技术的改进都有望降低交易成本、提高网络效率,这对于提升加密资产的实际使用价值至关重要。
3. 稳定币与支付应用
稳定币作为连接传统金融和加密世界的桥梁,其应用范围不断扩大。在全球支付、跨境结算和数字经济领域,稳定币有可能提升整体市场的实用性与流动性。
4. NFT与数字资产创新
NFT生态也正向更多实用方向演进,比如版权交易、数字身份、会员权益等,这些领域可能在未来为市场注入新的增长动能。

总结:高风险、高波动、长期价值潜力
总体来看,2026年的加密货币市场仍处于高波动、高风险状态,价格走势深受宏观经济、监管变化、市场情绪等因素影响。尽管短期内波动剧烈、不确定性依旧,市场长期的基础结构发展却在持续推进:
主流资产仍占主导地位,但波动加大;DeFi、稳定币、基础设施技术是中长期的重要增长点;风险管理、合规框架建设对市场成熟至关重要。
对于投资者而言,这既是一个充满挑战的阶段,也是寻求长期价值布局的时机——前提是做好风险控制、深入理解资产本质和市场动态。

如果你想,我也可以写一份带图表或市场数据分析的版本(比如BTC、ETH价格区间、交易量、情绪指数等)。要不要?📊
#currentMarketAnalysis
Eth/usdt 4H candle chart telling right nowETH is still in a macro downtrend Price is below EMA 20, 50, and far below EMA 200EMA(20): ~2063EMA(50): ~2252EMA(200): ~2725 ➡️ This means bears still control the bigger picture 2️⃣ Recent candle behavior (very important) ETH dumped hard from ~2396 → 1747After that dump, price formed:Strong bounce candleThen small-bodied candles around 2000–2050 This is called a bear-market consolidation, not a breakout yet. 📌 Translation: Selling pressure paused, but buyers are not strong enough yet. 3️⃣ Support & resistance from candles Support zone 1950–1980 (local support)Major support: 1750–1800 If 1950 breaks on a strong red 4H close → expect another leg down. Resistance zone 2050–2100 (current fight zone)Strong resistance: 2200–2250 (EMA 50) ETH must close multiple 4H candles above 2100 to look bullish short-term. 4️⃣ Indicators confirmation RSI (≈51) NeutralNo overbought, no oversold ➡️ Market is waiting for direction MACD Histogram turning greenLines trying to cross up ➡️ Short-term relief bounce possible, but still weak Williams %R (-82 → rising) Coming out of oversold ➡️ Bounce already happened, momentum slowing now Forecast based on THIS chart 🔵 Most likely scenario (50–55%) Sideways → slight pullback ETH ranges between 1950–2100Wicks both sidesTraps late longs & shorts This is accumulation / distribution behavior. 🟢 Bullish scenario (25–30%) Strong 4H close above 2100Volume expansionNext target: 2200–2250 Only valid if candles close strong, not wick rejection. 🔴 Bearish scenario (20–25%) 4H close below 1950Red expansion candleFast move toward 1800 zone This happens if BTC turns weak suddenly. How to trade this (if you trade) ❌ Don’t long into resistance (2050–2100)✅ Best longs = near support with confirmation❌ Don’t overleverage — this is a trap zone✅ Wait for break & close, not wicks Bottom line 📉 Trend: still bearish ⏸️ Short-term: consolidation ⚠️ Big move coming, direction not confirmed yet If you want, I can: Mark exact entry / SL / TPRead BTC correlationAnalyze 1H or Daily next Just tell me 👀📊 ##ETHUSDTANALYSIS $ETH $ETH

Eth/usdt 4H candle chart telling right now

ETH is still in a macro downtrend
Price is below EMA 20, 50, and far below EMA 200EMA(20): ~2063EMA(50): ~2252EMA(200): ~2725
➡️ This means bears still control the bigger picture

2️⃣ Recent candle behavior (very important)
ETH dumped hard from ~2396 → 1747After that dump, price formed:Strong bounce candleThen small-bodied candles around 2000–2050
This is called a bear-market consolidation, not a breakout yet.
📌 Translation:
Selling pressure paused, but buyers are not strong enough yet.

3️⃣ Support & resistance from candles
Support zone
1950–1980 (local support)Major support: 1750–1800
If 1950 breaks on a strong red 4H close → expect another leg down.
Resistance zone
2050–2100 (current fight zone)Strong resistance: 2200–2250 (EMA 50)
ETH must close multiple 4H candles above 2100 to look bullish short-term.

4️⃣ Indicators confirmation
RSI (≈51)
NeutralNo overbought, no oversold
➡️ Market is waiting for direction
MACD
Histogram turning greenLines trying to cross up
➡️ Short-term relief bounce possible, but still weak
Williams %R (-82 → rising)
Coming out of oversold
➡️ Bounce already happened, momentum slowing now

Forecast based on THIS chart
🔵 Most likely scenario (50–55%)
Sideways → slight pullback
ETH ranges between 1950–2100Wicks both sidesTraps late longs & shorts
This is accumulation / distribution behavior.

🟢 Bullish scenario (25–30%)
Strong 4H close above 2100Volume expansionNext target: 2200–2250
Only valid if candles close strong, not wick rejection.

🔴 Bearish scenario (20–25%)
4H close below 1950Red expansion candleFast move toward 1800 zone
This happens if BTC turns weak suddenly.

How to trade this (if you trade)
❌ Don’t long into resistance (2050–2100)✅ Best longs = near support with confirmation❌ Don’t overleverage — this is a trap zone✅ Wait for break & close, not wicks

Bottom line
📉 Trend: still bearish
⏸️ Short-term: consolidation
⚠️ Big move coming, direction not confirmed yet
If you want, I can:
Mark exact entry / SL / TPRead BTC correlationAnalyze 1H or Daily next
Just tell me 👀📊
##ETHUSDTANALYSIS $ETH $ETH
Bitcoin gold🚨 THIS IS WHY BITCOIN IS DUMPING EVERY SINGLE DAY This is not retail. This is not sentiment. If you still think BTC trades on simple supply and demand, you’re looking at a market that no longer exists. Let me put it plainly. Bitcoin price is no longer set on-chain. It’s set in derivatives. That’s the whole game. BTC was built on: 21 million supply No rehypothecation Then Wall Street layered on: Perps Options ETFs Lending Wrapped BTC Swaps Same structure. Same outcome. This is the exact break that already happened to: Gold. Silver. Oil. Stocks. “Paper BTC” exploded. And once synthetic supply overwhelms real supply, price stops responding to demand. It responds to: Positioning Hedging flows Liquidations That’s why the playbook is always the same: → Sell into every pump → Force liquidations → Cover lower → Repeat This isn’t a free market. It’s a fractional-reserve price system wearing a Bitcoin mask. Ignore it if you want — just understand why every bounce fails. I’ve studied macro for 10 years and called almost every major top, including the October BTC ATH. Follow. Turn notifications on. I’ll post the warning before it hits the headlines.#MarketRally $BTC {spot}(BTCUSDT)

Bitcoin gold

🚨 THIS IS WHY BITCOIN IS DUMPING EVERY SINGLE DAY
This is not retail.
This is not sentiment.
If you still think BTC trades on simple supply and demand,
you’re looking at a market that no longer exists.
Let me put it plainly.
Bitcoin price is no longer set on-chain.
It’s set in derivatives.
That’s the whole game.
BTC was built on:
21 million supply
No rehypothecation
Then Wall Street layered on:
Perps
Options
ETFs
Lending
Wrapped BTC
Swaps
Same structure.
Same outcome.
This is the exact break that already happened to:
Gold.
Silver.
Oil.
Stocks.
“Paper BTC” exploded.
And once synthetic supply overwhelms real supply, price stops responding to demand.
It responds to:
Positioning
Hedging flows
Liquidations
That’s why the playbook is always the same:
→ Sell into every pump
→ Force liquidations
→ Cover lower
→ Repeat
This isn’t a free market.
It’s a fractional-reserve price system wearing a Bitcoin mask.
Ignore it if you want —
just understand why every bounce fails.
I’ve studied macro for 10 years and called almost every major top, including the October BTC ATH.
Follow. Turn notifications on.
I’ll post the warning before it hits the headlines.#MarketRally $BTC
Ether's recent crash below $2,000 leaves $686 million gaping hole in trading firm's book The firm’s looped ETH long position unraveled this week as ether's price crashed, resulting in an estimated $686 million loss. Trend Research, a trading firm led by Liquid Capital founder Jack Yi, built a $2 billion leveraged long position in ether by borrowing stablecoins against ETH collateral. As ether’s price slid to $1,750 this week, the firm’s looped ETH position unraveled, resulting in an estimated $686 million loss. Yi framed the massive sales as risk control and said he remains bullish on a “mega” crypto bull market, predicting ETH above $10,000 and bitcoin above $200,000 despite the setback. caught leaning hard into the upside this week as the cryptocurrency tanked, turning the whale bet into a multi-million dollar horror story.
Ether's recent crash below $2,000 leaves $686 million gaping hole in trading firm's book

The firm’s looped ETH long position unraveled this week as ether's price crashed, resulting in an estimated $686 million loss.

Trend Research, a trading firm led by Liquid Capital founder Jack Yi, built a $2 billion leveraged long position in ether by borrowing stablecoins against ETH collateral.

As ether’s price slid to $1,750 this week, the firm’s looped ETH position unraveled, resulting in an estimated $686 million loss.

Yi framed the massive sales as risk control and said he remains bullish on a “mega” crypto bull market, predicting ETH above $10,000 and bitcoin above $200,000 despite the setback.

caught leaning hard into the upside this week as the cryptocurrency tanked, turning the whale bet into a multi-million dollar horror story.
xrp recent price action🫨 Analyst Who Predicted $XRP ’s 600% Rally Forecasts The Bottom And A Target Of $10 XRP’s current pullback has diverted attention away from short-term volatility and back toward the bigger picture on the chart. The cryptocurrency is now down by over 60% from its July all-time high, and the decline is showing signs of more downside. 🔸 Analyst Points To A New Accumulation Phase XRP’s recent price action has seen many analysts projecting a bottom where the decline might end. However, a technical analysis of XRP’s price action on the 2-week candlestick timeframe chart, which was posted on the social media platform X, frames the current XRP price action as an entry into an accumulation zone. According to the analysis, XRP has now corrected roughly 58% from its recent peak, placing it directly inside what he calls the first accumulation zone between $1.50 and $1.30. The outlook by Crypto Patel is that this area is not about catching an exact bottom but about building exposure gradually as the price stabilizes. Based on this, the analyst predicted that XRP’s decline will bottom somewhere between $1.5 and $1.3, and this is a great time to start buying slowly at these levels. However, Patel’s outlook also accounts for a deeper drawdown scenario. Should XRP lose the $1.30 region, then the next focus is in a secondary accumulation band between $0.90 and $0.70. Nonetheless, a move into that lower range would still not invalidate the bullish thesis. 🔸 The $10 Target Is Still In Play $XRP’s current price action is a far stretch from reaching $10, and that target seems out of reach at the moment. However, despite adopting a near-term caution, many analysts have not changed their long-term projections. Patel, for example, noted that his long-term target is $10. Although the $10 target remains the same, the analyst noted that buying at $3 or $2 is not ideal since there are opportunities for entries at $1.50-$1 during hard dips for much bigger returns. #XRP | #Ripple | $XRP

xrp recent price action

🫨 Analyst Who Predicted $XRP ’s 600% Rally Forecasts The Bottom And A Target Of $10
XRP’s current pullback has diverted attention away from short-term volatility and back toward the bigger picture on the chart. The cryptocurrency is now down by over 60% from its July all-time high, and the decline is showing signs of more downside.
🔸 Analyst Points To A New Accumulation Phase
XRP’s recent price action has seen many analysts projecting a bottom where the decline might end. However, a technical analysis of XRP’s price action on the 2-week candlestick timeframe chart, which was posted on the social media platform X, frames the current XRP price action as an entry into an accumulation zone.
According to the analysis, XRP has now corrected roughly 58% from its recent peak, placing it directly inside what he calls the first accumulation zone between $1.50 and $1.30. The outlook by Crypto Patel is that this area is not about catching an exact bottom but about building exposure gradually as the price stabilizes. Based on this, the analyst predicted that XRP’s decline will bottom somewhere between $1.5 and $1.3, and this is a great time to start buying slowly at these levels.
However, Patel’s outlook also accounts for a deeper drawdown scenario. Should XRP lose the $1.30 region, then the next focus is in a secondary accumulation band between $0.90 and $0.70. Nonetheless, a move into that lower range would still not invalidate the bullish thesis.
🔸 The $10 Target Is Still In Play
$XRP’s current price action is a far stretch from reaching $10, and that target seems out of reach at the moment. However, despite adopting a near-term caution, many analysts have not changed their long-term projections.
Patel, for example, noted that his long-term target is $10. Although the $10 target remains the same, the analyst noted that buying at $3 or $2 is not ideal since there are opportunities for entries at $1.50-$1 during hard dips for much bigger returns.
#XRP | #Ripple | $XRP
“Crypto is quiet, not dead.” “Volatility is the price of opportunity.” “Strong hands don’t panic.” “Markets fall, builders stay.” “Patience pays in crypto.” “Red days test belief.” “Crypto rewards the calm.” “Noise fades, value remains.” “Bear markets create believers.” “Still early. Always risky.” ###marketRally##riskassistantquotes
“Crypto is quiet, not dead.”

“Volatility is the price of opportunity.”

“Strong hands don’t panic.”

“Markets fall, builders stay.”

“Patience pays in crypto.”

“Red days test belief.”

“Crypto rewards the calm.”

“Noise fades, value remains.”

“Bear markets create believers.”

“Still early. Always risky.”
###marketRally##riskassistantquotes
WHALE BETS 12 MILLION ON $SOL CRASH! Entry: 90.00 🟩 Target 1: 80.00 🎯 Stop Loss: 147.85 🛑 A new whale just loaded 4 million USDC for a 3x leveraged short on $SOL. This is a direct assault on retail longs. Smart money is shorting while 82% of traders are still long. The imbalance is a liquidation powder keg. $SOL is trapped in a downtrend. Rejection at $120 fueled the sell-off. Support is crumbling around $90. RSI at 23 signals relentless selling. If $90 breaks, $80 is the next target. The trend invalidation is way up at $147.85. The whale's massive bet signals extreme bearish conviction. Position yourself with smart money. Not financial advice. 💥 #SOL #CryptoTrading #FOMO #WhaleAlert
WHALE BETS 12 MILLION ON $SOL CRASH!
Entry: 90.00 🟩
Target 1: 80.00 🎯
Stop Loss: 147.85 🛑
A new whale just loaded 4 million USDC for a 3x leveraged short on $SOL. This is a direct assault on retail longs. Smart money is shorting while 82% of traders are still long. The imbalance is a liquidation powder keg. $SOL is trapped in a downtrend. Rejection at $120 fueled the sell-off. Support is crumbling around $90. RSI at 23 signals relentless selling. If $90 breaks, $80 is the next target. The trend invalidation is way up at $147.85. The whale's massive bet signals extreme bearish conviction. Position yourself with smart money.
Not financial advice. 💥
#SOL #CryptoTrading #FOMO #WhaleAlert
币安又发超级大福利了,兄弟们这次操作非常简单,而且最高可以直接获得6666个Dusk奖励。 只需要在首页选择更多,然后点开支付,选择转账活动,只需要转0.01U给任意一个UID就可以获得奖励,值得一提的是转账获得的奖励是秒到账的。 如果大家实在不知道转给谁可以转我UID:844839161 在这里感谢一下#币安广场 大家可以趁这现在$BNB 价格便宜可以囤起来哈!
币安又发超级大福利了,兄弟们这次操作非常简单,而且最高可以直接获得6666个Dusk奖励。
只需要在首页选择更多,然后点开支付,选择转账活动,只需要转0.01U给任意一个UID就可以获得奖励,值得一提的是转账获得的奖励是秒到账的。
如果大家实在不知道转给谁可以转我UID:844839161
在这里感谢一下#币安广场 大家可以趁这现在$BNB 价格便宜可以囤起来哈!
$BANANAS31 /USDT Long Signal post based on the current price 0.003453, strong volume (580M+ tokens) and momentum continuation setup: 🚀 BANANAS31/USDT – LONG SETUP Trend: Bullish momentum + high volume breakout Type: Dip buy / continuation play 📍 Entry Zone 0.00330 – 0.00350 🎯 Targets TP1: 0.00380 TP2: 0.00420 TP3: 0.00480 (major breakout level) 🛑 Stop Loss 0.00295 (below 24h low support) 🔑 Key Levels Support: 0.00300 – 0.00295 Intraday support: 0.00330 Resistance: 0.00380 Breakout level: 0.00420 Expansion zone: 0.00480 📊 Setup Logic +15% momentum with strong volume expansion Holding above 0.00330 structure Higher lows forming on lower TF Break above 0.00380 likely triggers fast squeeze toward 0.0045–0.0048 ⚠️ Risk Plan Secure profits at TP1/TP2 and trail stop to breakeven. #WarshFedPolicyOutlook #WarshFedPolicyOutlook
$BANANAS31 /USDT Long Signal post based on the current price 0.003453, strong volume (580M+ tokens) and momentum continuation setup:
🚀 BANANAS31/USDT – LONG SETUP
Trend: Bullish momentum + high volume breakout
Type: Dip buy / continuation play
📍 Entry Zone
0.00330 – 0.00350
🎯 Targets
TP1: 0.00380
TP2: 0.00420
TP3: 0.00480 (major breakout level)
🛑 Stop Loss
0.00295 (below 24h low support)
🔑 Key Levels
Support: 0.00300 – 0.00295
Intraday support: 0.00330
Resistance: 0.00380
Breakout level: 0.00420
Expansion zone: 0.00480
📊 Setup Logic
+15% momentum with strong volume expansion
Holding above 0.00330 structure
Higher lows forming on lower TF
Break above 0.00380 likely triggers fast squeeze toward 0.0045–0.0048
⚠️ Risk Plan
Secure profits at TP1/TP2 and trail stop to breakeven.
#WarshFedPolicyOutlook #WarshFedPolicyOutlook
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