$SOLV

at a Crossroads: Reading the Trendline Break
A trendline that held for months just snapped. Here's what happens next:
1/ The Setup
SOL broke a months-long trendline. Now at $84.55. This isn't a minor move—it's a signal.
2/ The Thesis
In bear markets, trendline breaks tend to *follow through* rather than fake out. The probability favors continuation lower.
3/ The Test
Bulls get ONE chance: a retest and a hold above that broken line. Without it, the breakdown confirms.
4/ The Risk
I'm not catching knives here. The burden of proof is entirely on the bulls now.
5/ The Decision
Either $SOL
proves this was a deviation, or it confirms the breakdown and heads lower.
Which way do you see it playing out?
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