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yishuu
102 Публикации

yishuu

Asslam o Alaikum. I'm learning about crypto trading and other opportunities in Binance.
Отваряне на търговията
Чест трейдър
1.2 години
954 Следвани
192 Последователи
16 Харесано
Публикации
Портфолио
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Short $SOL Entry: 88.0 – 91.5 (prefer rejection near 92.1 high / liquidity sweep zone) SL: 94.5 TP1: 84.5 TP2: 81.8 TP3: 78.5 Structure: strong impulsive rally from 75.6 → 92.1 followed by sharp rejection at local high. Current price stalling under resistance after vertical expansion → potential pullback toward prior breakout base. Short bias valid if price fails to reclaim 91–92 zone and momentum weakens. {spot}(ADAUSDT)
Short $SOL
Entry: 88.0 – 91.5 (prefer rejection near 92.1 high / liquidity sweep zone)
SL: 94.5
TP1: 84.5
TP2: 81.8
TP3: 78.5
Structure: strong impulsive rally from 75.6 → 92.1 followed by sharp rejection at local high. Current price stalling under resistance after vertical expansion → potential pullback toward prior breakout base. Short bias valid if price fails to reclaim 91–92 zone and momentum weakens.
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$ARC breakout continuation....Strong momentum expansion with clean higher highs and fresh breakout volume. Long $ARC now..... Entry: 0.092 – 0.096 TP1: 0.105 TP2: 0.118 TP3: 0.135 SL: 0.084 {spot}(AGLDUSDT)
$ARC breakout continuation....Strong momentum expansion with clean higher highs and fresh breakout volume.
Long $ARC now.....
Entry: 0.092 – 0.096
TP1: 0.105
TP2: 0.118
TP3: 0.135
SL: 0.084
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$BCH – Bullish recovery from 560 support, higher low formed with strong impulse back toward 575 resistance. Long $BCH Entry: 568 – 575 SL: 558 TP1: 585 TP2: 600 TP3: 625 Price swept below 565 zone and quickly reclaimed 570 with strong green momentum candle. Structure shows higher low formation and buyers defending 560 demand. As long as 558 holds, continuation higher remains likely. If price breaks and closes above 577, next leg toward 600+ can accelerate. {spot}(BARUSDT)
$BCH – Bullish recovery from 560 support, higher low formed with strong impulse back toward 575 resistance.
Long $BCH
Entry: 568 – 575
SL: 558
TP1: 585
TP2: 600
TP3: 625
Price swept below 565 zone and quickly reclaimed 570 with strong green momentum candle. Structure shows higher low formation and buyers defending 560 demand.
As long as 558 holds, continuation higher remains likely.
If price breaks and closes above 577, next leg toward 600+ can accelerate.
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$ESP Sharp rebound meets a low ceiling, price hovering instead of folding. Trading Plan (Long) Entry: $0.0738 – $0.0755 SL: $0.0715 TP: $0.0820 - $0.0860 Price snapped up from the base and is now sitting under the nearby strip, not giving much back. The first push higher stalled fast, upper wicks poking out, bodies tightening, follow-through thinning. Pullbacks keep getting caught early, slipping a bit then sticking, no real spill. I’m holding long exposure, letting it churn here without forcing adds. If it leaks off this shelf and can’t step back up on the next bounce, I’m out on that failure to reclaim. {spot}(VTHOUSDT)
$ESP Sharp rebound meets a low ceiling, price hovering instead of folding.
Trading Plan (Long)
Entry: $0.0738 – $0.0755
SL: $0.0715
TP: $0.0820 - $0.0860
Price snapped up from the base and is now sitting under the nearby strip, not giving much back. The first push higher stalled fast, upper wicks poking out, bodies tightening, follow-through thinning. Pullbacks keep getting caught early, slipping a bit then sticking, no real spill. I’m holding long exposure, letting it churn here without forcing adds. If it leaks off this shelf and can’t step back up on the next bounce, I’m out on that failure to reclaim.
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⭐ $RAYSOL base confirmed as bullish structure starts to expand. LONG: RAYSOL Entry: 0.69 – 0.71 Stop-Loss: 0.59 TP1: 0.88 TP2: 1.20 TP3: 1.80 RAYSOL has completed a clean base formation following a prolonged correction phase. Price is now reclaiming the 0.70 key level with improving momentum on the 4H timeframe — signaling a structural shift back toward buyers. The reclaim of this pivot suggests prior selling pressure has been absorbed, and the market is transitioning from consolidation into early expansion. Sustained acceptance above this level increases the probability of continuation toward higher liquidity zones. As long as 0.59 remains intact as invalidation, the setup favors further upside progression toward the outlined targets. {spot}(RPLUSDT)
⭐ $RAYSOL base confirmed as bullish structure starts to expand.
LONG: RAYSOL
Entry: 0.69 – 0.71
Stop-Loss: 0.59
TP1: 0.88
TP2: 1.20
TP3: 1.80
RAYSOL has completed a clean base formation following a prolonged correction phase. Price is now reclaiming the 0.70 key level with improving momentum on the 4H timeframe — signaling a structural shift back toward buyers.
The reclaim of this pivot suggests prior selling pressure has been absorbed, and the market is transitioning from consolidation into early expansion. Sustained acceptance above this level increases the probability of continuation toward higher liquidity zones.
As long as 0.59 remains intact as invalidation, the setup favors further upside progression toward the outlined targets.
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$ZEC /USDT faced strong rejection from the 308 area and is now consolidating near local support after the pullback. Support zone: 280 – 285 Key resistance: 305 – 312 Entry zone: look for buys around 282–288 or breakout above 312 with volume. Next targets: T1 320 T2 345 T3 380 Stop loss: below 275 Price is sitting on demand and could bounce if buyers defend this level. Break above resistance would signal trend continuation. #Binance #squarecreator {spot}(ALLOUSDT)
$ZEC /USDT faced strong rejection from the 308 area and is now consolidating near local support after the pullback.
Support zone: 280 – 285
Key resistance: 305 – 312
Entry zone: look for buys around 282–288 or breakout above 312 with volume.
Next targets:
T1 320
T2 345
T3 380
Stop loss: below 275
Price is sitting on demand and could bounce if buyers defend this level. Break above resistance would signal trend continuation.
#Binance #squarecreator
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$FOGO Fogo’s SVM Advantage: Built for Real Performance 🚀🔥 Fogo shows that real Web3 strength comes from architecture — not hype 💡 By leveraging the Solana Virtual Machine (SVM), Fogo enables true parallel transaction processing ⚡⚙️ — meaning the network can handle massive traffic without slowing down 🚦❌ Instead of sequential execution 🐢, SVM allows simultaneous transactions 🚀🚀 — essential for high-speed sectors like DeFi 💰, gaming 🎮, and AI-powered applications 🤖 Smart contracts written in Rust bring strong security 🔐 and high efficiency ⚙️ — a powerful combination that’s hard to achieve at scale 📈 As blockchain adoption grows 🌍, infrastructure must evolve. Fogo’s SVM-based architecture is built for long-term scalability 🏗️📊 — not short-term hype cycles 🔥 {spot}(INITUSDT)
$FOGO Fogo’s SVM Advantage: Built for Real Performance 🚀🔥
Fogo shows that real Web3 strength comes from architecture — not hype 💡
By leveraging the Solana Virtual Machine (SVM), Fogo enables true parallel transaction processing ⚡⚙️ — meaning the network can handle massive traffic without slowing down 🚦❌
Instead of sequential execution 🐢, SVM allows simultaneous transactions 🚀🚀 — essential for high-speed sectors like DeFi 💰, gaming 🎮, and AI-powered applications 🤖
Smart contracts written in Rust bring strong security 🔐 and high efficiency ⚙️ — a powerful combination that’s hard to achieve at scale 📈
As blockchain adoption grows 🌍, infrastructure must evolve. Fogo’s SVM-based architecture is built for long-term scalability 🏗️📊 — not short-term hype cycles 🔥
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$VVV Going Short 🫡 Entry market price till $4 Stop 1-3% of portfolio Tp 100% atleast of margin clean set-up 👇🏽👇🏽👇🏽 {spot}(PEPEUSDT)
$VVV Going Short 🫡
Entry market price till $4
Stop 1-3% of portfolio
Tp 100% atleast of margin
clean set-up
👇🏽👇🏽👇🏽
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$BEAT trend reversal with higher-high continuation.... Clean V-bottom followed by steady higher highs bullish structure forming..... Long $BEAT Entry: 0.26 – 0.28 SL: 0.23 TP1: 0.32 TP2: 0.38 TP3: 0.45 {spot}(MUBARAKUSDT)
$BEAT trend reversal with higher-high continuation....
Clean V-bottom followed by steady higher highs bullish structure forming.....
Long $BEAT
Entry: 0.26 – 0.28
SL: 0.23
TP1: 0.32
TP2: 0.38
TP3: 0.45
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$H is approaching a high-volatility decision zone after an aggressive move, with structure suggesting a potential sharp directional expansion. Current positioning favors a downside reaction toward nearby liquidity pockets, especially if resistance continues to hold. Risk remains defined as long as price stays below the invalidation level. 🚸 H (USDT) 🔰 LEVERAGE: 1X to 50x 🔻 SHORT BIAS ✅ ENTRY: 0.2150-0.2320 🎯 PROFIT TARGETS 1️⃣ 0.2100 2️⃣ 0.1995 3️⃣ 0.1910 🛑 STOP LOSS: 0.2510 Support me — just trade here 👇 {spot}(TAOUSDT)
$H is approaching a high-volatility decision zone after an aggressive move, with structure suggesting a potential sharp directional expansion. Current positioning favors a downside reaction toward nearby liquidity pockets, especially if resistance continues to hold. Risk remains defined as long as price stays below the invalidation level.
🚸 H (USDT)
🔰 LEVERAGE: 1X to 50x
🔻 SHORT BIAS
✅ ENTRY: 0.2150-0.2320
🎯 PROFIT TARGETS
1️⃣ 0.2100
2️⃣ 0.1995
3️⃣ 0.1910
🛑 STOP LOSS: 0.2510
Support me — just trade here 👇
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$VVV USDT Perp explodes on the 15m chart as price trades 2.973, up 59.92 percent, mark 2.976. Bulls drive after a 24h high at 3.208 and a low at 1.857. Turnover shows 66.71M VVV and 173.40M USDT. Bollinger Bands read UP 3.193, MB 2.901, DN 2.608. Volume hovers near MA5 1,282,775 and MA10 1,235,347. Traders chase momentum, guarding risk as price coils near highs, watching for continuation or a violent pullback while liquidity swells and volatility rules the tape. #WhaleDeRiskETH #USTechFundFlows #TrumpCanadaTariffsOverturned #USNFPBlowout #CPIWatch {spot}(COMPUSDT)
$VVV USDT Perp explodes on the 15m chart as price trades 2.973, up 59.92 percent, mark 2.976. Bulls drive after a 24h high at 3.208 and a low at 1.857. Turnover shows 66.71M VVV and 173.40M USDT. Bollinger Bands read UP 3.193, MB 2.901, DN 2.608. Volume hovers near MA5 1,282,775 and MA10 1,235,347. Traders chase momentum, guarding risk as price coils near highs, watching for continuation or a violent pullback while liquidity swells and volatility rules the tape.
#WhaleDeRiskETH #USTechFundFlows #TrumpCanadaTariffsOverturned #USNFPBlowout #CPIWatch
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$MYX bounced strongly from the 2.613 low and is now forming higher lows on the 15m chart. Price is trading around 3.008 after rejecting from the 3.193 resistance zone. Momentum remains constructive, and as long as 2.900–2.950 holds as support, the structure favors continuation toward the 3.200–3.350 area. Long MYX Entry Zone: 3.020 – 2.920 Stop Loss: 2.780 TP1: 3.200 TP2: 3.350 ‎Or from 100% to 500% ‎ ‎This is a scalp trade. Use 20x to 50x leverage with a margin of 1% to 5%. Book partial profit at TP1 and move stop-loss to entry. {future}(BANKUSDT)
$MYX bounced strongly from the 2.613 low and is now forming higher lows on the 15m chart. Price is trading around 3.008 after rejecting from the 3.193 resistance zone. Momentum remains constructive, and as long as 2.900–2.950 holds as support, the structure favors continuation toward the 3.200–3.350 area.
Long MYX
Entry Zone: 3.020 – 2.920
Stop Loss: 2.780
TP1: 3.200
TP2: 3.350
‎Or from 100% to 500%

‎This is a scalp trade. Use 20x to 50x leverage with a margin of 1% to 5%. Book partial profit at TP1 and move stop-loss to entry.
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$SAPIEN /USDT – Long Setup 🚀 Pair: SAPIENUSDT Current Price: 0.0928 Trend: Short-term bullish momentum (AI sector strength + higher low structure) 📌 Entry Zone: 0.0910 – 0.0930 (Accumulation near minor support & breakout retest area) 🎯 Targets: TP1: 0.0950 TP2: 0.0988 (24h High) TP3: 0.1050 (psychological + breakout extension) 🛑 Stop Loss: 0.0840 (Below strong support & structure low) 🔑 Key Levels: 0.0910 – Intraday support 0.0870 – Strong support zone 0.0988 – Resistance / breakout trigger 0.1000 – Psychological resistance 📊 Trade Idea: Price holding above 0.090 support with strong 24h momentum (+14%). If volume sustains, breakout above 0.0988 can push toward 0.1050+ extension. #USRetailSalesMissForecast #WhaleDeRiskETH {spot}(KITEUSDT)
$SAPIEN /USDT – Long Setup 🚀
Pair: SAPIENUSDT
Current Price: 0.0928
Trend: Short-term bullish momentum (AI sector strength + higher low structure)
📌 Entry Zone:
0.0910 – 0.0930
(Accumulation near minor support & breakout retest area)
🎯 Targets:
TP1: 0.0950
TP2: 0.0988 (24h High)
TP3: 0.1050 (psychological + breakout extension)
🛑 Stop Loss:
0.0840
(Below strong support & structure low)
🔑 Key Levels:
0.0910 – Intraday support
0.0870 – Strong support zone
0.0988 – Resistance / breakout trigger
0.1000 – Psychological resistance
📊 Trade Idea:
Price holding above 0.090 support with strong 24h momentum (+14%). If volume sustains, breakout above 0.0988 can push toward 0.1050+ extension.
#USRetailSalesMissForecast #WhaleDeRiskETH
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This volatility is crazy... $BTC pumped above $68,000 (3 times) in the past 24 hours liquidating $200M shorts. In the same time, $BTC dumped to $66,000 (5 times) liquidating $300M longs. Now, below at $63,000 - $66,000 we have sizable liquidity. However, $69,000 - $72,000 has roughly 2x more liquidity built up making this a more probable zone to attack next. Bears and Bulls are both getting rekt. {spot}(BERAUSDT)
This volatility is crazy...
$BTC pumped above $68,000 (3 times) in the past 24 hours liquidating $200M shorts.
In the same time, $BTC dumped to $66,000 (5 times) liquidating $300M longs.
Now, below at $63,000 - $66,000 we have sizable liquidity.
However, $69,000 - $72,000 has roughly 2x more liquidity built up making this a more probable zone to attack next.
Bears and Bulls are both getting rekt.
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$POWER rejecting local resistance ⚠️📉 🔴 SHORT $POWER Trade Setup: Entry Range: $0.401 – $0.408 SL: $0.438 TP1: $0.376 TP2: $0.342 TP3: $0.298 $POWER has pushed back into a previously rejected supply zone after the recent bounce. Upside momentum is slowing and price is struggling to build acceptance above this area, suggesting sellers are stepping in. If structure continues to print lower highs, continuation to the downside remains the higher-probability path. This short is invalid if price reclaims and holds above resistance. ⚠️ Risk: Markets move fast. Always protect with a stop loss. Trading through the link below is the best way to support me 👇 {spot}(BERAUSDT)
$POWER rejecting local resistance ⚠️📉
🔴 SHORT $POWER
Trade Setup:
Entry Range: $0.401 – $0.408
SL: $0.438
TP1: $0.376
TP2: $0.342
TP3: $0.298
$POWER has pushed back into a previously rejected supply zone after the recent bounce. Upside momentum is slowing and price is struggling to build acceptance above this area, suggesting sellers are stepping in. If structure continues to print lower highs, continuation to the downside remains the higher-probability path. This short is invalid if price reclaims and holds above resistance.
⚠️ Risk: Markets move fast. Always protect with a stop loss.
Trading through the link below is the best way to support me 👇
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$XAU : Market Analysis and Strategy for February 13th Gold prices fluctuated upwards during the Asian and European sessions yesterday, rising to $5119 before falling back. The release of negative non-farm payroll data in the US session caused a sharp drop in gold, falling to a low of $5021 before rebounding. The daily chart closed higher, with the 5-day moving average trending upwards, and the accompanying indicators turning upwards. The MACD indicator showed decreasing selling pressure, indicating a bullish bias on the daily chart. Potential Buying Area: $5000~$5050 SL: 4950 TP1: $5100~$5150 TP2: $5200 TP3: 🚀 On the hourly chart, gold prices continued to fall after opening, bottoming out at $5044 before rebounding. Currently, it is trading around $5060. The 5-day moving average is trending downwards, and the trend indicators are bearish. The MACD indicator's fast and slow lines are above the zero line, but the crossover is downwards, indicating increasing selling pressure and a short-term downward bias. Given the bullish daily chart, we recommend waiting for a pullback to support levels to buy or a short-term selling strategy. #GoldSilverRally #GOLD #BullishMomentum {spot}(YBUSDT)
$XAU : Market Analysis and Strategy for February 13th
Gold prices fluctuated upwards during the Asian and European sessions yesterday, rising to $5119 before falling back. The release of negative non-farm payroll data in the US session caused a sharp drop in gold, falling to a low of $5021 before rebounding. The daily chart closed higher, with the 5-day moving average trending upwards, and the accompanying indicators turning upwards. The MACD indicator showed decreasing selling pressure, indicating a bullish bias on the daily chart.
Potential Buying Area: $5000~$5050
SL: 4950
TP1: $5100~$5150
TP2: $5200
TP3: 🚀
On the hourly chart, gold prices continued to fall after opening, bottoming out at $5044 before rebounding. Currently, it is trading around $5060. The 5-day moving average is trending downwards, and the trend indicators are bearish. The MACD indicator's fast and slow lines are above the zero line, but the crossover is downwards, indicating increasing selling pressure and a short-term downward bias. Given the bullish daily chart, we recommend waiting for a pullback to support levels to buy or a short-term selling strategy.
#GoldSilverRally #GOLD #BullishMomentum
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Our $UNI Short trade is in huge profit Now set stoploss to entry and let it go. Or You can take Profit. I will close my trade at 4.041 Trade #UNI Here 👇👇👇 {spot}(NILUSDT)
Our $UNI Short trade is in huge profit
Now set stoploss to entry and let it go.
Or You can take Profit.
I will close my trade at 4.041
Trade #UNI Here 👇👇👇
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‎$CHZ rejected the 0.04020 high earlier and has been forming lower highs since then. Price bounced from 0.03822 but the recovery is weak and currently trading around 0.03864 below short-term resistance. As long as it stays under the 0.03920–0.03940 zone, sellers still have control. I’m expecting another push toward the recent low, with the main downside target around 0.03820. A clean break above resistance would invalidate this setup. ‎ ‎Short CHZ ‎Entry Zone: 0.03880 – 0.03920 ‎Stop Loss: 0.03980 ‎I don’t Use Stoploss ‎TP1: 0.03830 ‎TP2: 0.03820 ‎Or from 100% to 500% ‎ ‎This is a scalp trade. Use 20x to 50x leverage with a margin of 1% to 5%. Book partial profit at TP1 and move stop-loss to entry. {spot}(STGUSDT)
$CHZ rejected the 0.04020 high earlier and has been forming lower highs since then. Price bounced from 0.03822 but the recovery is weak and currently trading around 0.03864 below short-term resistance. As long as it stays under the 0.03920–0.03940 zone, sellers still have control. I’m expecting another push toward the recent low, with the main downside target around 0.03820. A clean break above resistance would invalidate this setup.

‎Short CHZ
‎Entry Zone: 0.03880 – 0.03920
‎Stop Loss: 0.03980
‎I don’t Use Stoploss
‎TP1: 0.03830
‎TP2: 0.03820
‎Or from 100% to 500%

‎This is a scalp trade. Use 20x to 50x leverage with a margin of 1% to 5%. Book partial profit at TP1 and move stop-loss to entry.
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$ALLO X2 → 0.12 PRINT 🐾 SOO••••• ALLO 0.0793 +26.27% BILL'S 🔸 LOOKS $ALLO HARD BULLISH 💥 AFTER BREAK BARRIER 🚧 QUICKLY EARN 2x 💫 FAST ⏩ BUy NOw HOLD 🛡️ TARGET 🔸 0.085 🔸0.088 🔸0.095 SL 🛑 : 0.050 {spot}(ATMUSDT)
$ALLO X2 → 0.12 PRINT 🐾 SOO•••••
ALLO
0.0793
+26.27%
BILL'S 🔸 LOOKS $ALLO HARD BULLISH 💥 AFTER BREAK BARRIER 🚧 QUICKLY EARN 2x 💫 FAST ⏩ BUy NOw HOLD 🛡️ TARGET 🔸 0.085 🔸0.088 🔸0.095
SL 🛑 : 0.050
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