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Farazdigitrade

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Predictions about $AAVEThe following professional technical analysis evaluates Aave ($AAVE ) as of February 2026, incorporating multi-timeframe structural shifts, momentum indicators, and liquidity mapping. 1. Market Structure Analysis 1D (Macro): Bearish Control. The daily timeframe is dominated by a clear sequence of Lower Highs (LH) and Lower Lows (LL) originating from the $160+ resistance in Q4 2025. A significant macro bottom was established at **$92.25** in early February. While a recovery is underway, the structure remains bearish until a daily candle closes above the $130.00 pivot. 4H (Medium-Term): Bullish Reversal Attempt. Price has printed a set of Higher Lows ($106.85 → $111.99). This suggests a transition from a vertical sell-off to a trending recovery. 1H (Short-Term): Consolidation. Currently oscillating around the $118.00 psychological level. A failure to hold this level would signal a retest of the $112.00 support. 2. Technical Indicators & Momentum 200-Day EMA: Currently trending around $140.00 (sloping downward). As long as AAVE remains below this level, the overall trend bias is Bearish. A touch of the 200 EMA would likely act as a high-probability "sell the rip" zone for swing traders. RSI (14) Assessment: Daily: 42.23 (Neutral-Bearish). The RSI has recovered from oversold territory (<30) but remains below the 50-median line, indicating that bulls do not yet have control. Divergence: A Hidden Bullish Divergence is forming on the 4H timeframe; price is making higher lows while the RSI makes lower lows, often a precursor to a volatile move upward. Liquidity Mapping: Significant sell-side liquidity (SSL) sits just below $110.00. Institutional "stop-hunts" are likely in this area to flush out retail longs before a sustained rally to $130. Buy-side liquidity (BSL) is concentrated above $132.00. 4. Correlation & Volume Profile BTC Correlation: AAVE maintains a 0.84 correlation with Bitcoin. Any analysis is contingent on BTC holding the $65,000 support. If BTC drops below $63k, AAVE’s structural supports ($112) are likely to fail regardless of internal fundamentals. Volume Analysis: The recent bounce from $92 was accompanied by declining volume, a characteristic of a "dead cat bounce" or low-conviction recovery. A high-volume breakout (> $400M daily) at $130 is required for trend confirmation. 5. Probabilistic Scenarios 🟢 Bullish Scenario (Trend Reversal) Condition: AAVE sweeps liquidity at $110, followed by a strong 4H close back above $118. Primary Target: $130.00 (Initial), $145.00 (200 EMA). Invalidation: A daily close below $102.35. 🔴 Bearish Scenario (Trend Continuation) Condition: Rejection at the $125 supply zone with a loss of the $118 pivot. Primary Target: Retest of $92.25, with potential extension to $75.00 (Extreme Support). Invalidation: A daily close above $130.00. Outlook Summary Short-Term (1–2 Weeks): Neutral-Bullish. Expect a "shakeout" toward $110 followed by a move to test the $128–$130 resistance zone. Mid-Term (1–3 Months): Neutral-Bearish. AAVE remains in a macro downtrend. Until the $140 (200 EMA) is reclaimed and flipped to support, every rally should be treated as a potential exit opportunity for long-term holders. #StrategyBTCPurchase #BTCVSGOLD #USJobsData #farazdigitrade #AAVE Disclaimer: These articles are just only a prediction about the coin according to the latest trends and past history. Trade at your own risk.

Predictions about $AAVE

The following professional technical analysis evaluates Aave ($AAVE ) as of February 2026, incorporating multi-timeframe structural shifts, momentum indicators, and liquidity mapping.
1. Market Structure Analysis
1D (Macro): Bearish Control. The daily timeframe is dominated by a clear sequence of Lower Highs (LH) and Lower Lows (LL) originating from the $160+ resistance in Q4 2025. A significant macro bottom was established at **$92.25** in early February. While a recovery is underway, the structure remains bearish until a daily candle closes above the $130.00 pivot.
4H (Medium-Term): Bullish Reversal Attempt. Price has printed a set of Higher Lows ($106.85 → $111.99). This suggests a transition from a vertical sell-off to a trending recovery.
1H (Short-Term): Consolidation. Currently oscillating around the $118.00 psychological level. A failure to hold this level would signal a retest of the $112.00 support.
2. Technical Indicators & Momentum
200-Day EMA: Currently trending around $140.00 (sloping downward). As long as AAVE remains below this level, the overall trend bias is Bearish. A touch of the 200 EMA would likely act as a high-probability "sell the rip" zone for swing traders.
RSI (14) Assessment:
Daily: 42.23 (Neutral-Bearish). The RSI has recovered from oversold territory (<30) but remains below the 50-median line, indicating that bulls do not yet have control.
Divergence: A Hidden Bullish Divergence is forming on the 4H timeframe; price is making higher lows while the RSI makes lower lows, often a precursor to a volatile move upward.
Liquidity Mapping: Significant sell-side liquidity (SSL) sits just below $110.00. Institutional "stop-hunts" are likely in this area to flush out retail longs before a sustained rally to $130. Buy-side liquidity (BSL) is concentrated above $132.00.
4. Correlation & Volume Profile
BTC Correlation: AAVE maintains a 0.84 correlation with Bitcoin. Any analysis is contingent on BTC holding the $65,000 support. If BTC drops below $63k, AAVE’s structural supports ($112) are likely to fail regardless of internal fundamentals.
Volume Analysis: The recent bounce from $92 was accompanied by declining volume, a characteristic of a "dead cat bounce" or low-conviction recovery. A high-volume breakout (> $400M daily) at $130 is required for trend confirmation.
5. Probabilistic Scenarios
🟢 Bullish Scenario (Trend Reversal)
Condition: AAVE sweeps liquidity at $110, followed by a strong 4H close back above $118.
Primary Target: $130.00 (Initial), $145.00 (200 EMA).
Invalidation: A daily close below $102.35.
🔴 Bearish Scenario (Trend Continuation)
Condition: Rejection at the $125 supply zone with a loss of the $118 pivot.
Primary Target: Retest of $92.25, with potential extension to $75.00 (Extreme Support).
Invalidation: A daily close above $130.00.
Outlook Summary
Short-Term (1–2 Weeks): Neutral-Bullish. Expect a "shakeout" toward $110 followed by a move to test the $128–$130 resistance zone.
Mid-Term (1–3 Months): Neutral-Bearish. AAVE remains in a macro downtrend. Until the $140 (200 EMA) is reclaimed and flipped to support, every rally should be treated as a potential exit opportunity for long-term holders.
#StrategyBTCPurchase #BTCVSGOLD #USJobsData #farazdigitrade #AAVE

Disclaimer: These articles are just only a prediction about the coin according to the latest trends and past history. Trade at your own risk.
Übersetzung ansehen
I am sorry that I didn't post any predictions or updates from the past two days because I was busy in some household work but from now the content will be posted on regular basis. ❤️☺️
I am sorry that I didn't post any predictions or updates from the past two days because I was busy in some household work but from now the content will be posted on regular basis. ❤️☺️
Institutionelle Analyse: Injective (INJ)$INJ Institutionelle Analyse: Injective (INJ) Datum: 19. Februar 2026 Analystenhinweis: Die Marktstruktur bleibt von einem makro-bärischen Regime dominiert, das der Korrektur von 2024–2025 folgt. Derzeit komprimiert die Preisaktion jedoch innerhalb einer Hochzins-Daily Demand Zone, was auf eine potenzielle Akkumulationsphase oder einen terminalen Shakeout vor einer strukturellen Rotation hindeutet. 1. Marktstrukturanalyse HTF (Täglich/Wöchentlich): Bärisch. Das Asset setzt weiterhin tiefere Tiefs (LL) und tiefere Hochs (LH) in Szene. Der jüngste Bruch der Struktur (BOS) trat Ende 2025 auf und bestätigte den Trend in Richtung des psychologischen Bodens von $3.00.

Institutionelle Analyse: Injective (INJ)

$INJ
Institutionelle Analyse: Injective (INJ)
Datum: 19. Februar 2026
Analystenhinweis: Die Marktstruktur bleibt von einem makro-bärischen Regime dominiert, das der Korrektur von 2024–2025 folgt. Derzeit komprimiert die Preisaktion jedoch innerhalb einer Hochzins-Daily Demand Zone, was auf eine potenzielle Akkumulationsphase oder einen terminalen Shakeout vor einer strukturellen Rotation hindeutet.
1. Marktstrukturanalyse
HTF (Täglich/Wöchentlich): Bärisch. Das Asset setzt weiterhin tiefere Tiefs (LL) und tiefere Hochs (LH) in Szene. Der jüngste Bruch der Struktur (BOS) trat Ende 2025 auf und bestätigte den Trend in Richtung des psychologischen Bodens von $3.00.
$AVA Technische Analyse Aufschlüsselung (Kompakt & Umsetzbar)$AVA AVA Technische Analyse Aufschlüsselung (Kompakt & Umsetzbar) Die meisten Menschen handeln mit Emotionen. Smarte Trader lesen die Struktur. Hier ist die klare technische Sicht auf AVA – kein Hype, nur Chart-Logik. 1️⃣ Marktstruktur zuerst (immer) AVA ist ein Altcoin mit niedriger bis mittlerer Liquidität. Das bedeutet: Bewegungen sind schärfer Fake-Ausbrüche sind häufig Wale können dünnes Volumen manipulieren Bevor Sie eintreten, fragen Sie: Ist der Trend bullish (höhere Hochs, höhere Tiefs) oder bearish (niedrigere Hochs, niedrigere Tiefs) im Tageszeitrahmen? Wenn Sie das nicht klar beantworten können – handeln Sie nicht damit.

$AVA Technische Analyse Aufschlüsselung (Kompakt & Umsetzbar)

$AVA
AVA Technische Analyse Aufschlüsselung (Kompakt & Umsetzbar)
Die meisten Menschen handeln mit Emotionen. Smarte Trader lesen die Struktur.
Hier ist die klare technische Sicht auf AVA – kein Hype, nur Chart-Logik.
1️⃣ Marktstruktur zuerst (immer)
AVA ist ein Altcoin mit niedriger bis mittlerer Liquidität. Das bedeutet:
Bewegungen sind schärfer
Fake-Ausbrüche sind häufig
Wale können dünnes Volumen manipulieren
Bevor Sie eintreten, fragen Sie: Ist der Trend bullish (höhere Hochs, höhere Tiefs) oder bearish (niedrigere Hochs, niedrigere Tiefs) im Tageszeitrahmen?
Wenn Sie das nicht klar beantworten können – handeln Sie nicht damit.
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