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Rai-

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🚨 $METIS TRADE SETUP 👀 📊 $METIS TRADE PLAN Bias: SHORT (distribution at resistance) Entry: $6.70 – $6.90 TP1: $6.10 TP2: $5.92 TP3: $5.50 SL: $7.10 $METIS is trading around $6.53 after a +22% news-driven rally. Technicals remain bullish, but smart money is distributing, creating a high-risk zone near resistance. 🧠 Why SHORT • Strong rally already priced in (+22%) • RSI 66 → near overbought • Upper Bollinger Band at $6.89 → rejection zone • Whales selling aggressively (L/S ratio collapsed) • 95/125 short whales in profit → downside control • Top traders net selling → distribution confirmed • News-driven pumps often fade after liquidity grab ⚠️ Invalidation • Clean break & hold above $7.10 → bearish thesis fails • In that case, expect continuation toward $7.80+ 📌 Summary Retail is chasing AI hype, whales are exiting. Best edge is shorting strength, not buying highs. Trade smart, not emotional 📉🔥 {future}(METISUSDT)
🚨 $METIS TRADE SETUP 👀

📊 $METIS TRADE PLAN

Bias: SHORT (distribution at resistance)

Entry: $6.70 – $6.90
TP1: $6.10
TP2: $5.92
TP3: $5.50

SL: $7.10

$METIS is trading around $6.53 after a +22% news-driven rally. Technicals remain bullish, but smart money is distributing, creating a high-risk zone near resistance.

🧠 Why SHORT

• Strong rally already priced in (+22%)
• RSI 66 → near overbought
• Upper Bollinger Band at $6.89 → rejection zone
• Whales selling aggressively (L/S ratio collapsed)
• 95/125 short whales in profit → downside control
• Top traders net selling → distribution confirmed
• News-driven pumps often fade after liquidity grab

⚠️ Invalidation

• Clean break & hold above $7.10 → bearish thesis fails
• In that case, expect continuation toward $7.80+

📌 Summary

Retail is chasing AI hype, whales are exiting.
Best edge is shorting strength, not buying highs.

Trade smart, not emotional 📉🔥
🚨 $ZEC LONG TRADE SETUP 👀 📈 $ZEC TRADE PLAN Bias: LONG (breakout & squeeze continuation) Entry (Aggressive): $442 – $447 Entry (Conservative): Break & hold above $460 TP1: $457 TP2: $485 TP3: $520+ SL: $432 (below EMA cluster / triangle invalidation) $ZEC is showing clean bullish continuation, now trading around $447. This move is whale-led, technically strong, and setting up a high-probability breakout + short squeeze if resistance gives way. 🧠 Why LONG • Massive whale withdrawals (50,000 ZEC ≈ $22M) → spot accumulation • Price holding above all key EMAs ($430–$437) • Ascending triangle → bullish continuation structure • RSI 59 → strong momentum, not overbought • MACD bullish → trend strength intact • Short whales underwater (avg ~$429) → short squeeze fuel • Long/Short ratio +30% spike → coordinated smart money activity • New Binance ZEC/USD1 pair → improved liquidity & accessibility ⚠️ Key Levels to Watch • $457–$460 → breakout trigger (squeeze zone) • $439–$432 → must hold to keep bullish structure • Acceptance above $460 opens path toward $485 → $520 📌 Risk Note If price fails at $457–$460 and loses $439, expect a pullback toward EMAs before next attempt. As long as whales keep withdrawing and price holds EMAs, bias stays bullish. Strong setup — this is smart-money driven, not retail noise 📊🔥
🚨 $ZEC LONG TRADE SETUP 👀

📈 $ZEC TRADE PLAN

Bias: LONG (breakout & squeeze continuation)

Entry (Aggressive): $442 – $447
Entry (Conservative): Break & hold above $460

TP1: $457
TP2: $485
TP3: $520+

SL: $432 (below EMA cluster / triangle invalidation)

$ZEC is showing clean bullish continuation, now trading around $447. This move is whale-led, technically strong, and setting up a high-probability breakout + short squeeze if resistance gives way.

🧠 Why LONG

• Massive whale withdrawals (50,000 ZEC ≈ $22M) → spot accumulation
• Price holding above all key EMAs ($430–$437)
• Ascending triangle → bullish continuation structure
• RSI 59 → strong momentum, not overbought
• MACD bullish → trend strength intact
• Short whales underwater (avg ~$429) → short squeeze fuel
• Long/Short ratio +30% spike → coordinated smart money activity
• New Binance ZEC/USD1 pair → improved liquidity & accessibility

⚠️ Key Levels to Watch

• $457–$460 → breakout trigger (squeeze zone)
• $439–$432 → must hold to keep bullish structure
• Acceptance above $460 opens path toward $485 → $520

📌 Risk Note

If price fails at $457–$460 and loses $439, expect a pullback toward EMAs before next attempt.
As long as whales keep withdrawing and price holds EMAs, bias stays bullish.

Strong setup — this is smart-money driven, not retail noise 📊🔥
🚨 $ZBT SHORT TRADE SETUP 👀 📉 $ZBT TRADE PLAN Bias: SHORT (mean reversion / squeeze exhaustion) Entry: $0.114 – $0.118 TP1: $0.102 TP2: $0.095 TP3: $0.087 SL: $0.123 $ZBT is in a short-squeeze driven pump, now around $0.1118. Momentum is strong but technically overheated, and whale positioning is conflicted — perfect conditions for either squeeze extension or sharp pullback. 🧠 Why SHORT • RSI >72 → overbought, exhaustion risk • Price above upper Bollinger Band → extension • Rally driven by short squeeze, not fresh demand • Some mega whales still holding shorts → volatility spike likely • Retail L/S very bullish → late longs at risk • Strong resistance zone near $0.118–$0.12 ⚠️ Note If price accepts above $0.118, squeeze can extend → avoid shorts. Failure to hold $0.102 confirms reversal momentum. Trade the reaction, not the hype 📊🔥 {future}(ZBTUSDT)
🚨 $ZBT SHORT TRADE SETUP 👀

📉 $ZBT TRADE PLAN

Bias: SHORT (mean reversion / squeeze exhaustion)

Entry: $0.114 – $0.118
TP1: $0.102
TP2: $0.095
TP3: $0.087
SL: $0.123

$ZBT is in a short-squeeze driven pump, now around $0.1118. Momentum is strong but technically overheated, and whale positioning is conflicted — perfect conditions for either squeeze extension or sharp pullback.

🧠 Why SHORT

• RSI >72 → overbought, exhaustion risk
• Price above upper Bollinger Band → extension
• Rally driven by short squeeze, not fresh demand
• Some mega whales still holding shorts → volatility spike likely
• Retail L/S very bullish → late longs at risk
• Strong resistance zone near $0.118–$0.12

⚠️ Note

If price accepts above $0.118, squeeze can extend → avoid shorts.
Failure to hold $0.102 confirms reversal momentum.

Trade the reaction, not the hype 📊🔥
🚨 $BANANA LONG TRADE SETUP 👀 📈 $BANANA TRADE PLAN Bias: LONG (trend continuation / squeeze setup) Entry: $7.70 – $7.85 TP1: $8.16 TP2: $8.60 TP3: $8.95 SL: $7.45 $BANANA just pulled back to $7.80 after a +30% breakout. Trend is still bullish, but price is now sitting near short-term support where continuation or failure will be decided. 🧠 Why LONG • Broke out +30%, still above key EMAs • RSI ~65 → strong, not overbought • MACD bullish → momentum intact • Whales flipped long (+35%), top traders aggressive • Shorts trapped from ~$7.65 → squeeze above $8.16 • Pullback looks corrective, not distribution ⚠️ Note Lose $7.65 and this becomes a failed breakout → avoid longs. Clean break & hold above $8.16 = momentum acceleration. Trade with structure, not emotion 📊🔥
🚨 $BANANA LONG TRADE SETUP 👀

📈 $BANANA TRADE PLAN

Bias: LONG (trend continuation / squeeze setup)

Entry: $7.70 – $7.85
TP1: $8.16
TP2: $8.60
TP3: $8.95
SL: $7.45

$BANANA just pulled back to $7.80 after a +30% breakout. Trend is still bullish, but price is now sitting near short-term support where continuation or failure will be decided.

🧠 Why LONG

• Broke out +30%, still above key EMAs
• RSI ~65 → strong, not overbought
• MACD bullish → momentum intact
• Whales flipped long (+35%), top traders aggressive
• Shorts trapped from ~$7.65 → squeeze above $8.16
• Pullback looks corrective, not distribution

⚠️ Note

Lose $7.65 and this becomes a failed breakout → avoid longs.
Clean break & hold above $8.16 = momentum acceleration.

Trade with structure, not emotion 📊🔥
Still holding my shorts. $BEAT running hard — $60 → $2,350 and counting 🫡🤑 $ASR delivered heavy — $48 → $1,000 💪🥳 $RAVE still in progress — $100 → $435 (+435%) so far. Different trades, different pace. Risk managed, plan respected. That’s trading {future}(BEATUSDT) {future}(ASRUSDT) {future}(RAVEUSDT)
Still holding my shorts.
$BEAT running hard — $60 → $2,350 and counting 🫡🤑

$ASR delivered heavy — $48 → $1,000 💪🥳

$RAVE still in progress — $100 → $435 (+435%) so far.

Different trades, different pace.
Risk managed, plan respected. That’s trading
⚠️ $PIPPIN — RIGGED BEHAVIOR 🤬 but but but...Hit all the TP of my signals 🤑🥳💪 {future}(PIPPINUSDT)
⚠️ $PIPPIN — RIGGED BEHAVIOR 🤬 but but but...Hit all the TP of my signals 🤑🥳💪
Rai-
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🚨 $pippin TRADE SETUP 👀

📈 $PIPPIN LONG TRADE PLAN

Bias: LONG (squeeze continuation, high-risk momentum)

Entry: $0.46 – $0.48
TP1: $0.51
TP2: $0.56
TP3: $0.62 (full squeeze extension)
SL: $0.42 (structure invalidation)

$pippin is counter-trend rallying hard, now around $0.484, while the broader market is weak. Whales are fully in control, retail shorts are building, and a short-squeeze continuation is possible — but volatility is high due to profit-taking.

🧠 Why LONG

• Whales heavily long (L/S ratio ~10.2)
• Long whales in deep profit (avg entry ~$0.33)
• Retail shorts increasing → squeeze fuel
• Price above all key EMAs → trend intact
• Strong volume confirms buyer control
• AI + Solana meme narrative = hype momentum

⚠️ Risk Notes

• Smart money profit-taking → sharp wicks likely
• Memecoin = insider / whale dump risk
• RSI rising → pullbacks can be violent

👉 Clean break & hold above $0.51 = squeeze acceleration
👉 Lose $0.42 = momentum fails, exit fast

Trade strength, manage risk 📊🔥
{future}(PIPPINUSDT)
🚨 $ZBT TRADE SETUP 👀 Bias: 📉 SHORT (rejection at resistance) Entry: $0.0940 – $0.0960 TP1: $0.0870 TP2: $0.0810 TP3: $0.0740 SL: $0.0990 ZBT just pumped hard to $0.0938, but this move looks retail-driven. Whales are selling into strength and building shorts near resistance — classic distribution after a volume spike. 🧠 Why SHORT • +29% pump after ATL → relief rally • Whales cut longs (-38%), added shorts • Strong short wall near $0.095 • Retail chasing volume (490% spike) • RSI ~64 → room to dump, not oversold • Smart money using pump as exit liquidity ⚠️ Note If price accepts above $0.096, short idea weakens and squeeze risk increases. Below $0.087 = momentum flips bearish fast. 👉 Fade the hype, follow the whales 📊🔥 {future}(ZBTUSDT)
🚨 $ZBT TRADE SETUP 👀

Bias: 📉 SHORT (rejection at resistance)

Entry: $0.0940 – $0.0960
TP1: $0.0870
TP2: $0.0810
TP3: $0.0740
SL: $0.0990

ZBT just pumped hard to $0.0938, but this move looks retail-driven. Whales are selling into strength and building shorts near resistance — classic distribution after a volume spike.

🧠 Why SHORT

• +29% pump after ATL → relief rally
• Whales cut longs (-38%), added shorts
• Strong short wall near $0.095
• Retail chasing volume (490% spike)
• RSI ~64 → room to dump, not oversold
• Smart money using pump as exit liquidity

⚠️ Note

If price accepts above $0.096, short idea weakens and squeeze risk increases.
Below $0.087 = momentum flips bearish fast.

👉 Fade the hype, follow the whales 📊🔥
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Ανατιμητική
🚨 $MOVE TRADE SETUP 👀 $MOVE had a strong breakout but is now pulling back to $0.0364 after getting overbought. Trend is still bullish, but short-term momentum cooled as profit-taking kicked in. This sets up a dip-buy or breakdown scenario. 📈 $MOVE TRADE PLAN Bias: LONG (pullback continuation) Entry: $0.0350 – $0.0360 TP1: $0.0385 TP2: $0.0420 TP3: $0.0445 (short squeeze zone) SL: $0.0330 🧠 Why LONG • Broke above key EMAs → structure bullish • MACD positive → trend intact • Whales added longs (+24.5%) → conviction • Strong community + campaign hype • Pullback after RSI 73 = healthy reset, not breakdown ⚠️ Risk Note • RSI was overbought → volatility high • Hourly outflows show profit-taking • Lose $0.033 = setup invalid → trend weakens 👉 Buy the dip, not the top 👉 Momentum resumes if $0.038 breaks 📊🔥
🚨 $MOVE TRADE SETUP 👀

$MOVE had a strong breakout but is now pulling back to $0.0364 after getting overbought. Trend is still bullish, but short-term momentum cooled as profit-taking kicked in. This sets up a dip-buy or breakdown scenario.

📈 $MOVE TRADE PLAN

Bias: LONG (pullback continuation)

Entry: $0.0350 – $0.0360
TP1: $0.0385
TP2: $0.0420
TP3: $0.0445 (short squeeze zone)
SL: $0.0330

🧠 Why LONG

• Broke above key EMAs → structure bullish
• MACD positive → trend intact
• Whales added longs (+24.5%) → conviction
• Strong community + campaign hype
• Pullback after RSI 73 = healthy reset, not breakdown

⚠️ Risk Note

• RSI was overbought → volatility high
• Hourly outflows show profit-taking
• Lose $0.033 = setup invalid → trend weakens

👉 Buy the dip, not the top
👉 Momentum resumes if $0.038 breaks 📊🔥
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Ανατιμητική
🚨 $FIL TRADE SETUP 👀 📈 FIL TRADE PLAN (SCALP) Bias: LONG (oversold bounce, high risk) Entry: $1.25 – $1.27 TP1: $1.30 TP2: $1.34 TP3: $1.40 (only if squeeze accelerates) SL: $1.22 (hard stop) FIL is deeply oversold, trading around $1.27 below all key EMAs. Trend is still bearish, but extreme RSI + short covering from smart money opens the door for a short-term relief bounce. This is a counter-trend scalp, not a trend reversal. 🧠 Why LONG (Scalp Only) • RSI 26.5 → deeply oversold • Price sitting at lower Bollinger Band ($1.26) • Smart money flipped L/S 0.27 → 1.01 (shorts closed) • Minor inflows show dip-buying starting • Bounce zone if $1.26 holds ⚠️ Major Risks • Overall trend still bearish • MACD negative → momentum against longs • Long whales underwater (avg ~$1.42) • Profitable short whales may re-press price • Weak fundamentals (declining hashrate) 👉 This is a bounce trade, not a hold 👉 Lose $1.26 = breakdown → flip bearish Trade quick, manage risk tightly 📉📊
🚨 $FIL TRADE SETUP 👀

📈 FIL TRADE PLAN (SCALP)

Bias: LONG (oversold bounce, high risk)

Entry: $1.25 – $1.27
TP1: $1.30
TP2: $1.34
TP3: $1.40 (only if squeeze accelerates)
SL: $1.22 (hard stop)

FIL is deeply oversold, trading around $1.27 below all key EMAs. Trend is still bearish, but extreme RSI + short covering from smart money opens the door for a short-term relief bounce. This is a counter-trend scalp, not a trend reversal.

🧠 Why LONG (Scalp Only)

• RSI 26.5 → deeply oversold
• Price sitting at lower Bollinger Band ($1.26)
• Smart money flipped L/S 0.27 → 1.01 (shorts closed)
• Minor inflows show dip-buying starting
• Bounce zone if $1.26 holds

⚠️ Major Risks

• Overall trend still bearish
• MACD negative → momentum against longs
• Long whales underwater (avg ~$1.42)
• Profitable short whales may re-press price
• Weak fundamentals (declining hashrate)

👉 This is a bounce trade, not a hold
👉 Lose $1.26 = breakdown → flip bearish

Trade quick, manage risk tightly 📉📊
🚨 $pippin TRADE SETUP 👀 📈 $PIPPIN LONG TRADE PLAN Bias: LONG (squeeze continuation, high-risk momentum) Entry: $0.46 – $0.48 TP1: $0.51 TP2: $0.56 TP3: $0.62 (full squeeze extension) SL: $0.42 (structure invalidation) $pippin is counter-trend rallying hard, now around $0.484, while the broader market is weak. Whales are fully in control, retail shorts are building, and a short-squeeze continuation is possible — but volatility is high due to profit-taking. 🧠 Why LONG • Whales heavily long (L/S ratio ~10.2) • Long whales in deep profit (avg entry ~$0.33) • Retail shorts increasing → squeeze fuel • Price above all key EMAs → trend intact • Strong volume confirms buyer control • AI + Solana meme narrative = hype momentum ⚠️ Risk Notes • Smart money profit-taking → sharp wicks likely • Memecoin = insider / whale dump risk • RSI rising → pullbacks can be violent 👉 Clean break & hold above $0.51 = squeeze acceleration 👉 Lose $0.42 = momentum fails, exit fast Trade strength, manage risk 📊🔥 {future}(PIPPINUSDT)
🚨 $pippin TRADE SETUP 👀

📈 $PIPPIN LONG TRADE PLAN

Bias: LONG (squeeze continuation, high-risk momentum)

Entry: $0.46 – $0.48
TP1: $0.51
TP2: $0.56
TP3: $0.62 (full squeeze extension)
SL: $0.42 (structure invalidation)

$pippin is counter-trend rallying hard, now around $0.484, while the broader market is weak. Whales are fully in control, retail shorts are building, and a short-squeeze continuation is possible — but volatility is high due to profit-taking.

🧠 Why LONG

• Whales heavily long (L/S ratio ~10.2)
• Long whales in deep profit (avg entry ~$0.33)
• Retail shorts increasing → squeeze fuel
• Price above all key EMAs → trend intact
• Strong volume confirms buyer control
• AI + Solana meme narrative = hype momentum

⚠️ Risk Notes

• Smart money profit-taking → sharp wicks likely
• Memecoin = insider / whale dump risk
• RSI rising → pullbacks can be violent

👉 Clean break & hold above $0.51 = squeeze acceleration
👉 Lose $0.42 = momentum fails, exit fast

Trade strength, manage risk 📊🔥
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Ανατιμητική
Shared the LONG setup earlier. Structure confirmed, shorts got trapped, momentum followed through.😎🥳 📈 $PLAY delivered exactly as planned TP1 hit smoothly — no chase, no panic, just execution.
Shared the LONG setup earlier.
Structure confirmed, shorts got trapped, momentum followed through.😎🥳

📈 $PLAY delivered exactly as planned
TP1 hit smoothly — no chase, no panic, just execution.
Rai-
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🚨 $PLAY LONG TRADE SETUP 👀

$PLAY just printed a short-squeeze driven breakout, now trading around $0.0445. Whales flipped aggressively long, retail is trapped short — momentum is bullish but volatility is extreme.

📈 $PLAY TRADE PLAN

Bias: LONG (squeeze continuation, momentum scalp)

Entry: $0.043 – $0.044
TP1: $0.049
TP2: $0.055
TP3: $0.062 (extended squeeze)
SL: $0.038 (key support / whale entry zone)

🧠 Why LONG

• Whales flipped long aggressively (L/S ratio 3.86)
• Long whales in profit (avg entry $0.0326)
• Retail heavily short → fuel for squeeze
• Broke key resistance + above all EMAs
• Strong buy pressure, taker buys dominating
• Airdrop + $3M trading competition = hype fuel

⚠️ Risk Notes

• RSI ~67 → nearing overbought
• Some smart-money spot profit-taking → watch closely
• If whales unwind → fast dump possible

👉 Above $0.0495 = squeeze acceleration
👉 Below $0.038 = trend breaks, exit immediately

Trade momentum, protect capital 📊🔥
🚨 $PLAY LONG TRADE SETUP 👀 $PLAY just printed a short-squeeze driven breakout, now trading around $0.0445. Whales flipped aggressively long, retail is trapped short — momentum is bullish but volatility is extreme. 📈 $PLAY TRADE PLAN Bias: LONG (squeeze continuation, momentum scalp) Entry: $0.043 – $0.044 TP1: $0.049 TP2: $0.055 TP3: $0.062 (extended squeeze) SL: $0.038 (key support / whale entry zone) 🧠 Why LONG • Whales flipped long aggressively (L/S ratio 3.86) • Long whales in profit (avg entry $0.0326) • Retail heavily short → fuel for squeeze • Broke key resistance + above all EMAs • Strong buy pressure, taker buys dominating • Airdrop + $3M trading competition = hype fuel ⚠️ Risk Notes • RSI ~67 → nearing overbought • Some smart-money spot profit-taking → watch closely • If whales unwind → fast dump possible 👉 Above $0.0495 = squeeze acceleration 👉 Below $0.038 = trend breaks, exit immediately Trade momentum, protect capital 📊🔥
🚨 $PLAY LONG TRADE SETUP 👀

$PLAY just printed a short-squeeze driven breakout, now trading around $0.0445. Whales flipped aggressively long, retail is trapped short — momentum is bullish but volatility is extreme.

📈 $PLAY TRADE PLAN

Bias: LONG (squeeze continuation, momentum scalp)

Entry: $0.043 – $0.044
TP1: $0.049
TP2: $0.055
TP3: $0.062 (extended squeeze)
SL: $0.038 (key support / whale entry zone)

🧠 Why LONG

• Whales flipped long aggressively (L/S ratio 3.86)
• Long whales in profit (avg entry $0.0326)
• Retail heavily short → fuel for squeeze
• Broke key resistance + above all EMAs
• Strong buy pressure, taker buys dominating
• Airdrop + $3M trading competition = hype fuel

⚠️ Risk Notes

• RSI ~67 → nearing overbought
• Some smart-money spot profit-taking → watch closely
• If whales unwind → fast dump possible

👉 Above $0.0495 = squeeze acceleration
👉 Below $0.038 = trend breaks, exit immediately

Trade momentum, protect capital 📊🔥
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Υποτιμητική
👀 Who caught $RAVE early? Structure stayed bearish. Rallies got sold. Trend respected — and the move delivered. 📉 #BEAT played out exactly as planned. At the same time: • $BEAT is in play • $NIGHT followed the same script — signal shared early, patience paid This is not about one trade. This is about reading structure, waiting for levels, and executing without emotion. ⚠️ Volatility is high. SL is not optional. Size smart, respect risk, let the trade work. More setups are forming. Stay focused — market rewards discipline 🧠💪 {future}(BEATUSDT) {future}(RAVEUSDT) {future}(NIGHTUSDT)
👀 Who caught $RAVE early?

Structure stayed bearish.
Rallies got sold.
Trend respected — and the move delivered.

📉 #BEAT played out exactly as planned.

At the same time:
• $BEAT is in play
• $NIGHT followed the same script — signal shared early, patience paid

This is not about one trade.
This is about reading structure, waiting for levels, and executing without emotion.

⚠️ Volatility is high.
SL is not optional.
Size smart, respect risk, let the trade work.

More setups are forming.
Stay focused — market rewards discipline 🧠💪
Rai-
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🚨 $RAVE TRADE SETUP 👀

📉 $RAVE SHORT TRADE PLAN

Bias: SHORT (fade volatility / rejection play)

Entry: $0.68 – $0.72
TP1: $0.55
TP2: $0.45
TP3: $0.35 – $0.30 (high-risk demand zone)
SL: $0.78

RAVE is back around $0.65 after extreme volatility. Despite contrarian whale buying earlier, structure remains distribution-heavy and driven by speculation, not strength.

🧠 Why SHORT

• Parabolic moves driven by hype + campaigns → unsustainable
• Massive speculative volume = churn, not accumulation
• Prior crash (-33%) shows weak hands dominance
• Long whales still deeply underwater (avg ~$0.49) → exit pressure
• Profitable shorts historically controlling volatility
• Market still in Fear → rallies likely sold

⚠️ Note
RAVE is not a spot hold right now. Treat it as a momentum scalp / volatility trade only.
Strong acceptance above $0.78 invalidates short bias.

Trade levels, not hype 📉🔥
{future}(RAVEUSDT)
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Ανατιμητική
Dear Followers I posted earlier I will go long on $PIPPIN and here is the results 🤑🥳😎 {future}(PIPPINUSDT)
Dear Followers I posted earlier I will go long on $PIPPIN
and here is the results 🤑🥳😎
Rai-
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Ανατιμητική
🚨 $PIPPIN TRADE SETUP 👀

📈 $PIPPIN LONG TRADE PLAN

Bias: LONG (breakout / squeeze play, not spot hold)

Entry: $0.40 – $0.42
TP1: $0.47
TP2: $0.52 (ATH retest)
TP3: $0.58 (extension if squeeze ignites)
SL: $0.36 (structure invalidation

$PIPPIN is trading around $0.427 after strong whale-driven upside. Structure is bullish, but RSI is stretched and insider concentration makes this a high-risk squeeze-or-dump zone.

🧠 Why LONG

• Whale longs ↑ +28%, shorts ↓ -26%
• Long/Short ratio 8.78 → strong bullish control
• Bullish flag structure intact
• Long whales in profit (avg ~$0.328) → confidence
• Short whales underwater → short squeeze potential

⚠️ Risk Warning

• RSI ~71 → overbought, pullbacks expected
• High insider supply = sudden dump risk
• Trade levels only, no FOMO chasing

If $0.47 breaks with volume → squeeze continuation
If $0.36 fails → bull trap confirmed

High risk, high reward 🎯📊
{future}(PIPPINUSDT)
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Υποτιμητική
🚨 TRADERS — BEWARE THE DOWNTREND 👀 $WLD ALERT 📉 $WLD SHORT PLAN (High-Probability Setup): • Entry Zone: $0.495 – $0.502 (weakness into resistance) • TP1: $0.480 • TP2: $0.465 • TP3: $0.440 • SL: $0.507 (above key resistance) $WLD is showing clear bearish dominance. Price currently trades at $0.4940, below all key EMAs (7, 25, 99), with technical momentum stacked against longs. Whales are aggressively exiting, token unlocks keep pouring supply, and an upcoming margin pair delisting adds extra pressure. Smart money is screaming short bias. 🧠 Why SHORT Here: • Price below all EMAs → sustained downtrend • MACD negative & RSI weak (43.4) → sellers in control • Long whales cut 38% positions, shorts 85% in profit → strong bearish conviction • Supply pressure from $19.25M token unlocks → potential flood of selling • Critical support at $0.49 under threat → high liquidation risk ⚠️ Don’t try to catch a falling knife. Patience + structure > emotion. Watch $0.49 closely—if it breaks, momentum could accelerate. Manage risk, scale shorts carefully, and let the trend do the work 📊🔥 {future}(WLDUSDT)
🚨 TRADERS — BEWARE THE DOWNTREND 👀 $WLD ALERT

📉 $WLD SHORT PLAN (High-Probability Setup):
• Entry Zone: $0.495 – $0.502 (weakness into resistance)
• TP1: $0.480
• TP2: $0.465
• TP3: $0.440
• SL: $0.507 (above key resistance)

$WLD is showing clear bearish dominance. Price currently trades at $0.4940, below all key EMAs (7, 25, 99), with technical momentum stacked against longs. Whales are aggressively exiting, token unlocks keep pouring supply, and an upcoming margin pair delisting adds extra pressure. Smart money is screaming short bias.

🧠 Why SHORT Here:
• Price below all EMAs → sustained downtrend
• MACD negative & RSI weak (43.4) → sellers in control
• Long whales cut 38% positions, shorts 85% in profit → strong bearish conviction
• Supply pressure from $19.25M token unlocks → potential flood of selling
• Critical support at $0.49 under threat → high liquidation risk

⚠️ Don’t try to catch a falling knife. Patience + structure > emotion. Watch $0.49 closely—if it breaks, momentum could accelerate.

Manage risk, scale shorts carefully, and let the trend do the work 📊🔥
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Ανατιμητική
🚨 $PIPPIN TRADE SETUP 👀 📈 $PIPPIN LONG TRADE PLAN Bias: LONG (breakout / squeeze play, not spot hold) Entry: $0.40 – $0.42 TP1: $0.47 TP2: $0.52 (ATH retest) TP3: $0.58 (extension if squeeze ignites) SL: $0.36 (structure invalidation $PIPPIN is trading around $0.427 after strong whale-driven upside. Structure is bullish, but RSI is stretched and insider concentration makes this a high-risk squeeze-or-dump zone. 🧠 Why LONG • Whale longs ↑ +28%, shorts ↓ -26% • Long/Short ratio 8.78 → strong bullish control • Bullish flag structure intact • Long whales in profit (avg ~$0.328) → confidence • Short whales underwater → short squeeze potential ⚠️ Risk Warning • RSI ~71 → overbought, pullbacks expected • High insider supply = sudden dump risk • Trade levels only, no FOMO chasing If $0.47 breaks with volume → squeeze continuation If $0.36 fails → bull trap confirmed High risk, high reward 🎯📊 {future}(PIPPINUSDT)
🚨 $PIPPIN TRADE SETUP 👀

📈 $PIPPIN LONG TRADE PLAN

Bias: LONG (breakout / squeeze play, not spot hold)

Entry: $0.40 – $0.42
TP1: $0.47
TP2: $0.52 (ATH retest)
TP3: $0.58 (extension if squeeze ignites)
SL: $0.36 (structure invalidation

$PIPPIN is trading around $0.427 after strong whale-driven upside. Structure is bullish, but RSI is stretched and insider concentration makes this a high-risk squeeze-or-dump zone.

🧠 Why LONG

• Whale longs ↑ +28%, shorts ↓ -26%
• Long/Short ratio 8.78 → strong bullish control
• Bullish flag structure intact
• Long whales in profit (avg ~$0.328) → confidence
• Short whales underwater → short squeeze potential

⚠️ Risk Warning

• RSI ~71 → overbought, pullbacks expected
• High insider supply = sudden dump risk
• Trade levels only, no FOMO chasing

If $0.47 breaks with volume → squeeze continuation
If $0.36 fails → bull trap confirmed

High risk, high reward 🎯📊
🚨 $RAVE TRADE SETUP 👀 📉 $RAVE SHORT TRADE PLAN Bias: SHORT (fade volatility / rejection play) Entry: $0.68 – $0.72 TP1: $0.55 TP2: $0.45 TP3: $0.35 – $0.30 (high-risk demand zone) SL: $0.78 RAVE is back around $0.65 after extreme volatility. Despite contrarian whale buying earlier, structure remains distribution-heavy and driven by speculation, not strength. 🧠 Why SHORT • Parabolic moves driven by hype + campaigns → unsustainable • Massive speculative volume = churn, not accumulation • Prior crash (-33%) shows weak hands dominance • Long whales still deeply underwater (avg ~$0.49) → exit pressure • Profitable shorts historically controlling volatility • Market still in Fear → rallies likely sold ⚠️ Note RAVE is not a spot hold right now. Treat it as a momentum scalp / volatility trade only. Strong acceptance above $0.78 invalidates short bias. Trade levels, not hype 📉🔥 {future}(RAVEUSDT)
🚨 $RAVE TRADE SETUP 👀

📉 $RAVE SHORT TRADE PLAN

Bias: SHORT (fade volatility / rejection play)

Entry: $0.68 – $0.72
TP1: $0.55
TP2: $0.45
TP3: $0.35 – $0.30 (high-risk demand zone)
SL: $0.78

RAVE is back around $0.65 after extreme volatility. Despite contrarian whale buying earlier, structure remains distribution-heavy and driven by speculation, not strength.

🧠 Why SHORT

• Parabolic moves driven by hype + campaigns → unsustainable
• Massive speculative volume = churn, not accumulation
• Prior crash (-33%) shows weak hands dominance
• Long whales still deeply underwater (avg ~$0.49) → exit pressure
• Profitable shorts historically controlling volatility
• Market still in Fear → rallies likely sold

⚠️ Note
RAVE is not a spot hold right now. Treat it as a momentum scalp / volatility trade only.
Strong acceptance above $0.78 invalidates short bias.

Trade levels, not hype 📉🔥
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Υποτιμητική
Guys I told you earlier.... I am interested in short on $NIGHT when the price was in the range of (0.09-0.10) and see price now of NIGHT (0.075). Another Victory 🥳🎉 Are you Shorting $NIGHT ?
Guys I told you earlier.... I am interested in short on $NIGHT when the price was in the range of (0.09-0.10) and see price now of NIGHT (0.075).
Another Victory 🥳🎉
Are you Shorting $NIGHT ?
Dear followers 👀 This is exactly why patience + levels matter. Yesterday, I shared a SHORT setup on $BEAT around the parabolic top. Today price is doing exactly what the plan expected. 🥳 {future}(BEATUSDT)
Dear followers 👀

This is exactly why patience + levels matter.

Yesterday, I shared a SHORT setup on $BEAT around the parabolic top. Today price is doing exactly what the plan expected. 🥳
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