Current Price: $154.50 | 24h Change: –5.8% | 7d Change: –8.2% Bias: Bear Trap Reversal – High-Probability Long Setup
Daily Chart
Price rejected $149.18 low (Oct 2025 swing) with a bullish hammer and closed above $152. Volume spike +68% on reversal candle → capitulation selling exhausted. Still below EMA20 ($158.40) and EMA50 ($162.80) — but closing the gap fast.
4H Chart
Completed Wave C of ABC correction (A: $170 → B: $161.50 → C: $149.18). Double bottom forming at $149.18 with bullish RSI divergence. Price now in early impulse wave 1 — $154.50 is retest of breakdown level.
1H Chart
Trading in tight descending wedge ($156 → $152.50). OBV flattening after sharp drop → selling pressure drying up. Hidden bullish divergence on MACD histogram.
Risk and Profit both is yours! Do a good management! 30minutes chart!
Buy Zone (Entry): $1.55 - $1.60 Rationale: Above the ATL ($1.53) for confirmation of support hold. This is a dip-buy zone if it wicks up from lows, aligning with the lower Bollinger Band and psychological $1.50 floor. Wait for a green candle close above $1.55 with volume >$15M to avoid fakeouts. If you're aggressive, scale in 50% at $1.55 and 50% at $1.60.
Stop Loss (SL): $1.48 Rationale: ~5% below entry (from $1.56 midpoint), just under the ATL to protect against further cascade. This invalidates the bounce thesis if breached, potentially targeting $1.20 next (volume gap). Tightens risk in this low-float token.
EVA 1H chart! Bullish divergence means a short retrace then boom! But in early divergence it went opposite. So be careful! However with low leverage DCA your return is safe and secured!
As of November 10, 2025, EVAA (EVAA Protocol on TON) trades at ~$1.789 USD (down ~17% in 24h from $2.22 highs), extending pullback from 51% weekly gains but holding above ATL ($1.46 on Oct 10); 86.9% below ATH ($13.61 on Oct 27). Market cap: ~$11.8M; volume: $271.7M (high on volatility).
Key Indicators (Daily):
RSI(14): ~22 (deeply oversold; prime for rebound from prior 81+ overbought). MACD: Bearish crossover intensifying, but histogram narrowing—downside exhaustion near. MAs: Well below 50-day SMA (~$3.50) and 200-day EMA (~$5.20); death cross persists, but $1.80 reclaim eyes neutral pivot. Patterns: Tightening descending channel post-TGE; key support $1.73-$1.78 (Fib 0.618 extension), resistance $2.00-$2.22.
Outlook: Bearish short-term with oversold bounce imminent (10-25% to $2.22) if support holds amid low float; Jan 2026 unlocks add caution, but TON DeFi catalysts (staking APY) fuel long-term push to $9+ by year-end. DYOR; not advice.
As of November 10, 2025, DAM (Reservoir) trades at ~$0.0304 (down 8.91% in 24h), recovering 88% from $0.0162 ATL (Oct 10) but 81.6% below ATH ($0.1652, Sep 19). Market cap: $6.08M; volume: $2.39M (elevated post-listings).
Key Indicators (Daily):
RSI(14): ~83 (overbought after 92% 7-day rally; divergence signals correction risk). MACD: Bullish crossover with positive histogram, but fading on overheated momentum. MAs: Above 50-day SMA (~$0.028) but below 200-day EMA (~$0.045); golden cross forming, neutral bias. Patterns: Ascending triangle since Oct lows; support at $0.028-$0.030, resistance at $0.034-$0.037.
Outlook: Bullish short-term on srUSD launch (Nov 11, 6% APY stablecoin) and listings momentum, targeting 15-20% bounce to $0.037; but overbought RSI favors pullback to $0.028 if profit-taking hits. Long-term neutral-bullish to $0.06+ in 2025 on DeFi adoption. DYOR; not advice.
As of November 10, 2025, SOL trades at ~$169 (up 6.97% in 24h), rebounding from $157 lows amid broader market recovery, but remains 42% below ATH ($294). Market cap: $93.72B; volume: $5.42B (up 61%).
Key Indicators (Daily):
RSI(14): ~32 (oversold, nearing bounce potential; previously hit 81 at peaks). MACD: Bearish crossover with negative histogram, but fading momentum signals weakening downside. MAs: Below 50-day SMA (~$179) and 200-day EMA (~$180); death cross intact, but reclaiming $179 flips neutral. Patterns: Descending triangle since Oct; support at $155-$157 (Fib 0.618), resistance at $179-$188.
Outlook: Neutral-bearish short-term—hold $155 to avoid $146 drop; oversold RSI favors 10-15% bounce to $188 if BTC stabilizes. Long-term bullish on upgrades (Alpenglow) targeting $200+ by Nov-end. DYOR; not advice.
NOT Financial Advice! I see much manipulation though! Therefore keep it extremely low leverage if possible!
buy at $1.803 Stop Loss at $1.70 Take Profit at $2.25
TA As of November 10, 2025, EVAA trades near $1.803 (aligning with recent 24h lows around $1.86, amid broader market volatility). Given the oversold RSI (~25-30), descending channel pattern, and low unlock pressure until Jan 2026, this level offers a dip-buy opportunity with a favorable risk-reward ratio (1:2.5). Neutral sentiment (Fear & Greed: 51) supports a potential bounce, but monitor for breakdown below $1.73.
Added two charts! Who knows if there is any bull run- this is the coin which can ruin you or make you highly profitable! buying this dip in alpha would also give a huge edge! Stay Safe!
TA
Price has declined -2.37% in the last 24 hours, -33.36% over the past week, and -56.56% over the last month. It's forming a potential base near recent lows, with bullish rejection wicks suggesting buyer interest, but low volume limits conviction. Volatility: ~8.17%.
Caution: Retracement to demand zone (~$0.0085–$0.0090) aligns with a potential reversal setup, but weekly/monthly sell signals dominate and faces liquidity risks as a low-cap altcoin.
Local Support: $0.0085–$0.0090
$0.0037All-time low (Aug 2025); major breakdown target.
Coin like EVAA is fragile and can be easily manipulated so stoploss is must for any trade!
Buy the dip in $1.95–$2.05 zone for short-term swing. Hold for $2.70+ if breakout confirms. Avoid if breaks $1.80. Longer-term (2025): Potential to $15–$19 if adoption grows, but near-term forecast sees a possible drop to $9.77 before rebound.