Looking at the charts, after a short-term correction, ASTER has reached a local support zone. Selling pressure is clearly weakening on the 1H and 4H timeframes, and the indicators have cooled off significantly.
I am expecting a technical bounce from these levels towards the nearest resistance (EMA) lines. The Risk/Reward (R/R) ratio is looking very attractive right now for a long position.
🟢 Entry Zone: 0.6840 - 0.6790 (Current price or on a slight dip) 🎯 Target 1 (TP): 0.6950 🎯 Target 2 (TP): 0.7050 ❌ Stop-Loss (SL): 0.6720
⚠️ This is just my personal technical analysis and NOT financial advice. Always do your own research (DYOR) and use proper risk management!
The coin had a massive pump (+36%), but the RSI is heavily overbought across all timeframes (1H, 4H, 1D). We hit a strong resistance at 0.007500 and sellers are starting to step in. I'm expecting a technical pullback to cool down the indicators. Opening a cautious short here.
🔴 Entry: 0.007300 — 0.007400 🎯 Targets (TP): 0.006900 / 0.006450 / 0.005900 ❌ Stop Loss (SL): 0.007650 (strictly above the local high!)
⚠️ Note: This is a counter-trend trade, so it's high risk. Use proper risk management, keep your leverage low, and always DYOR!
Chart Analysis: On the 15m timeframe, the price has aggressively broken below the key moving averages (EMA 7, 25, and 99). MACD confirms the bearish momentum. However, look at the RSI — it has dipped into deep oversold territory (below 20). Shorting right now at market price is a mistake. I am expecting a local technical bounce (retest) upwards. We will use this exact spike to build our SHORT position with limit orders to get the perfect entry.
Trade Plan: 🔽 Entry Zone: 0.089 - 0.090 (Scale in with limit orders on the bounce) ✅ TP1: 0.0870 (Nearest chart support) ✅ TP2: 0.0850 ❌ SL: 0.093 (Hiding the stop above the 24h high)
Waiting for the pullback to fill our limits before the big drop. Strictly follow risk management and do not overleverage! 🤝
⚙️ Entry Strategy: The market is volatile, and I do not rule out one final upward spike (squeeze) to grab liquidity before the real move down. Therefore, I am not entering with full size at once but scaling in with multiple orders within the specified range.
⚠️ Disclaimer: This post is for educational purposes only and is not financial advice. Please do your own research (DYOR) and manage your risk.
The $OG coin continues to move within a clear downtrend. We’ve seen a test of the channel's upper boundary followed by a price rejection — a strong bearish signal.
I am opening a SHORT position, expecting an impulsive drop.
My Strategy: I’m entering with multiple limit orders within the 2.95 - 3.00 range, as I don’t rule out a quick pump (squeeze) upwards before the main move down.
Почему я планирую шортить $MIRA ? Давайте посмотрим правде в глаза: #MIRA готовится к очередному медленному сползанию. Статистика неумолима — после импульсного роста на листинге в 2025 году монета так и не смогла закрепиться выше $1, потеряв более 90% капитализации. Поведение цены предсказуемо: каждый резкий импульс вверх используется крупными игроками для выхода, что приводит к затяжным распродажам. Текущая ситуация на графике — копия предыдущих циклов падения. 📉 Стратегия: Я не буду ловить "падающий нож", а дождусь формирования четкого разворотного паттерна и открою короткую позицию (Short). @mira_network