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$SOL is at a decision point. ⚠️⚖️ Solana is currently testing a multi-month liquidity floor. This is a classic "Make or Break" level where smart money typically accumulates while retail panic sells. The Setup: Price is hovering in the critical demand zone. We are seeing a potential Double Bottom forming, but the bulls need to show up now. 🛑 Immediate Resistance: $135 🟢 Critical Support: $120-$125 (The "Sand in the Line") Prediction: If $120 holds, expect a violent relief bounce back toward $150. However, a daily close below $120 invalidates the structure and opens the door to $100. My bias? Bounce Incoming. #Solana #SOL #CryptoNews #TradingSignals #BuyTheDip {spot}(SOLUSDT)
$SOL is at a decision point. ⚠️⚖️

Solana is currently testing a multi-month liquidity floor. This is a classic "Make or Break" level where smart money typically accumulates while retail panic sells.

The Setup:
Price is hovering in the critical demand zone. We are seeing a potential Double Bottom forming, but the bulls need to show up now.

🛑 Immediate Resistance: $135
🟢 Critical Support: $120-$125 (The "Sand in the Line")

Prediction:
If $120 holds, expect a violent relief bounce back toward $150. However, a daily close below $120 invalidates the structure and opens the door to $100. My bias? Bounce Incoming.

#Solana #SOL #CryptoNews #TradingSignals #BuyTheDip
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$UNI Spot UNI In-Depth Insights 20251223 02:00 UTC Key Points UNI has experienced significant changes following a major governance vote, with mixed technical signals, leading to the following insights: 1. Tokenomics Shift: A unified proposal including fee swapping and the burning of 100 million UNI tokens has been passed. 2. Technical Weakness: Recent EMA and MACD bearish crossovers indicate that price consolidation may occur in the short term. 3. Catalyst Optimism: Despite existing short-term technical issues, the community still views the V4 launch and fee conversion as primary catalysts. Highlights 1. Tokenomics Shift: The "unification" proposal, initiating fee switching and burning 100 million UNI tokens, has received overwhelming community support. This aims to directly link protocol revenue to token value, promoting deflationary pressure and enhancing scarcity. 2. Trend Reversal: UNI has broken through a long-term downtrend line, suggesting a potential change in price momentum. If sustained, this technical trend could indicate further price increases. 3. Product Development: The official launch of Uniswap V4 is expected to solidify its position as a leader in decentralized exchanges, potentially driving more innovation and adoption, thereby positively impacting the long-term value of the token. Risks 1. Bearish Technical Lines: Short-term indicators show bearish momentum, with the 7-period Exponential Moving Average (EMA) falling below the 25-period EMA, and the MACD line crossing below the signal line, indicating potential price consolidation or decline. 2. RSI Overbought: The 6-period Relative Strength Index (RSI) was previously severely overbought, reaching 78.43, coinciding with a price peak of 6.32, followed by a decline. This suggests that short-term price corrections may continue. 3. Regulatory Scrutiny: While initiating fee conversion benefits tokenomics, it may also attract more regulatory attention towards UNI, as it more directly links protocol revenue to the token's value proposition. Community Sentiment 1. Bullish Dominance: The community expresses overwhelming positive sentiment towards the university proposal, fee conversion, and the burning of 100 million UNI tokens, anticipating a fundamental shift in tokenomics. #TradingSignals
$UNI

Spot UNI In-Depth Insights 20251223 02:00 UTC
Key Points
UNI has experienced significant changes following a major governance vote, with mixed technical signals, leading to the following insights:
1. Tokenomics Shift: A unified proposal including fee swapping and the burning of 100 million UNI tokens has been passed.
2. Technical Weakness: Recent EMA and MACD bearish crossovers indicate that price consolidation may occur in the short term.
3. Catalyst Optimism: Despite existing short-term technical issues, the community still views the V4 launch and fee conversion as primary catalysts.
Highlights
1. Tokenomics Shift: The "unification" proposal, initiating fee switching and burning 100 million UNI tokens, has received overwhelming community support. This aims to directly link protocol revenue to token value, promoting deflationary pressure and enhancing scarcity.
2. Trend Reversal: UNI has broken through a long-term downtrend line, suggesting a potential change in price momentum. If sustained, this technical trend could indicate further price increases.
3. Product Development: The official launch of Uniswap V4 is expected to solidify its position as a leader in decentralized exchanges, potentially driving more innovation and adoption, thereby positively impacting the long-term value of the token.
Risks
1. Bearish Technical Lines: Short-term indicators show bearish momentum, with the 7-period Exponential Moving Average (EMA) falling below the 25-period EMA, and the MACD line crossing below the signal line, indicating potential price consolidation or decline.
2. RSI Overbought: The 6-period Relative Strength Index (RSI) was previously severely overbought, reaching 78.43, coinciding with a price peak of 6.32, followed by a decline. This suggests that short-term price corrections may continue.
3. Regulatory Scrutiny: While initiating fee conversion benefits tokenomics, it may also attract more regulatory attention towards UNI, as it more directly links protocol revenue to the token's value proposition.
Community Sentiment
1. Bullish Dominance: The community expresses overwhelming positive sentiment towards the university proposal, fee conversion, and the burning of 100 million UNI tokens, anticipating a fundamental shift in tokenomics.
#TradingSignals
🎁 THE FINAL SOLANA GIFT: Why the $126 Dip is Your Christmas Luck! 🍀💲🎄$SOL Team, if you’re seeing this, you’re looking at one of those rare moments where SOL/USDT goes against logic to reward the disciplined. While the market panics, the data confirms this isn't a crash—it’s a calculated liquidity reset designed to flush the weak hands before the final Christmas thrust. 🟢 The Whale Signal (The Truth in the Flow): Retail is hesitant, but the Whales are feasting! Look at the Money Flow: Large Inflow just saw a massive spike of +207,567.55 SOL 🐳. Most importantly, the 5-day cumulative Large Inflow is solid at +27,117.73. The big players are providing the heavy structural floor while others exit into their stacked bids. 📊 The Technical Launchpad: #TradingSignals The Battle Line: The price (126.01) is currently locked in a high-stakes battle right on the critical MA60 pivot at $126.38. 🔥 The Bid Edge: The Order Book shows 53.74% Bid Liquidity waiting at this level. This demand is actively absorbing the overhead pressure, building the launchpad for a reclaim of the $130s. 👉 The Strategic Christmas Plan: #solana 🎯 Entry Range: $125.00 – $126.00 (Load up while we battle the MA60 pivot). 🚀 Sell Target (T1): $131.00 – $135.00 (Our iconic grab zone still stands as the primary objective ). 🔥 Sell Target (T2): $142.00 – $150.00 (Targeting the structural Wave C expansion once the 135.89 barrier is secured). 🔴⬇️ Stop Loss: $123.00. A sustained break below the 24h Low at 123.40 invalidates this setup. The smart money is buying the fear to front-run the next leg up. Watch that $126.38 MA60 flip—once we clear and hold it, the rally is officially back on! 🚀📈 #USNonFarmPayrollReport #USJobsData #WriteToEarnUpgrade
🎁 THE FINAL SOLANA GIFT: Why the $126 Dip is Your Christmas Luck! 🍀💲🎄$SOL

Team, if you’re seeing this, you’re looking at one of those rare moments where SOL/USDT goes against logic to reward the disciplined. While the market panics, the data confirms this isn't a crash—it’s a calculated liquidity reset designed to flush the weak hands before the final Christmas thrust.

🟢 The Whale Signal (The Truth in the Flow): Retail is hesitant, but the Whales are feasting! Look at the Money Flow: Large Inflow just saw a massive spike of +207,567.55 SOL 🐳. Most importantly, the 5-day cumulative Large Inflow is solid at +27,117.73. The big players are providing the heavy structural floor while others exit into their stacked bids.

📊 The Technical Launchpad: #TradingSignals

The Battle Line: The price (126.01) is currently locked in a high-stakes battle right on the critical MA60 pivot at $126.38.

🔥 The Bid Edge: The Order Book shows 53.74% Bid Liquidity waiting at this level. This demand is actively absorbing the overhead pressure, building the launchpad for a reclaim of the $130s.

👉 The Strategic Christmas Plan: #solana

🎯 Entry Range: $125.00 – $126.00 (Load up while we battle the MA60 pivot).

🚀 Sell Target (T1): $131.00 – $135.00 (Our iconic grab zone still stands as the primary objective ).

🔥 Sell Target (T2): $142.00 – $150.00 (Targeting the structural Wave C expansion once the 135.89 barrier is secured).

🔴⬇️ Stop Loss: $123.00. A sustained break below the 24h Low at 123.40 invalidates this setup.

The smart money is buying the fear to front-run the next leg up. Watch that $126.38 MA60 flip—once we clear and hold it, the rally is officially back on! 🚀📈

#USNonFarmPayrollReport
#USJobsData
#WriteToEarnUpgrade
umarfarooq9292:
Mini santa rally from today onwards range sol 150-170
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Bearish
🚨CRASH ALERT🚨 $RAVE SHORT🔻 • ENTRY (SHORT): 0.6620-0.6520 • SL: 0.7050 • TP1: 0.5671 • TP2: 0.5246 RAVE IS COMMING STRAIGHT INTO OUR SHORT ZONE. LETS READY TO CAPTURE A DUMP SIDE MOVE💸 SHORT HERE🔻 {future}(RAVEUSDT) #rave #TradingSignals #BTCVSGOLD
🚨CRASH ALERT🚨
$RAVE SHORT🔻
• ENTRY (SHORT): 0.6620-0.6520
• SL: 0.7050
• TP1: 0.5671
• TP2: 0.5246

RAVE IS COMMING STRAIGHT INTO OUR SHORT ZONE. LETS READY TO CAPTURE A DUMP SIDE MOVE💸

SHORT HERE🔻

#rave #TradingSignals #BTCVSGOLD
BITLORRD:
LETS GOOOOO
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$PEPE Spot PEPE In-Depth Insights 20251223 04:00 UTC Key Points PEPE price has slightly declined and momentum is cooling, but community sentiment remains generally positive, laying the foundation for the following situations: 1. Technical Analysis: Price decline and RSI drop indicate short-term bearish momentum. 2. Community Outlook: Strong consensus, increased retail holdings, and long-term bullish price targets continue to exist. 3. Market Activity: Recent significant capital outflows and low concentration scores indicate widespread selling pressure. Highlights 1. Community Growth: On-chain data shows that the number of PEPE holders has surpassed 1 million, indicating expanded adoption and a strong community base. 2. Accumulation Range: Analysts view the current levels as an accumulation opportunity, pointing out oversold conditions and potential for future rebounds. 3. Price Support: PEPE shows resilience, holding near the 0.0000039–0.0000040 support level, suggesting a potential rebound if selling pressure eases. Risks 1. Momentum Shift: Recent RSI has fallen below 50, indicating that PEPE may weaken in the short term. 2. Whale Sell-off: Reports suggest whales capitulating and large holders reducing their stakes; if selling pressure continues, prices could adjust by 30%. 3. Capital Outflow: Capital flow data indicates significant net outflows in recent hours, with large investors intensifying major selling pressure. Community Sentiment 1. Bullish Outlook: The PEPE community expresses a strong long-term bullish belief, emphasizing increased retail holdings and cultural significance, while acknowledging short-term price volatility. #TradingSignals
$PEPE

Spot PEPE In-Depth Insights 20251223 04:00 UTC
Key Points
PEPE price has slightly declined and momentum is cooling, but community sentiment remains generally positive, laying the foundation for the following situations:
1. Technical Analysis: Price decline and RSI drop indicate short-term bearish momentum.
2. Community Outlook: Strong consensus, increased retail holdings, and long-term bullish price targets continue to exist.
3. Market Activity: Recent significant capital outflows and low concentration scores indicate widespread selling pressure.
Highlights
1. Community Growth: On-chain data shows that the number of PEPE holders has surpassed 1 million, indicating expanded adoption and a strong community base.
2. Accumulation Range: Analysts view the current levels as an accumulation opportunity, pointing out oversold conditions and potential for future rebounds.
3. Price Support: PEPE shows resilience, holding near the 0.0000039–0.0000040 support level, suggesting a potential rebound if selling pressure eases.
Risks
1. Momentum Shift: Recent RSI has fallen below 50, indicating that PEPE may weaken in the short term.
2. Whale Sell-off: Reports suggest whales capitulating and large holders reducing their stakes; if selling pressure continues, prices could adjust by 30%.
3. Capital Outflow: Capital flow data indicates significant net outflows in recent hours, with large investors intensifying major selling pressure.
Community Sentiment
1. Bullish Outlook: The PEPE community expresses a strong long-term bullish belief, emphasizing increased retail holdings and cultural significance, while acknowledging short-term price volatility.
#TradingSignals
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$ZEC 現貨 ZEC 深入見解 20251223 02:00 UTC 要點 ZEC 呈現近期價格下跌,但即將到來的事件和巨鯨動向也顯示可能出現轉變。 1. 技術面疲弱:ZEC 目前顯示熊市技術訊號,價格下跌且面臨阻力。 2. 巨鯨活動:巨鯨累積和新的交易服務顯示未來可能上漲。 3. 注重隱私:Zcash 強勁的發展和隱私功能持續吸引關注。 亮點 1. 平台擴張:官方於 12 月 24 日宣布推出新的 ZEC/USD1 交易對和啟用交易機器人服務,可能提高 ZEC 的流動性和交易便利性。 2. 巨鯨累積與生態系統增長:鏈上數據顯示大型實體正從交易所提領大量 ZEC,顯示正在累積,加上 ZEC 強勁的發展和創紀錄的遮蔽供應量,進一步支持其前景。 3. 宏觀經濟的有利因素:聯準會預計明天將注入近 70 億美元流動性,可能會推動風險資產包括 ZEC 上漲,帶來短期價格動能。 風險 1. 熊市技術訊號:ZEC 出現熊市短期技術面訊號,7 期 EMA 向下穿越長期 EMA,MACD 柱狀圖為負值,RSI 數值低於 50,顯示價格動能向下。 2. 強勁阻力位:ZEC 在 $455$470 區間面臨顯著阻力,多次價格在此區域被拒絕,許多社區討論也指出做空機會和賣壓存在。 3. 盤整與動能減弱:ZEC 價格在狹窄區間內盤整,由於交易量不足,未能突破關鍵阻力位,顯示在沒有新催化劑的情況下,缺乏強勁的上漲動能。 社群情緒 1. 觀望情緒混雜:社區情緒明顯分歧,部分人因巨鯨累積和新平台上市而看漲,也有部分人指出明顯的阻力位和做空機會。 #TradingSignals
$ZEC

現貨 ZEC 深入見解 20251223 02:00 UTC
要點
ZEC 呈現近期價格下跌,但即將到來的事件和巨鯨動向也顯示可能出現轉變。
1. 技術面疲弱:ZEC 目前顯示熊市技術訊號,價格下跌且面臨阻力。
2. 巨鯨活動:巨鯨累積和新的交易服務顯示未來可能上漲。
3. 注重隱私:Zcash 強勁的發展和隱私功能持續吸引關注。
亮點
1. 平台擴張:官方於 12 月 24 日宣布推出新的 ZEC/USD1 交易對和啟用交易機器人服務,可能提高 ZEC 的流動性和交易便利性。
2. 巨鯨累積與生態系統增長:鏈上數據顯示大型實體正從交易所提領大量 ZEC,顯示正在累積,加上 ZEC 強勁的發展和創紀錄的遮蔽供應量,進一步支持其前景。
3. 宏觀經濟的有利因素:聯準會預計明天將注入近 70 億美元流動性,可能會推動風險資產包括 ZEC 上漲,帶來短期價格動能。
風險
1. 熊市技術訊號:ZEC 出現熊市短期技術面訊號,7 期 EMA 向下穿越長期 EMA,MACD 柱狀圖為負值,RSI 數值低於 50,顯示價格動能向下。
2. 強勁阻力位:ZEC 在 $455$470 區間面臨顯著阻力,多次價格在此區域被拒絕,許多社區討論也指出做空機會和賣壓存在。
3. 盤整與動能減弱:ZEC 價格在狹窄區間內盤整,由於交易量不足,未能突破關鍵阻力位,顯示在沒有新催化劑的情況下,缺乏強勁的上漲動能。
社群情緒
1. 觀望情緒混雜:社區情緒明顯分歧,部分人因巨鯨累積和新平台上市而看漲,也有部分人指出明顯的阻力位和做空機會。
#TradingSignals
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Bullish
$RIVER BULLISH BREAKOUT ALERT! 🚀⚡ LONG Plan: ➡️ Entry (LONG): 4.75 – 4.84 🔒 Stop‑Loss: 4.58 (below structural support and breakout base) 🎯 TP1: 5.10 (first post‑breakout expansion target) 🎯 TP2: 5.35 (upper breakout objective / next resistance zone) $RIVER has cleared a key resistance and is now consolidating firmly above the $4.50 structural support, signalling strength after breakout rather than a fakeout. Recent fundamentals like the “Conversion 2.0” upgrade, which helps reduce immediate sell pressure, plus growing interest in its omni‑CDP stablecoin system, add solid backing to the bullish technical structure. LONG HERE👇🏻 {future}(RIVERUSDT) #RIVERUSDT #TradingSignals #BinanceAlphaAlert
$RIVER BULLISH BREAKOUT ALERT! 🚀⚡

LONG Plan:
➡️ Entry (LONG): 4.75 – 4.84
🔒 Stop‑Loss: 4.58 (below structural support and breakout base)
🎯 TP1: 5.10 (first post‑breakout expansion target)
🎯 TP2: 5.35 (upper breakout objective / next resistance zone)

$RIVER has cleared a key resistance and is now consolidating firmly above the $4.50 structural support, signalling strength after breakout rather than a fakeout. Recent fundamentals like the “Conversion 2.0” upgrade, which helps reduce immediate sell pressure, plus growing interest in its omni‑CDP stablecoin system, add solid backing to the bullish technical structure.
LONG HERE👇🏻

#RIVERUSDT #TradingSignals #BinanceAlphaAlert
BITLORRD:
In it to win it!
Headline: 🚨 BTC BREAKOUT OR FAKE-OUT? Don't get trapped at $90,000! 📉🛑 ​Bitcoin ($BTC) is coiling like a spring at $89,580. We’ve seen three rejections from the $90k zone in 48 hours. The "Smart Money" is waiting for a liquidation wick before the real move. ​📊 The Trade Setup (Short-Term Scalp): ​Direction: 🔴 SHORT (on a failed break of $90.5k) ​Leverage: 10x - 20x (Isolated) ​Entry Zone: $90,200 – $90,800 (Wait for the "wick" above resistance) ​Take Profit 1: $88,200 (Secure 20% profit) ​Take Profit 2: $87,400 (Major Support) ​Stop Loss: $91,500 (Close above the weekly high) ​⚠️ Why this works: Liquidity is thinning into the holidays. Whales often push price above major resistance ($90k) to trigger retail FOMO, only to dump it back into the range. ​💬 POLL: Will $BTC hit $100k before 2026? 🚀 YES: Santa Rally is coming! 🐻 NO: The top is in for now! ​Drop your PnL below—I’m roasting the bad entries! 👇 ​#BTC #Bitcoin #TradingSignals #Write2Earn #BinanceSquare #ShortPosition {spot}(BTCUSDT)
Headline: 🚨 BTC BREAKOUT OR FAKE-OUT? Don't get trapped at $90,000! 📉🛑
​Bitcoin ($BTC ) is coiling like a spring at $89,580. We’ve seen three rejections from the $90k zone in 48 hours. The "Smart Money" is waiting for a liquidation wick before the real move.
​📊 The Trade Setup (Short-Term Scalp):
​Direction: 🔴 SHORT (on a failed break of $90.5k)
​Leverage: 10x - 20x (Isolated)
​Entry Zone: $90,200 – $90,800 (Wait for the "wick" above resistance)
​Take Profit 1: $88,200 (Secure 20% profit)
​Take Profit 2: $87,400 (Major Support)
​Stop Loss: $91,500 (Close above the weekly high)
​⚠️ Why this works: Liquidity is thinning into the holidays. Whales often push price above major resistance ($90k) to trigger retail FOMO, only to dump it back into the range.
​💬 POLL: Will $BTC hit $100k before 2026?
🚀 YES: Santa Rally is coming!
🐻 NO: The top is in for now!
​Drop your PnL below—I’m roasting the bad entries! 👇
#BTC #Bitcoin #TradingSignals
#Write2Earn #BinanceSquare #ShortPosition
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Bullish
$JELLYJELLY DEMAND ZONE BOUNCE ALERT! 🚀 Price has dumped straight into a fresh 15m demand block, with a long lower wick. 🟢Aggressive LONG idea (scalp): • Entry: 0.0755 – 0.0765 (inside / just above green demand) • Stop‑Loss: 0.0735 (below wick low and demand floor) • TP1: 0.0810 (first intraday lower‑high area) • TP2: 0.0850 (prior consolidation zone before the last spike) Logic: Vertical sell‑off into prior base + immediate wick reaction often leads to a relief bounce as shorts take profit and late sellers get trapped. Use small size and be ready to cut fast if candles start closing below the green zone, as volatility remains elevated. LONG HERE👇🏻 {future}(JELLYJELLYUSDT) #jellyjelly #TradingSignals #BinanceAlphaAlert
$JELLYJELLY DEMAND ZONE BOUNCE ALERT! 🚀
Price has dumped straight into a fresh 15m demand block, with a long lower wick.
🟢Aggressive LONG idea (scalp):
• Entry: 0.0755 – 0.0765 (inside / just above green demand)
• Stop‑Loss: 0.0735 (below wick low and demand floor)
• TP1: 0.0810 (first intraday lower‑high area)
• TP2: 0.0850 (prior consolidation zone before the last spike)
Logic: Vertical sell‑off into prior base + immediate wick reaction often leads to a relief bounce as shorts take profit and late sellers get trapped. Use small size and be ready to cut fast if candles start closing below the green zone, as volatility remains elevated.

LONG HERE👇🏻

#jellyjelly #TradingSignals #BinanceAlphaAlert
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Bearish
🔻SELLING START🔻 $ICNT SHORT READY❗️ • ENTRY(SHORT): 0.52-0.5220 • SL: 0.5490 • TP1: 0.4680 • TP2: 0.4420 LETS SEE WHATS HAPPENING⏳ Right now ICNT is about to Extreme Overbought, and thats the point where market likely to correct after retesting a STRONG OB. LETS SHORT HERE👇🏻 {future}(ICNTUSDT) #icnt #TradingSignals #BinanceAlphaAlert
🔻SELLING START🔻
$ICNT SHORT READY❗️
• ENTRY(SHORT): 0.52-0.5220
• SL: 0.5490
• TP1: 0.4680
• TP2: 0.4420

LETS SEE WHATS HAPPENING⏳

Right now ICNT is about to Extreme Overbought, and thats the point where market likely to correct after retesting a STRONG OB.

LETS SHORT HERE👇🏻

#icnt #TradingSignals #BinanceAlphaAlert
BITLORRD:
Entered the short! 
--
Bullish
$ANIME BULL RUN ALERT! 🚀🔥 Clean pullback into demand with upside continuation potential toward local highs. ➡️ Entry (LONG): 0.00852 – 0.00862 🔒 Stop‑Loss: 0.00812 (below recent structural low / demand floor) 🎯 TP1: 0.00915 (first reaction high / local resistance) 🎯 TP2: 0.00954 (upper range liquidity zone) Price is dipping into a tight demand pocket where buyers previously stepped in aggressively, making this a favorable zone to position for a bounce. The plan is to load inside the entry box, protect capital just under the demand floor, and scale out at TP1 and TP2 as momentum shifts back in favor of the bulls. LONG HERE👇🏻 {future}(ANIMEUSDT) #Anime #TradingSignals #BinanceAlphaAlert
$ANIME BULL RUN ALERT! 🚀🔥
Clean pullback into demand with upside continuation potential toward local highs.
➡️ Entry (LONG): 0.00852 – 0.00862
🔒 Stop‑Loss: 0.00812 (below recent structural low / demand floor)
🎯 TP1: 0.00915 (first reaction high / local resistance)
🎯 TP2: 0.00954 (upper range liquidity zone)
Price is dipping into a tight demand pocket where buyers previously stepped in aggressively, making this a favorable zone to position for a bounce. The plan is to load inside the entry box, protect capital just under the demand floor, and scale out at TP1 and TP2 as momentum shifts back in favor of the bulls.

LONG HERE👇🏻

#Anime #TradingSignals #BinanceAlphaAlert
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🔥 LIGHTUSDT – EXPRESS ANALYSIS (4H) 🔥📉 Brutal drop: $LIGHT dropped −80% from 4.69 USDT to the current area 0.88 USDT. Typical movement of massive liquidations + panic. 📊 Key indicators: RSI (6): ~21 → Extremely oversold ⚠️ Price well below EMA 20 and EMA 50 → Trend still bearish Negative MACD → Selling pressure remains High volume in the drop → Strong selling, possible capitulation 📍 Important areas: Key support: 0.80 – 0.85 (area where the drop was halted) Nearby resistance: 1.05 – 1.20

🔥 LIGHTUSDT – EXPRESS ANALYSIS (4H) 🔥

📉 Brutal drop:
$LIGHT dropped −80% from 4.69 USDT to the current area 0.88 USDT. Typical movement of massive liquidations + panic.
📊 Key indicators:
RSI (6): ~21 → Extremely oversold ⚠️
Price well below EMA 20 and EMA 50 → Trend still bearish
Negative MACD → Selling pressure remains
High volume in the drop → Strong selling, possible capitulation
📍 Important areas:
Key support: 0.80 – 0.85 (area where the drop was halted)
Nearby resistance: 1.05 – 1.20
catcryp:
tengo un long de ayer apalancado x50 con stop loss a 0.80 🥸
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Bullish
💸QUICK SCALP💸 $NIGHT LONG🟢 • ENTRY (LONG): 0.0825-0.0834 • SL: 0.0785 • TP1 0.0914 • TP2 0.0956 LETS SEE WHATS HAPPENING: NIGHT just fell below its previous FVG, Where high leveraged Longs just liquadated, At that point market will bounce upside to take a LONG liqudations(BSL). LONG HERE👇🏻 {future}(NIGHTUSDT) #night #TradingSignals #BinanceAlphaAlert
💸QUICK SCALP💸
$NIGHT LONG🟢

• ENTRY (LONG): 0.0825-0.0834
• SL: 0.0785
• TP1 0.0914
• TP2 0.0956

LETS SEE WHATS HAPPENING:

NIGHT just fell below its previous FVG, Where high leveraged Longs just liquadated, At that point market will bounce upside to take a LONG liqudations(BSL).

LONG HERE👇🏻

#night #TradingSignals #BinanceAlphaAlert
BITLORRD:
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$ASTER In-stock ASTER in-depth insights 20251223 02:00 UTC Key Points ASTER's stock price fluctuated, dropping 6.09% over the past six hours, indicating potential downward pressure. 1. Buyback Plan: Aster launched a new buyback plan today, utilizing up to 80% of daily platform fees to buy back ASTER tokens, which is expected to boost demand. 2. Reward Program: The 12 million crystal weekly drop program aims to reduce token emissions and distribute USDF based on trading volume, further supporting token value. 3. Unlocking Risks: Over 268 million significant tokens are expected to be unlocked within the next seven days, potentially creating selling pressure. Highlights 1. Buyback Plan: Aster today (December 23) initiated the fifth phase of its buyback plan, allocating up to 80% of the platform's daily fees for ASTER token buybacks, with 40% automatically bought back daily and 2040% used for strategic buybacks. This is expected to create sustained buying pressure. 2. Reward Program: The new crystal weekly drop reward program valued at 12 million will reduce token emissions and distribute up to 2 million US dollars based on ongoing trading volume from December 22 to 28, which is expected to enhance demand and alleviate supply pressure. 3. Previous Buybacks: Aster previously bought back approximately 210 million ASTER tokens, including 53 million in the fourth quarter, accounting for 0.65% of the total supply, demonstrating its proactive management of tokens to support value historically. Risks 1. Large-scale Unlocking: Data from Tokenoist shows that over 268 million tokens, including ASTER, will experience significant linear unlocking in the next seven days, which may create selling pressure in the market. 2. Price Decline: The price has dropped 6.09% over the past six hours, from 0.733 to 0.689, indicating a recent bearish trend and further decline potential. 3. MACD Crossover: The MACD line has crossed below the signal line, resulting in a negative MACD histogram value of 0.00206514, which is typically regarded as a bearish signal. Community Sentiment 1. Bullish Sentiment: There is a general belief that Aster's newly launched buyback plan, which allocates up to 80% of daily buyback costs, is a positive development for the tokens. #TradingSignals
$ASTER

In-stock ASTER in-depth insights 20251223 02:00 UTC
Key Points
ASTER's stock price fluctuated, dropping 6.09% over the past six hours, indicating potential downward pressure.
1. Buyback Plan: Aster launched a new buyback plan today, utilizing up to 80% of daily platform fees to buy back ASTER tokens, which is expected to boost demand.
2. Reward Program: The 12 million crystal weekly drop program aims to reduce token emissions and distribute USDF based on trading volume, further supporting token value.
3. Unlocking Risks: Over 268 million significant tokens are expected to be unlocked within the next seven days, potentially creating selling pressure.
Highlights
1. Buyback Plan: Aster today (December 23) initiated the fifth phase of its buyback plan, allocating up to 80% of the platform's daily fees for ASTER token buybacks, with 40% automatically bought back daily and 2040% used for strategic buybacks. This is expected to create sustained buying pressure.
2. Reward Program: The new crystal weekly drop reward program valued at 12 million will reduce token emissions and distribute up to 2 million US dollars based on ongoing trading volume from December 22 to 28, which is expected to enhance demand and alleviate supply pressure.
3. Previous Buybacks: Aster previously bought back approximately 210 million ASTER tokens, including 53 million in the fourth quarter, accounting for 0.65% of the total supply, demonstrating its proactive management of tokens to support value historically.
Risks
1. Large-scale Unlocking: Data from Tokenoist shows that over 268 million tokens, including ASTER, will experience significant linear unlocking in the next seven days, which may create selling pressure in the market.
2. Price Decline: The price has dropped 6.09% over the past six hours, from 0.733 to 0.689, indicating a recent bearish trend and further decline potential.
3. MACD Crossover: The MACD line has crossed below the signal line, resulting in a negative MACD histogram value of 0.00206514, which is typically regarded as a bearish signal.
Community Sentiment
1. Bullish Sentiment: There is a general belief that Aster's newly launched buyback plan, which allocates up to 80% of daily buyback costs, is a positive development for the tokens.
#TradingSignals
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Bullish
🚀🔥 $FOLKS Fresh Recovery Trade Alert 🔥🚀 📈 $FOLKS is showing a fresh recovery after a prolonged dump, with price grinding higher and momentum building steadily. This setup offers a high-risk, high-reward opportunity. 🎯 Trade Setup (Long): 🟢 Entry: 5.90 – 6.15 🛑 Stop Loss: 4.75 🏆 Targets: • TP1: 7.20 • TP2: 9.80 • TP3: 18.60  👇 Click Here To Buy And Trade $FOLKS 👇 {future}(FOLKSUSDT) 💡 This is a high-risk, high-reward setup. It’s crucial to manage your risk carefully and scale profits smartly as the price moves toward targets. Momentum is building, but volatility may be significant. ⚠️ DYOR before trading and use proper risk management! #Folks #TradingSignals #USCryptoStakingTaxReview #CPIWatch #Write2Earn
🚀🔥 $FOLKS Fresh Recovery Trade Alert 🔥🚀

📈 $FOLKS is showing a fresh recovery after a prolonged dump, with price grinding higher and momentum building steadily. This setup offers a high-risk, high-reward opportunity.

🎯 Trade Setup (Long):
🟢 Entry: 5.90 – 6.15
🛑 Stop Loss: 4.75
🏆 Targets:
• TP1: 7.20
• TP2: 9.80
• TP3: 18.60

 👇 Click Here To Buy And Trade $FOLKS 👇

💡 This is a high-risk, high-reward setup. It’s crucial to manage your risk carefully and scale profits smartly as the price moves toward targets. Momentum is building, but volatility may be significant.

⚠️ DYOR before trading and use proper risk management!

#Folks #TradingSignals #USCryptoStakingTaxReview #CPIWatch #Write2Earn
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Bullish
⏳$ENA LAST CHANCE ⏳ I’m opening a LONG position with this plan 👇 🟩 Entry: 0.1935 – 0.1960 🟧 DCA: 0.1910 – 0.1925 🛑 Stop Loss: 0.1901 🎯 TP1: 0.2020 🎯 TP2: 0.2085 🎯 TP3: 0.2128 ENA has just completed a significant liquidity sweep and is currently sitting in a high-probability demand zone (POI). With the RSI deeply oversold at 29.18 and a bullish divergence forming, a strong relief rally toward the overhead supply (Order Block) is expected. ⬇️ Click below to Enter LONG Now ⬇️ {future}(ENAUSDT) #ENA #TradingSignals #BTCVSGOLD
$ENA LAST CHANCE ⏳

I’m opening a LONG position with this plan 👇
🟩 Entry: 0.1935 – 0.1960
🟧 DCA: 0.1910 – 0.1925
🛑 Stop Loss: 0.1901
🎯 TP1: 0.2020
🎯 TP2: 0.2085
🎯 TP3: 0.2128

ENA has just completed a significant liquidity sweep and is currently sitting in a high-probability demand zone (POI). With the RSI deeply oversold at 29.18 and a bullish divergence forming, a strong relief rally toward the overhead supply (Order Block) is expected.

⬇️ Click below to Enter LONG Now ⬇️

#ENA #TradingSignals #BTCVSGOLD
BITLORRD:
Your analysis is stellar!
$XRP {future}(XRPUSDT) The XRPUSDT deal is opened long after the price has consolidated above the local level and the dynamic EMA on the M3 timeframe. The market has formed a series of higher lows, indicating a gradual recovery of the bullish momentum. The stop-loss is placed below the 1.878–1.88 zone to protect the position in case of a false breakout. The take-profit is set in the 1.915–1.92 area, expecting the upward movement to continue. #Xrp🔥🔥 #XRPPredictions #TradingSignals
$XRP
The XRPUSDT deal is opened long after the price has consolidated above the local level and the dynamic EMA on the M3 timeframe. The market has formed a series of higher lows, indicating a gradual recovery of the bullish momentum. The stop-loss is placed below the 1.878–1.88 zone to protect the position in case of a false breakout. The take-profit is set in the 1.915–1.92 area, expecting the upward movement to continue.

#Xrp🔥🔥 #XRPPredictions #TradingSignals
Translate
$XRP 現貨 XRP 深入見解 20251223 02:00 UTC 要點 XRP 在過去 24 小時內經歷了約 1.08% 的小幅價格下跌,同時伴隨著混合的技術信號,反映了市場的潛在動態。以下是分析細節: 1. ETF 資金流入:XRP ETF 持續吸引大量資金,顯示機構投資者對其持續感興趣。 2. 看跌信號:目前 MACD 和 EMA 等技術指標顯示出明顯的下跌趨勢。 3. 生態系統增長:新的借貸協定和穩定幣應用正在擴展 XRP 的鏈上功能。 亮點 1. 機構資金流入:XRP 現貨 ETF 持續吸引大量機構資金,累計流入超過 12 億美元,並實現六週「連續增長」,逆轉了整體市場資金流出的趨勢。 2. 應用場景演進:Ripple 正在開發面向機構級收益機會的 XRPL 借貸協定,並擴展 RLUSD 稳定幣的應用場景,預計 2026 年初驗證人將進行投票。 3. 資金流動強度:近期交易活動顯示出顯著的正向資金流入,大額交易佔主導地位,儘管市場整體波動性較高,但顯示出買盤興趣重新升溫。 風險 1. 看跌技術指標:MACD 指標顯示明顯的看跌交叉且負向柱狀圖正在縮小,結合短期 EMA 指標,顯示價格呈下跌趨勢。 2. 收益比例下降:目前 XRP 流通量中幾乎有一半處於虧損倉位,僅有 52% 的持幣處於收益狀態,且大額持有者略有分發,顯示出謹慎態度。 3. ETF 動能減緩:儘管 ETF 資金流入仍為正,但週度動能明顯放緩,近期流入資金低於前幾週,顯示機構需求減少。 社群情緒 1. 混合市場觀點:市場情緒混合,一些人預期可能觸及底部並對新應用場景持樂觀態度,而另一些人則因技術指標走弱和價格停滯而保持謹慎。 #TradingSignals
$XRP

現貨 XRP 深入見解 20251223 02:00 UTC
要點
XRP 在過去 24 小時內經歷了約 1.08% 的小幅價格下跌,同時伴隨著混合的技術信號,反映了市場的潛在動態。以下是分析細節:
1. ETF 資金流入:XRP ETF 持續吸引大量資金,顯示機構投資者對其持續感興趣。
2. 看跌信號:目前 MACD 和 EMA 等技術指標顯示出明顯的下跌趨勢。
3. 生態系統增長:新的借貸協定和穩定幣應用正在擴展 XRP 的鏈上功能。
亮點
1. 機構資金流入:XRP 現貨 ETF 持續吸引大量機構資金,累計流入超過 12 億美元,並實現六週「連續增長」,逆轉了整體市場資金流出的趨勢。
2. 應用場景演進:Ripple 正在開發面向機構級收益機會的 XRPL 借貸協定,並擴展 RLUSD 稳定幣的應用場景,預計 2026 年初驗證人將進行投票。
3. 資金流動強度:近期交易活動顯示出顯著的正向資金流入,大額交易佔主導地位,儘管市場整體波動性較高,但顯示出買盤興趣重新升溫。
風險
1. 看跌技術指標:MACD 指標顯示明顯的看跌交叉且負向柱狀圖正在縮小,結合短期 EMA 指標,顯示價格呈下跌趨勢。
2. 收益比例下降:目前 XRP 流通量中幾乎有一半處於虧損倉位,僅有 52% 的持幣處於收益狀態,且大額持有者略有分發,顯示出謹慎態度。
3. ETF 動能減緩:儘管 ETF 資金流入仍為正,但週度動能明顯放緩,近期流入資金低於前幾週,顯示機構需求減少。
社群情緒
1. 混合市場觀點:市場情緒混合,一些人預期可能觸及底部並對新應用場景持樂觀態度,而另一些人則因技術指標走弱和價格停滯而保持謹慎。
#TradingSignals
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Bullish
🚀 $POLYX QUICK SCALP 🚀 $POLYX IS COMMING NEAR OUR LONG POINT. I’m opening a LONG position with this plan 👇 🟩 Entry: 0.0542 – 0.0547 🛑 Stop Loss: 0.0521 (Below Structural Support) 🎯 TP1: 0.0573 🎯 TP2: 0.0602 As it approaches a historical demand zone that has previously triggered strong relief bounces. With the RSI in extreme oversold territory on high timeframes and institutional adoption for RWA settlements growing, the structure is primed for a potential reversal back toward the $0.06 resistance. ⬇️ Click below to Enter LONG Now ⬇️ {future}(POLYXUSDT) #POLYX #TradingSignals #BinanceAlphaAlert
🚀 $POLYX QUICK SCALP 🚀
$POLYX IS COMMING NEAR OUR LONG POINT. I’m opening a LONG position with this plan 👇
🟩 Entry: 0.0542 – 0.0547
🛑 Stop Loss: 0.0521 (Below Structural Support)
🎯 TP1: 0.0573
🎯 TP2: 0.0602

As it approaches a historical demand zone that has previously triggered strong relief bounces. With the RSI in extreme oversold territory on high timeframes and institutional adoption for RWA settlements growing, the structure is primed for a potential reversal back toward the $0.06 resistance.

⬇️ Click below to Enter LONG Now ⬇️
#POLYX #TradingSignals #BinanceAlphaAlert
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