Format: facts, figures, risks
Horizon: 24–72 hours
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🔹 GENERAL MARKET BACKGROUND
Fear and Greed Index: 32 (Fear)
Market in defensive mode. Risk is decreasing.
Market capitalization (24h): $3.205T (−0.67%)
Volume (24h): $53.28B (−5.91%)
Output by volume:
This is not an impulse.
This is liquidity compression + unloading of leverage.
The market moves easier, but the liquidations are sharper.
BTC Dominance: 56.68% (−1.11%)
Dominance decreases in a falling market →
this is not an altseason, but redistribution and fixation.
Market phase:
Correction. Local oversold on small timeframes.
Uptrend not restored.
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🔹 GENERAL MARKET INDICATORS
Market RSI (average): 37.57
Oversold zone.
Fact: conditions for rebounds, not for reversals.
Market MACD (normalized): −0.48
85.12% of the market — negative momentum.
Rebounds are corrective in nature.
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Current technical signal
Short / bearish priority
Reason:
— negative market momentum
— strong outflow from derivatives
— liquidation map indicates price attraction zones
Current technical signal
Short / weakness stronger than BTC
Reason:
— negative flows
— deeper MACD
— liquidation map indicates priority for decline
🔹 REVIEW FINAL
📊 General conclusions
• Sentiment: Fear 32
• RSI: market is locally oversold
• MACD: bearish momentum dominates
• Flows: mass exit from derivatives
• Liquidation maps for BTC and ETH → priority to retracements, not growth
🧠 Trading logic (no signals)
LONG:
— only from strong supports
— only during a slowdown in the fall
— only if flows stop deteriorating
SHORT:
— by trend
— from resistance zones
— targeting liquidation zones below
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📌 Detailed market overview
with levels, supports, risk zones
and scenarios for 24–72 hours
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