POSITION: SHORT Entry: 0.00399 Stop Loss: 0.00414 (not RR, based on invalidation) Take Profit: 0.00368 (not RR, based on structure) Time Horizon: 12-36 hours Confidence Level: 75% Position Size: Max 2-3% account risk
CRITICAL NOTE: Data shows that smart money has started to exit long and build short positions. Taker volume of 5M collapsing from 1.48 to 0.33 is the strongest signal. Combined with OI decline of 8% daily = major distribution happening NOW.
DISCLAIMER This analysis is a personal opinion based on technical data, not financial advice or an invitation to trade. The crypto market is very volatile with a high risk of significant losses. Use strict risk management, conduct your own research (DYOR), and trading decisions are entirely your responsibility. The author is not responsible for trading losses. Trade at your own risk. #bananas31 $BANANAS31
Medium-Term Focus (1H-4H) Current Price: 512.68 USDT (mark price 512.67). Uniform -1.31% drop across 1H-1D from open 519.51, range 509.46-519.84, accelerating downtrend.
Medium-Term Trend (1H-4H): Bearish acceleration: Red closes (-1.31% 1H/4H), range 2.0%, volume extremely low (0.37x & 0.07x avg, 0% percentile) – heavy selling with no absorption. Volume: Negligible 1H/4H (0% percentile) – thin, amplifying cascade risk. Order Book Medium-Term: Futures: Spread 0.002% (bid 512.71/ask 512.72). Near balance (+0.9% imbalance), support at 512.00-512.50.
Spot: Spread 0.01%, bid dominant (+27% imbalance), but resistance at 513-514. Sentiment & Taker Medium-Term: Long/Short Ratio: Bearish (global 0.68, top trader 0.63), shorts 59-61%, increasing trend – shorts overwhelming. Taker Volume: Not detailed; low volume implies weak defense.
Funding Medium-Term: Positive 0.0001 (8H ahead), stable – shorts pay longs neutrally. Medium-Term Prediction (1H-4H Ahead, ~09:11-13:11 UTC) Price Direction: Bearish intensification, potential -1-2% to 508-510. Red uniformity & ultra-low volume (0.07x 4H avg) drive cascade; OI -0.16% (1H) signals unwind. Supporting Factors: Volume: Minimal (0% percentile 1H/4H) fails to halt sells; taker assumed bearish from trend.
Order Book: Spot +27% bid cushions floor, but futures balance favors downside. Taker: Implied weak from low activity, premium -0.03% adds long pressure. OI & Ratio: -3.08% contraction (4H), 59% shorts – longs capitulating.
Risk/Reward: Support 509; if held, sideways 512. Reversal to 514 if volume >1x next 1H. Favor short with stop 514; high reward on momentum.
Medium-Term Focus (1H-4H) Current Price: 0.1662 USDT (mark price 0.1662). Uniform -0.66% drop across 1H-1D from open 0.1674, range 0.165-0.171, steady downtrend.
Medium-Term Trend (1H-4H): Bearish steady: Red closes (-0.66% 1H/4H), range 3.5%, volume very low (0.30x & 0.04x avg, 0% percentile) – persistent selling, no bounce momentum.
Volume: Minimal 1H/4H (0% percentile) – thin, heightening volatility risk. Order Book Medium-Term: Futures: Spread 0.06% (bid 0.1663/ask 0.1664). Strong bid dominance (18M vs 4.6M, +59% imbalance), support at 0.165-0.166. Spot: Data limited; futures bid wall robust. Sentiment & Taker Medium-Term: Long/Short Ratio: Bullish (global 1.55, top trader 1.51), longs 60-61%, increasing trend – longs resilient.
Order Book: +59% bid imbalance cushions, but spot resistance limits upside. Taker: 1.05 ratio (4H) neutral, funding negative squeezes longs. OI & Ratio: -3.32% contraction (4H), 60% longs – overextended bulls vulnerable.
Risk/Reward: Support 0.165; if held, sideways 0.1665. Reversal to 0.1675 if taker >1.2 next 1H. Favor short with stop 0.1675; good reward on trend extension. #UAI $UAI
Medium-Term Prediction (1H-4H Ahead, ~09:11-13:11 UTC) Price Direction: Bearish extension, potential -0.8-1.5% to 6.250-6.280. Red dominance & low volume (0.08x 4H avg) signal continued fade; shorts (0.72 ratio) press after minor highs. Supporting Factors: Volume: Minimal (0% percentile 1H/4H) fails to absorb sells; OI +0.17% (1H) but contraction -0.15% (4H) shows waning interest.
Order Book: +13% bid imbalance holds floor temporarily, but thin liquidity risks break. Taker: 1.18 ratio (1H) neutral but trending down, funding positive favors short closeouts downward. OI & Ratio: Stable OI (+7.13% 12H), but 58% shorts – longs capitulating.
Risk/Reward: Support 6.300; if held, sideways 6.320. Reversal to 6.360 if taker >1.3 next 1H. Favor short with stop 6.360; solid reward on downtrend. #folks $FOLKS
Medium-Term Focus (1H-4H) Current Price: 0.004588 USDT (mark price 0.004590). Consistent -2.51% daily drop from open 0.004703, range 0.004581-0.004725, downtrend persisting.
Medium-Term Trend (1H-4H): Bearish dominance: Red closes across 1H/4H (-2.42%), range 3.1%, volume very low (0.08x & 0.02x avg, 0% percentile) – weak selling pressure, but no reversal catalysts.
Volume: Extremely low 1H/4H (0% percentile) – illiquid, high risk of gaps. Order Book Medium-Term: Futures: Spread 0.004% (bid 0.004598/ask 0.004600). Bid > ask (+37% imbalance), support at 0.00458-0.00459.
Spot: Data limited; futures bid wall strong but thin. Sentiment & Taker Medium-Term: Long/Short Ratio: Bullish (global 1.49, top trader 1.42), longs 60%, increasing trend – longs defending despite drop.
Medium-Term Prediction (1H-4H Ahead, ~09:11-13:11 UTC) Price Direction: Bearish continuation, potential -0.5-1% to 0.00455-0.00457. Red trend & ultra-low volume (0.02x 4H avg) signal fade; massive OI contraction (-26% daily) indicates panic unwind.
Supporting Factors: Volume: Minimal (0% percentile 1H/4H) lacks absorption; taker 1.14 (1H) weakening. Order Book: +37% bid imbalance holds floor, but spot resistance caps any bounce.
Taker: 1.08 ratio (4H) neutral but trending down, funding positive insufficient vs OI drop. OI & Ratio: -27% 12H contraction, 60% longs – overleveraged longs vulnerable.
Risk/Reward: Support 0.00458; if held, sideways 0.00460. Reversal to 0.00462 if taker >1.2 next 1H. Favor short with stop 0.00462; high reward on downtrend acceleration. #JCT $JCT
Medium-Term Focus (1H-4H) Current Price: 0.2401 USDT (mark price 0.2401). Consistent -0.58% drop across 15M-1D from open 0.2412, range 0.239-0.245, consolidating in downtrend.
Medium-Term Trend (1H-4H): Bearish persistence: Red closes (-0.58% 1H/4H), range 2.6%, volume very low (0.10x & 0.02x avg, 0% percentile) – weak downside momentum, but no reversal signals. Volume: Extremely low 1H/4H (0% percentile) – illiquid, prone to whipsaws.
Order Book Medium-Term: Futures: Spread 0.04% (bid 0.2403/ask 0.2404). Strong bid dominance (10.6M vs 4.1M, +44% imbalance), support at 0.239-0.240.
Medium-Term Prediction (1H-4H Ahead, ~09:11-13:11 UTC) Price Direction: Bearish extension, potential -0.5-1% to 0.238-0.239. Red dominance & ultra-low volume (0.02x 4H avg) signal continued fade; OI +1.32% (1H) but contraction -2.82% (4H) hints fading interest.
Supporting Factors: Volume: Minimal (0% percentile 1H/4H) lacks buy defense; taker 1.20 (1H) improving but insufficient for reversal.
Order Book: Spot ask -16% caps upside; futures bid +44% may hold floor but not propel. Taker: 1.05 ratio (4H) neutral, funding negative adds long squeeze risk. OI & Ratio: Mixed OI (+43.61% daily but -7.63% 12H), 61% longs vulnerable.
Risk/Reward: Support 0.239; if held, sideways 0.2405. Reversal to 0.242 if taker >1.3 next 1H. Favor short with stop 0.242; moderate reward on downtrend continuation. #ALLOShort #ALLO $ALLO
Medium-Term Focus (1H-4H) Current Price: 65.87 USDT (mark price 65.86). Minor -0.24% drop from open 66.02, range 65.18-66.02, consolidating after recent decline.
Medium-Term Trend (1H-4H): Bearish consolidation: Red closes across 1H/4H (-0.24%), range 1.3%, volume very low (0.07x & 0.01x avg, 0% percentile) – lack of momentum, potential for further downside. Volume: Extremely low 1H/4H (0% percentile) – thin trading, vulnerable to breaks. Order Book Medium-Term: Futures: Spread 0.015% (bid 65.86/ask 65.87). Bid > ask (+9% imbalance), support at 65.00-65.50. Spot: Data limited; futures indicates balanced but thin liquidity. Sentiment & Taker Medium-Term: Long/Short Ratio: Bearish (global 0.63, top trader 0.73), shorts 61-58%, upward trend – shorts in control. Taker Volume: Not detailed; low volume suggests caution. Funding Medium-Term: Positive 0.00005 (8H ahead), increasing trend – shorts pay longs lightly, neutral bias.
Medium-Term Prediction (1H-4H Ahead, ~09:11-13:11 UTC) Price Direction: Bearish drift, potential -0.5-1% to 65.30-65.50. Red trend persists with ultra-low volume (0.01x 4H avg) & short dominance (0.63 ratio); no catalysts for rebound.
Supporting Factors: Volume: Minimal (0% percentile 1H/4H) signals apathy; OI -2.69% (1H) hints reduced interest. Order Book: +9% bid imbalance cushions, but thin depth risks slippage down. Taker: Assumed neutral from low activity; premium -0.18% pressures longs. OI & Ratio: -10.83% contraction (4H), 61% shorts – bearish capitulation ongoing.
Risk/Reward: Support 65.00; if held, sideways 65.70. Reversal to 66.00 if volume surges >1x. Favor short with stop 66.00; limited reward in low-vol environment. #Clanker $CLANKER
Medium-Term Focus (1H-4H) Current Price: 0.4591 USDT (mark price 0.4589). Massive +25.53% daily pump from open 0.3656, range 0.331-0.517, overextended post-rally. Medium-Term Trend (1H-4H): Bearish pullback: Red close in 1H (-4.72%), green in 4H (+2.84%), range 7.1-17.3%, volume moderate/low (0.39x & 0.75x avg, 5-44% percentile) – profit-taking after pump, momentum fading. Volume: Low 1H (5% percentile), moderate 4H (44%) – no strong buy conviction, risk of reversal. Order Book Medium-Term: Futures: Spread 0.002% (bid 0.4593/ask 0.4594). Bid > ask (+21% imbalance), support at 0.453-0.456. Spot: Data limited; futures shows bid wall holding but thin.
Medium-Term Prediction (1H-4H Ahead, ~09:11-13:11 UTC) Price Direction: Bearish correction, potential -2-4% to 0.440-0.450. 1H red dominates, shorts surge (0.50 ratio) & low volume signal profit-taking after +25% daily overextension.
Supporting Factors: Volume: Low 1H (0.39x avg, 5% percentile) lacks defense; OI -2.93% (1H) hints liquidation. Order Book: +21% bid imbalance cushions drop, but spot resistance caps rebound.
Taker: 1.00 ratio (1H) neutral but trending down, funding positive favors shorts closing. OI & Ratio: -4.86% contraction (4H), 67% shorts – longs exhausted from rally.
Risk/Reward: Support 0.450; if held, sideways 0.455. Reversal to 0.465 if taker >1.1 next 1H. Favor short with stop 0.465; high reward on correction to 0.440. #beat #BEAT $BEAT
Medium-Term Focus (1H-4H) Current Price: 0.1671 USDT (mark price 0.1670). Daily -3.13% drop from open 0.1726, range 0.162-0.178, volatile post-selloff.
Medium-Term Trend (1H-4H): Bullish recovery: Green closes (+0.24% 1H, +1.89% 4H), range 1.4-3.9%, volume moderate/high (0.66x & 1.13x avg, 35-65% percentile) – rebound from low 0.162, building momentum. Volume: Moderate 1H (35% percentile), high 4H (65%) – inflow supporting uptrend, no breakout yet.
Order Book Medium-Term: Futures: Spread 0.06% (bid 0.1670/ask 0.1671). Strong bid dominance (18M vs 10M, +28% imbalance), support at 0.165-0.166.
Spot: Spread 0.06%, ask dominant (27M vs 17M, -23% imbalance), resistance at 0.168-0.169. Sentiment & Taker Medium-Term: Long/Short Ratio: Bullish (global 1.54-1.62, top trader 1.53-1.65), longs 61%, stable/decreasing – longs holding but shorts creeping in.
Medium-Term Prediction (1H-4H Ahead, ~09:11-13:11 UTC) Price Direction: Bullish continuation, potential +0.5-1% to 0.1685-0.1690. Medium-term green sustains amid bid strength (+28% imbalance) & volume support (1.13x 4H avg); daily drop overextended, longs (1.62 ratio) push rebound. Supporting Factors: Volume: High 4H (1.13x avg, 65% percentile) signals buy conviction; OI +0.94% (1H) adds liquidity.
Order Book: Futures bid wall at 0.166 holds firm; spot resistance 0.169 breakable on momentum. Taker: 1.16 ratio (1H) stabilizing, OI expansion +0.94% reinforces uptrend. OI & Ratio: +0.94% (1H), 61% longs – short capitulation from daily -3.13%.
Risk/Reward: Support 0.166; if broken, target 0.165. Reversal risk if taker <1.0 next 1H. Favor long with stop 0.166; solid reward on rebound to 0.169. #SEİ $SEI
Medium-Term Focus (1H-4H) Current Price: 0.095 USDT (mark price 0.0949). Sharp -25.06% daily drop from open 0.1266, range 0.088-0.136, volatile post-pump.
Medium-Term Trend (1H-4H): Bullish recovery: Green closes (+3.04% 1H, +6.98% 4H), range 3.4-7.3%, volume moderate (0.44x & 0.64x avg, 10-25% percentile) – rebound from low 0.088, but limited momentum. Volume: Low in 1H (10% percentile), moderate 4H (25%) – no strong inflow, risk of fade.
Order Book Medium-Term: Futures: Spread 0.11% (bid 0.0948/ask 0.0949). Extreme bid dominance (89M vs 9M, +81% imbalance), massive support at 0.09-0.095. Spot: Spread 0.11%, ask dominant (12M vs 9M, -13% imbalance), resistance at 0.096-0.097.
Medium-Term Prediction (1H-4H Ahead, ~09:11-13:11 UTC) Price Direction: Bearish pullback, potential -1-2% to 0.093-0.094. Rebound 1H/4H fragile amid short dominance (0.97 ratio) & low volume; premium -0.40% signals overbought longs capitulating. Supporting Factors: Volume: Moderate 4H (0.64x avg, 25% percentile) lacks conviction for sustain; OI +3.29% (1H) but contraction in 4H (-4.45%) hints profit-taking. Order Book: Spot ask imbalance -13% caps upside; futures bid wall at 0.09 may hold but not push higher.
Taker: 0.90 ratio (1H) improving but still <1, funding negative reinforces shorts. OI & Ratio: +24.89% daily OI expansion, but ratio drop (0.96 from 1.00) shows bearish shift.
Risk/Reward: Support 0.093; if broken, target 0.091. Reversal to 0.096 if taker >1.1 next 1H. Favor short with stop 0.096; low reward on long until volume surges. #TURTLE $TURTLE
Medium-Term Focus (1H-4H) Current Price: 100,438 USDT (mark price 100,452). Sharp drop -2.38% (12H) from high 104,025, but short-term rebound +0.18-0.62% in 5M-1H.
Medium-Term Trend (1H-4H): Bullish rebound: Green closes (+0.62% 1H, +1.82% 4H), range 1.0-2.5%, volume moderate/high (0.66x & 1.38x avg, 30-75% percentile) – early recovery signal after dump. Volume: High in 4H (75% percentile), low in 1H (30%) – upward momentum limited. Order Book Medium-Term: Futures: Tight spread 0.0001% (bid 100,455/ask 100,455). Bid > ask (+7% imbalance), strong support at 100,300-100,400. Spot: Spread 0.00001%, ask dominant (-13% imbalance), resistance at 100,600-100,700. Sentiment & Taker Medium-Term: Long/Short Ratio: Extremely bullish (global 3.31, top trader 3.50), longs 77%, stable/upward trend – strong longs post-dump.
Medium-Term Prediction (1H-4H Ahead, ~09:11-13:11 UTC) Price Direction: Bullish rebound, potential +0.4-0.8% to 100,900-101,100. Short-term green sustains, high 4H volume & dominant longs (3.31 ratio) drive recovery from 97,959 low.
Supporting Factors: Volume: High 4H (1.38x avg, 75% percentile) signals buy inflow, no breakout but upward momentum. Order Book: +7% bid imbalance, solid support 100,400; OI +0.68% (1H) adds liquidity. Taker: 1.19 ratio (1H) rising, strong buy signal after sell-off. OI & Ratio: +3.09% expansion (4H), 77% longs – short capitulation complete.
Risk/Reward: Resistance 100,700; if broken, target 101,200. Risk drop to 100,200 if taker <1.0 next 1H. Ready for long with stop 100,200; high reward on rebound. #BTC #BTCUSDT $BTC
Price Direction: Slightly bearish sideways, potential fluctuation of -0.3-0.7% to 102,400-102,600. Short-term rebound (+0.12% 5M/15M) weak, 1H/4H remains red (-0.71% & -0.51%), a range of 1.2-1.2% indicates consolidation. Supporting Factors: Volume: Medium 1H (0.66x avg, percentile 40%), sluggish 4H (0.43x, 5%) – lacking upward momentum, no breakout. Order Book: Dominant ask (-17% futures, spot +11% imbalance), strong resistance at 102,900-103,000. OI: Down -0.10% (5M) to +0.17% (1H), stable but long ratio decreased (2.22 from 2.29) – longs are hesitant. Taker: Mixed (5M 0.88 up, 15M 0.60 down), premium -0.027% pressures longs. Risk/Reward: Support at 102,500; if held, sideways at 102,700. Reversal if taker >1.1 at 1H. Ready to short with a stop at 103,000, avoid aggressive longs. #BTC #bitcoin $BTC
Current Market Condition of BTCUSDT. Focus Short-Term (5M-1H).
Current Price: 102,647 USDT (mark price 102,718). Sharp drop -0.95% (15M/1H) from high 103,705, correction after daily rebound +1.09%. Short-Term Trend (5M-15M-1H): Dominantly Bearish: All TF close red, range 0.3-1.2%, price_change -0.12% (5M) to -0.95% (15M/1H).
Short-Term Conclusion: Intense bearish (drop 1%, volume surge sell), potential further to 102,500 if support 102,600 breaks. Watch for reversal if taker buys rebound in 1H. High volatility risk, avoid long entry now. #BTC $BTC
Kondisi Market QNTUSDT (13 Nov 2025, ~08:47 UTC) Harga Saat Ini: 89.02 USDT (mark price 89.01). Naik +8.80% harian dari open 81.82, range 81.39-89.42.
Trend Multi-Timeframe: Short-term (5M/15M): Bearish (-0.38%, close merah), range 0.6%, volume rendah (0.45x & 0.25x avg, percentile 0-10%). Medium (1H/4H): Bullish (+1.06%), range 2.4%, volume tinggi/rendah (2.07x & 0.78x avg, percentile 35-90%, breakout 1H). Long (12H/1D): Sangat bullish (+8.80%), range 9.0%, volume sedang/rendah (0.82x & 0.53x avg, percentile 5-55%).
Order Book: Futures: Spread 0.011% (bid 89.01/ask 89.02). Bid dominan (30k vs 9k, imbalance +53%), tekanan beli kuat. OI naik +1.00% (15M) ke +0.40% harian. Spot: Spread 0.034%, ask dominan (16k vs 5.8k, imbalance -47%). Resistance di 90-95. Sentimen & Funding: Long/Short Ratio: Bullish ringan (global 1.07-1.15, top trader 1.20-1.26), longs 52-56%, tren turun medium.
Taker Volume: Mixed; 5M sangat bullish (2.35, naik), 15M netral (0.98, turun), longer bearish (0.49-0.53, turun). Funding Rate: Positif 0.000078 (8 jam ke depan), premium -0.14% (mark < index, longs bayar shorts). History mixed (avg -0.000079, 6/10 negatif), tren naik.
Volume & Momentum: Volume surge 1H (90% percentile, breakout), rendah short-term (no breakout). VWAP 83.99-88.10, high vol levels di 88.09-89.02 (support) & 80.89 (low). OI value ~4.9M USDT, ekspansi short-term.
Kesimpulan: Bullish dominan long-term (pump 9%, OI naik), rebound medium meski short-term koreksi. Potensi test 89.50 jika hold 88.50, risk: Taker sell dominan bisa tekan ke 88. Watch volume 1H untuk sustain. #QNT/USDT #QNT $QNT
Volume & Momentum: Volume surge 1H (90% percentile, breakout), sluggish short/long (no breakout). VWAP 0.077-0.084, high vol levels at 0.076-0.084 (support) & 0.091 (resistance). OI value ~38.5M USDT, stable with slight decline.
Conclusion: Bullish long-term (pump 4%, strong top longs position), but medium bearish volatile with high volume. Potential rebound to 0.078 if hold 0.076, risk: OI contraction & mixed taker could push down to 0.074. Watch positive funding for sustain. #JELLYJELLY $JELLYJELLY
Current Price: 0.1068 USDT (mark price 0.1069). Up +3.60% daily from open 0.1032, range 0.093-0.110. Multi-Timeframe Trend: Short-term (5M/15M): Bearish (-1.17%, close red), range 2.5%, high/low volume (1.31x & 0.64x avg, percentile 15-75%). Medium (1H/4H): Bullish (+2.58%), range 5.6%, high volume (1.46x & 1.11x avg, percentile 65-80%). Long (12H/1D): Bullish (+3.58% & +3.60%), range 15.9%, volume surge (5.96x & 5.46x avg, percentile 90%, breakout detected). Order Book: Futures: Spread 0.028% (bid 0.1069/ask 0.1070). Bid > ask (15.6M vs 11.2M, imbalance +16%), buying pressure. OI jumped +7.99% (15M) to +117% daily (massive expansion). Spot: Spread 0.18%, dominant ask (5M vs 1.8M, imbalance -46%). Resistance at 0.11-0.13. Sentiment & Funding: Long/Short Ratio: Neutral/bearish (global 0.99-0.96, top trader 0.94-0.98), shorts ~50-51%, downtrend. Top trader position neutral (1.02-1.09, mixed). Taker Volume: Mixed; 5M bullish (1.04, down), 15M/1H bullish (1.12 & 1.11, up). Funding Rate: Negative -0.0021 (next 8 hours), premium -1.88% (mark < index, longs pay shorts). Extreme negative history (avg -0.0044, 8/10 negative), trend improving. Volume & Momentum: Volume surge long TF (breakout 12H/1D), medium high (percentile 65-90%). VWAP 0.102-0.106, high vol levels at 0.103-0.108 (support) & 0.091 (low). OI value ~13.5M USDT, spike indicates new interest.
Conclusion: Bullish medium/long-term (OI +117%, volume breakout), short-term correction with shorts increasing. Potential rebound to 0.109 if hold 0.106, risk: Negative premium could push deeper to 0.104. Watch for continued OI for confirmation. #PARTI #PARTIUSDT $PARTI
Current Price: 8.031 USDT (mark price 8.031). Up +6.19% daily from open 7.563, range 7.52-8.20. Multi-Timeframe Trend: Short-term (5M/15M): Mixed (5M red -0.04%, 15M green +0.54%), range 0.3-0.9%, medium volume (0.67x avg, percentile 40%). Medium (1H/4H): Bullish (+2.11%), range 2.4%, low volume (0.32x & 0.05x avg, percentile 0%). Long (12H/1D): Bullish (+6.19%), range 8.5%, high volume (0.81x & 0.65x avg, percentile 55-65%). Order Book: Futures: Spread 0.012% (bid 8.031/ask 8.032). Bid > ask (1.05M vs 0.93M, imbalance +6%), buying pressure. OI down -0.12% (15M) to -12.42% daily (contraction). Spot: Spread 0.012%, dominant bid (1.83M vs 1.57M, imbalance +8%). Support at 7.50-7.90. Sentiment & Funding: Long/Short Ratio: Bullish (global 1.46-1.47, top trader 1.69-1.70), longs 59-63%, medium downtrend. Top trader positions bullish (1.87-1.89, mixed). Taker Volume: Mixed; 5M bearish (ratio 0.94, down), 15M bullish (1.29, up), longer bearish (0.75-0.93, down). Funding Rate: Negative -0.000031 (next 8 hours), premium -0.061% (mark < index, longs pay shorts). Positive history (avg 0.000048, downtrend). Volume & Momentum: Medium volume short-term (40% percentile), sluggish medium (no breakout). VWAP 7.94-8.62, high vol levels at 7.86-8.04 (support) & 9.30 (resistance). OI value ~118M USDT, decline indicates profit-taking.
Conclusion: Bullish long-term (pump 6%, strong longs), but weak short-term with OI contraction & negative funding. Potential hold 8.00, watch resistance 8.05. Risk: Taker sell could pull back to 7.90 if volume decreases. #UNI #UNIUSDT $UNI
Current Price: 0.1192 USDT (mark price 0.1191). Up +12.25% daily from open 0.106, range 0.106-0.124, strong rebound. Multi-Timeframe Trend: Short-term (5M/15M): Bearish (-0.33% & -0.50%, red close), narrow range 0.5-0.8%, low volume (0.14x & 0.09x avg, percentile 0%). Medium (1H/4H): Bullish (+0.25%), range 1.4%, medium/low volume (0.44x & 0.17x avg, percentile 0-50%). Long (12H/1D): Very bullish (+12.35% & +12.25%), range 15.2%, high volume (1.24x & 0.87x avg, percentile 60-80%). Order Book: Futures: Spread 0.084% (bid 0.119/ask 0.1191). Dominant bid (9.6M vs 3.4M, imbalance +47%), strong buying pressure. OI down -0.52% (15M) to -7.50% daily, but up +22.65% (4H). Spot: Spread 0.17%, dominant ask (10.8M vs 3.8M, imbalance -48%). Resistance at 0.120-0.127. Sentiment & Funding: Long/Short Ratio: Bullish (global 1.79-1.83, top trader 1.90-1.98), longs 64%, medium downtrend. Top trader positions mixed (1.45, up 4H). Taker Volume: Mixed; 5M bearish (ratio 0.53, down), 15M/1H bullish (1.12 & 0.94, up). Funding Rate: Negative -0.00088 (next 8 hours), premium -0.15% (mark < index, longs pay shorts). History mixed (avg -0.00009, 3/10 extreme negative), downtrend. Volume & Momentum: Volume surge 12H (80% percentile), sluggish short-term (no breakout). VWAP 0.116-0.120, high vol levels at 0.117-0.120 (support) & 0.122-0.124 (resistance). OI value ~2.8M USDT, short-term contraction but 4H expansion.
Conclusion: Dominantly bullish long-term (pump 12%, strong longs), short-term consolidation with mixed taker & negative funding. Potential to continue to 0.120 if hold 0.119, risk: OI down could trigger pullback to 0.118. Watch volume 1H for confirmation. #MANTA $MANTA
Market Condition BEATUSDT (13 Nov 2025, ~08:16 UTC) Current Price: 0.3547 USDT (mark price 0.3553). Up +0.98% (1H/4H), but down -3.01% daily from open 0.3656, extreme range 0.331-0.403. Multi-Timeframe Trend: Short-term (5M/15M): Bullish (+0.60%, close green), range 1.5%, low volume (0.27x & 0.10x avg, percentile 0%). Medium (1H/4H): Bullish (+0.98%), range 2.7%, very low volume (0.10x & 0.03x avg, percentile 0%). Long (12H/1D): Bearish (-3.01%), range 20.2%, high volume but sluggish vs avg (incomplete). Order Book: Futures: Spread 0.056% (bid 0.3537/ask 0.3539). Ask > bid (1.15M vs 1.01M, imbalance -6%), light selling pressure. OI up +0.25% (15M) to +9.77% (4H), position expansion. Spot: Limited data (not available), focus on futures. Sentiment & Funding: Long/Short Ratio: Bearish (global 0.53, top trader 0.49), shorts 65-67%, downtrend across all TFs. Top trader positions bullish (1.14, longs 53%, up). Taker Volume: Bullish (ratio 1.16 & 1.06 5M/15M, up; 1.02 1H, up). Funding Rate: Positive 0.00044 (next ~8 hours), premium -0.019% (mark < index, longs pay shorts). Positive history (avg 0.00057, 5/6 extremely positive), uptrend. Volume & Momentum: Low volume across all TFs (percentile 0%, no breakout). VWAP 0.348-0.355, high vol levels at 0.34-0.36 (support/resistance). OI value ~11.9M USDT, spike indicates new interest. Conclusion: Bearish long-term (drop 3%, shorts dominant), rebound short/medium with taker buy & OI up. Potential test 0.35 if hold 0.348, risk: Ask imbalance could push to 0.33. Watch positive funding to sustain longs. $BEAT