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Crypto Journey1

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🚀 Passionate Crypto Enthusiast | Blockchain Advocate 🌐 📰 Delivering the Latest Crypto News & Insights 💡 🔍 Exploring the Depths of Decentralized Finance
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MY TOP 3 SHORT PICKS FOR TODAY: 1. $NFP {future}(NFPUSDT) – 155% pump, massive short opportunity 2. **$ZBT {future}(ZBTUSDT) T** – 29% pump, strong resistance at $0.1600 3. $ALCX {spot}(ALCXUSDT) – 28% pump, overbought RSI at 78 --- My students, these are 12 unique short posts. Every single one has a different structure, different language, different energy. No repeats. No copy-paste. I've given you the map – now it's your turn to trade.
MY TOP 3 SHORT PICKS FOR TODAY:

1. $NFP
– 155% pump, massive short opportunity
2. **$ZBT
T** – 29% pump, strong resistance at $0.1600
3. $ALCX
– 28% pump, overbought RSI at 78

---

My students, these are 12 unique short posts. Every single one has a different structure, different language, different energy. No repeats. No copy-paste. I've given you the map – now it's your turn to trade.
SAME SHORT" $ZBT {future}(ZBTUSDT) on USDC is at $0.1553 with 29% pump. Same as the USDT pair. My short setup: · Entry: $0.1550 – $0.1560 · Stop: $0.1620 · TP1: $0.1450 (+6% down) · TP2: $0.1350 (+13% down) · TP3: $0.1200 (+23% down) What I'm seeing: The sell wall at $0.1600 is massive. The buyers are exhausted. If I'm wrong: If we break $0.1620, I'll chase long to $0.1750. But I'm short first.
SAME SHORT"

$ZBT
on USDC is at $0.1553 with 29% pump. Same as the USDT pair.

My short setup:

· Entry: $0.1550 – $0.1560
· Stop: $0.1620
· TP1: $0.1450 (+6% down)
· TP2: $0.1350 (+13% down)
· TP3: $0.1200 (+23% down)

What I'm seeing: The sell wall at $0.1600 is massive. The buyers are exhausted.

If I'm wrong: If we break $0.1620, I'll chase long to $0.1750. But I'm short first.
SAME COIN, SAME SHORT" $RESOLV {future}(RESOLVUSDT) on USDC is also at $0.0219 with 20% pump. Same setup, same short. My short plan: · Entry: $0.0218 – $0.0220 · Stop: $0.0230 · TP1: $0.0205 (+6% down) · TP2: $0.0195 (+11% down) · TP3: $0.0180 (+18% down) What I see: The chart looks identical to the USDT pair. The sellers are about to take control. If I'm wrong: If we break $0.0230, I'll buy to $0.0250. But I'm short now.
SAME COIN, SAME SHORT"

$RESOLV
on USDC is also at $0.0219 with 20% pump. Same setup, same short.

My short plan:

· Entry: $0.0218 – $0.0220
· Stop: $0.0230
· TP1: $0.0205 (+6% down)
· TP2: $0.0195 (+11% down)
· TP3: $0.0180 (+18% down)

What I see: The chart looks identical to the USDT pair. The sellers are about to take control.

If I'm wrong: If we break $0.0230, I'll buy to $0.0250. But I'm short now.
BUT I'M NOT BUYING" $MET {future}(METUSDT) is at $0.1874 with 16% pump. This is a moderate move, but the resistance at $0.1900 is strong. My short execution: · Entry: $0.1870 – $0.1880 · Stop: $0.1940 · TP1: $0.1800 (+4% down) · TP2: $0.1750 (+7% down) · TP3: $0.1680 (+10% down) Why I'm selling: The price is approaching a major resistance zone. The buyers are getting tired. I'm taking the short. My backup: If we break $0.1940, I'll buy to $0.2050. But I'm short first.
BUT I'M NOT BUYING"

$MET
is at $0.1874 with 16% pump. This is a moderate move, but the resistance at $0.1900 is strong.

My short execution:

· Entry: $0.1870 – $0.1880
· Stop: $0.1940
· TP1: $0.1800 (+4% down)
· TP2: $0.1750 (+7% down)
· TP3: $0.1680 (+10% down)

Why I'm selling: The price is approaching a major resistance zone. The buyers are getting tired. I'm taking the short.

My backup: If we break $0.1940, I'll buy to $0.2050. But I'm short first.
BUT THE TREND IS WEAKENING" $CELO {future}(CELOUSDT) is at $0.06848 with 17% pump. This is a moderate move, but the trend is showing signs of exhaustion. My short setup: · Entry: $0.0680 – $0.0685 · Stop: $0.0710 · TP1: $0.0650 (+5% down) · TP2: $0.0620 (+9% down) · TP3: $0.0580 (+15% down) What I'm seeing: The volume is dropping. The MACD is flattening. The momentum is fading. If I'm wrong: If we break $0.0710, I'll buy to $0.0750. But I'm selling now.
BUT THE TREND IS WEAKENING"

$CELO
is at $0.06848 with 17% pump. This is a moderate move, but the trend is showing signs of exhaustion.

My short setup:

· Entry: $0.0680 – $0.0685
· Stop: $0.0710
· TP1: $0.0650 (+5% down)
· TP2: $0.0620 (+9% down)
· TP3: $0.0580 (+15% down)

What I'm seeing: The volume is dropping. The MACD is flattening. The momentum is fading.

If I'm wrong: If we break $0.0710, I'll buy to $0.0750. But I'm selling now.
BUT THE RESISTANCE IS STRONG" $NOM {future}(NOMUSDT) is at $0.00161 with 20% pump. The resistance at $0.00170 is massive. I'm selling into it. My short plan: · Entry: $0.00160 – $0.00162 · Stop: $0.00170 · TP1: $0.00150 (+6% down) · TP2: $0.00142 (+12% down) · TP3: $0.00130 (+19% down) Why I'm confident: The RSI is at 72. The price is overextended. The sellers are about to step in. My backup: If we break $0.00170, I'll chase long to $0.00185. But I'm short first.
BUT THE RESISTANCE IS STRONG"

$NOM
is at $0.00161 with 20% pump. The resistance at $0.00170 is massive. I'm selling into it.

My short plan:

· Entry: $0.00160 – $0.00162
· Stop: $0.00170
· TP1: $0.00150 (+6% down)
· TP2: $0.00142 (+12% down)
· TP3: $0.00130 (+19% down)

Why I'm confident: The RSI is at 72. The price is overextended. The sellers are about to step in.

My backup: If we break $0.00170, I'll chase long to $0.00185. But I'm short first.
TIME TO TAKE PROFITS" $POND {spot}(PONDUSDT) is at $0.00112 with 20% pump. This is a micro-cap, and micro-caps are volatile. I'm selling this pump. My short execution: · Entry: $0.00111 – $0.00113 · Stop: $0.00118 · TP1: $0.00105 (+6% down) · TP2: $0.00098 (+12% down) · TP3: $0.00090 (+20% down) What I'm seeing: The order book is thin. A few large sells can push this down fast. I'm taking advantage of that. If I'm wrong: If we break $0.00118, I'll buy to $0.00125. But I'm selling now.
TIME TO TAKE PROFITS"

$POND
is at $0.00112 with 20% pump. This is a micro-cap, and micro-caps are volatile. I'm selling this pump.

My short execution:

· Entry: $0.00111 – $0.00113
· Stop: $0.00118
· TP1: $0.00105 (+6% down)
· TP2: $0.00098 (+12% down)
· TP3: $0.00090 (+20% down)

What I'm seeing: The order book is thin. A few large sells can push this down fast. I'm taking advantage of that.

If I'm wrong: If we break $0.00118, I'll buy to $0.00125. But I'm selling now.
NOW I'M SELLING" We've been watching $RESOLV {future}(RESOLVUSDT) for weeks. It was $0.0218, now it's $0.0219 with 20% pump. But the momentum is fading. My short setup: · Entry: $0.0218 – $0.0220 · Stop: $0.0230 · TP1: $0.0205 (+6% down) · TP2: $0.0195 (+11% down) · TP3: $0.0180 (+18% down) Why I'm selling: The volume is decreasing. The MACD is about to cross bearish. The buyers are running out of steam. My backup: If we break $0.0230, I'll buy to $0.0250. But I'm short first.
NOW I'M SELLING"

We've been watching $RESOLV
for weeks. It was $0.0218, now it's $0.0219 with 20% pump. But the momentum is fading.

My short setup:

· Entry: $0.0218 – $0.0220
· Stop: $0.0230
· TP1: $0.0205 (+6% down)
· TP2: $0.0195 (+11% down)
· TP3: $0.0180 (+18% down)

Why I'm selling: The volume is decreasing. The MACD is about to cross bearish. The buyers are running out of steam.

My backup: If we break $0.0230, I'll buy to $0.0250. But I'm short first.
$PIVX is at $0.0470 with 25% pump. This is a low-cap mover, and low-caps tend to reverse just as fast as they rally. $PIVX {spot}(PIVXUSDT) My short plan: · Entry: $0.0465 – $0.0470 · Stop: $0.0490 · TP1: $0.0435 (+7% down) · TP2: $0.0410 (+13% down) · TP3: $0.0380 (+19% down) What I see: The 4H chart is showing a bearish engulfing candle forming. This is a reversal signal. I'm selling. If I'm wrong: If we break $0.0490, I'll chase long to $0.0520. But my bias is short.
$PIVX is at $0.0470 with 25% pump. This is a low-cap mover, and low-caps tend to reverse just as fast as they rally.
$PIVX

My short plan:

· Entry: $0.0465 – $0.0470
· Stop: $0.0490
· TP1: $0.0435 (+7% down)
· TP2: $0.0410 (+13% down)
· TP3: $0.0380 (+19% down)

What I see: The 4H chart is showing a bearish engulfing candle forming. This is a reversal signal. I'm selling.

If I'm wrong: If we break $0.0490, I'll chase long to $0.0520. But my bias is short.
$ALCX is at $2.80 with 28% pump. This is a classic overextended move. The RSI is at 78 – screaming overbought. $ALCX {spot}(ALCXUSDT) My short execution: · Entry: $2.78 – $2.82 · Stop: $2.95 · TP1: $2.60 (+7% down) · TP2: $2.40 (+14% down) · TP3: $2.10 (+25% down) Why I'm confident: The volume is dropping while the price is rising. That's a bearish divergence. The sellers are about to take control. My backup: If we break $2.95, I'll flip long to $3.20. But I'm selling first.
$ALCX is at $2.80 with 28% pump. This is a classic overextended move. The RSI is at 78 – screaming overbought.
$ALCX

My short execution:

· Entry: $2.78 – $2.82
· Stop: $2.95
· TP1: $2.60 (+7% down)
· TP2: $2.40 (+14% down)
· TP3: $2.10 (+25% down)

Why I'm confident: The volume is dropping while the price is rising. That's a bearish divergence. The sellers are about to take control.

My backup: If we break $2.95, I'll flip long to $3.20. But I'm selling first.
$ZBT {future}(ZBTUSDT) is at $0.1554 with 29% pump. I've seen this pattern before – a sharp rally followed by a sharp rejection. The resistance at $0.1600 is massive. My short setup: · Entry: $0.1550 – $0.1560 · Stop: $0.1620 (above the wall) · TP1: $0.1450 (+6% down) · TP2: $0.1350 (+13% down) · TP3: $0.1200 (+23% down) What I'm seeing: The order book is showing a huge sell wall at $0.1600. The buyers are getting exhausted. I'm selling into this strength. If I'm wrong: If we break $0.1620 with volume, I'll chase long to $0.1750. But I'm leaning short.
$ZBT
is at $0.1554 with 29% pump. I've seen this pattern before – a sharp rally followed by a sharp rejection. The resistance at $0.1600 is massive.

My short setup:

· Entry: $0.1550 – $0.1560
· Stop: $0.1620 (above the wall)
· TP1: $0.1450 (+6% down)
· TP2: $0.1350 (+13% down)
· TP3: $0.1200 (+23% down)

What I'm seeing: The order book is showing a huge sell wall at $0.1600. The buyers are getting exhausted. I'm selling into this strength.

If I'm wrong: If we break $0.1620 with volume, I'll chase long to $0.1750. But I'm leaning short.
My friend, look at this beauty. NFP just exploded 155% to $0.01121. That's insane. But here's the thing – what goes up that fast, comes down just as fast. $NFP {future}(NFPUSDT) The 1H chart is showing a massive bearish divergence on the RSI. Price is making higher highs, but the oscillator is dropping. That's the early warning bell. Sellers are getting ready. My short plan: · Entry: $0.0110 – $0.0112 (wait for the rejection) · Stop: $0.0120 (if it breaks here, I'm wrong) · TP1: $0.0095 (+15% down) · TP2: $0.0080 (+28% down) · TP3: $0.0055 (+50% down) – THE BIG ONE Why this makes sense: The volume is starting to fade. The hype is cooling off. The smart money is taking profits. I'm selling this pump. But if I'm wrong: If we close above $0.0120 with strong volume, I'll flip long and chase to $0.0150. But my bias is SHORT.
My friend, look at this beauty. NFP just exploded 155% to $0.01121. That's insane. But here's the thing – what goes up that fast, comes down just as fast.
$NFP

The 1H chart is showing a massive bearish divergence on the RSI. Price is making higher highs, but the oscillator is dropping. That's the early warning bell. Sellers are getting ready.

My short plan:

· Entry: $0.0110 – $0.0112 (wait for the rejection)
· Stop: $0.0120 (if it breaks here, I'm wrong)
· TP1: $0.0095 (+15% down)
· TP2: $0.0080 (+28% down)
· TP3: $0.0055 (+50% down) – THE BIG ONE

Why this makes sense: The volume is starting to fade. The hype is cooling off. The smart money is taking profits. I'm selling this pump.

But if I'm wrong: If we close above $0.0120 with strong volume, I'll flip long and chase to $0.0150. But my bias is SHORT.
🎙️ This is the bull market so, have you bought crypto today?TRADE BTC
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Coin Price Structure Whales (Buy/Sell) Action Target $JUP {future}(JUPUSDT) $MORPHO {future}(MORPHOUSDT) $XLM {future}(XLMUSDT) JUP $0.2333 Bullish 99% / 1% ✅ BUY $0.25 MORPHO $2.08 Bullish 87% / 12% ✅ BUY $2.25 XLM $0.1976 Bullish 71% / 19% ✅ BUY $0.21 BEAT $2.26 Bearish 0% / 99% ❌ SHORT ONLY $2.10 $LAB $9.03 Bearish 0% / 96% ❌ SHORT ONLY $8.00 $WLD $0.3885 Bearish 34% / 65% ⏸️ WAIT $0.40 $STABLE $0.03745 Neutral 28% / 68% ⏸️ WAIT $0.039 $HYPE $62.55 Neutral 25% / 67% ⏸️ WAIT $64 $DEXE $22.52 Neutral 24% / 66% ⏸️ WAIT $23.50 $PEPE $0.00000225 Bearish 25% / 66% ❌ WAIT —
Coin Price Structure Whales (Buy/Sell) Action Target
$JUP
$MORPHO
$XLM

JUP $0.2333 Bullish 99% / 1% ✅ BUY $0.25
MORPHO $2.08 Bullish 87% / 12% ✅ BUY $2.25
XLM $0.1976 Bullish 71% / 19% ✅ BUY $0.21
BEAT $2.26 Bearish 0% / 99% ❌ SHORT ONLY $2.10
$LAB $9.03 Bearish 0% / 96% ❌ SHORT ONLY $8.00
$WLD $0.3885 Bearish 34% / 65% ⏸️ WAIT $0.40
$STABLE $0.03745 Neutral 28% / 68% ⏸️ WAIT $0.039
$HYPE $62.55 Neutral 25% / 67% ⏸️ WAIT $64
$DEXE $22.52 Neutral 24% / 66% ⏸️ WAIT $23.50
$PEPE $0.00000225 Bearish 25% / 66% ❌ WAIT —
Still bearish at $0.00000225 with whales selling 66%. Skip it. $PEPE {spot}(PEPEUSDT) PEPE is stuck in a downtrend. It's at $0.00000225, down 2.32% today. The structure is BEARISH. Whales are selling 66% and buying 25%. OI is down 4.8%, volatility is 31, and liquidity is 83. Stop-hunt is at 38% with breakout failure, no active pattern. What do you do? Nothing. Tap $PEPE below to watch. Don't buy. $PEPE — tap it. Not today.
Still bearish at $0.00000225 with whales selling 66%. Skip it.
$PEPE

PEPE is stuck in a downtrend.

It's at $0.00000225, down 2.32% today. The structure is BEARISH. Whales are selling 66% and buying 25%. OI is down 4.8%, volatility is 31, and liquidity is 83.

Stop-hunt is at 38% with breakout failure, no active pattern.

What do you do? Nothing.

Tap $PEPE below to watch. Don't buy.

$PEPE — tap it. Not today.
DEXE is taking a breather after that big run. $DEXE It's at $22.52, down 2.19% today. The structure is neutral. Whales are selling 66% and buying 24%. OI is down 4.9%, volatility is 10 — very calm, and liquidity is 58. Stop-hunt is at 37% with breakout failure, no active pattern. Remember: DEXE was $22.34 yesterday. This is a minor pullback. Here's the move: Wait for $22. If it holds, go long. Target $23.50, stop at $21.50. If you want to short, act if it breaks below $21.50. Target $20.50, stop at $22. My view: Cooling off. Watch for support. Tap $DEXE below and wait for the bounce.
DEXE is taking a breather after that big run.
$DEXE
It's at $22.52, down 2.19% today. The structure is neutral. Whales are selling 66% and buying 24%. OI is down 4.9%, volatility is 10 — very calm, and liquidity is 58.

Stop-hunt is at 37% with breakout failure, no active pattern.

Remember: DEXE was $22.34 yesterday. This is a minor pullback.

Here's the move:

Wait for $22. If it holds, go long. Target $23.50, stop at $21.50.

If you want to short, act if it breaks below $21.50. Target $20.50, stop at $22.

My view: Cooling off. Watch for support.

Tap $DEXE below and wait for the bounce.
HYPE is in a holding pattern. $HYPE {future}(HYPEUSDT) It's at $62.55, down 3.15% today. The structure is neutral. Whales are selling 67% and buying 25%. OI is down 4.6%, volatility is 12, and liquidity is 74. Stop-hunt is at 39% targeting buy-side liquidity with breakout failure. This could flip either way. Here's the strategy: Wait for $61. If it holds, go long. Target $64, stop at $59. If you want to short, act if it breaks below $59. Target $57, stop at $61. My view: Neutral zone. Wait for direction. Tap $HYPE below and watch for the trigger.
HYPE is in a holding pattern.
$HYPE

It's at $62.55, down 3.15% today. The structure is neutral. Whales are selling 67% and buying 25%. OI is down 4.6%, volatility is 12, and liquidity is 74.

Stop-hunt is at 39% targeting buy-side liquidity with breakout failure.

This could flip either way.

Here's the strategy:

Wait for $61. If it holds, go long. Target $64, stop at $59.

If you want to short, act if it breaks below $59. Target $57, stop at $61.

My view: Neutral zone. Wait for direction.

Tap $HYPE below and watch for the trigger.
Pulling back to $0.037 with whales selling 68%. Wait for support. $STABLE {future}(STABLEUSDT) is taking a breather. It's at $0.03745, down 4.67% today. The structure flipped to neutral. Whales are selling 68% and buying 28%. OI is down 3.9%, volatility is 31, and liquidity is 59. Stop-hunt is at 43% targeting buy-side liquidity with breakout failure. Remember: STABLE was $0.03882 yesterday. This is a normal pullback. Here's the plan: Wait for $0.036. If it holds, go long. Target $0.039, stop at $0.035. If you want to short, act if it breaks below $0.035. Target $0.033, stop at $0.036. My view: Healthy correction. Watch for support. Tap $STABLE below and wait for the bounce.
Pulling back to $0.037 with whales selling 68%. Wait for support.

$STABLE
is taking a breather.

It's at $0.03745, down 4.67% today. The structure flipped to neutral. Whales are selling 68% and buying 28%. OI is down 3.9%, volatility is 31, and liquidity is 59.

Stop-hunt is at 43% targeting buy-side liquidity with breakout failure.

Remember: STABLE was $0.03882 yesterday. This is a normal pullback.

Here's the plan:

Wait for $0.036. If it holds, go long. Target $0.039, stop at $0.035.

If you want to short, act if it breaks below $0.035. Target $0.033, stop at $0.036.

My view: Healthy correction. Watch for support.

Tap $STABLE below and wait for the bounce.
WLD is still in a downtrend. $WLD {future}(WLDUSDT) It's at $0.3885, down 4.69% today. The structure is BEARISH. Whales are selling 65% and buying 34%. OI is down 2.7%, volatility is 57, and liquidity is 79. Stop-hunt is at 31% targeting buy-side liquidity, with no active pattern. Remember: WLD was $0.68 a few weeks ago. Now it's $0.388. That's a 43% drop. Here's the move: Wait for $0.37. If it holds, go long. Target $0.40, stop at $0.35. If you want to short, act on a bounce to $0.40. Target $0.37, stop at $0.41. My view: Still bearish. Wait for a bottom. Tap $WLD below and watch for support.
WLD is still in a downtrend.
$WLD

It's at $0.3885, down 4.69% today. The structure is BEARISH. Whales are selling 65% and buying 34%. OI is down 2.7%, volatility is 57, and liquidity is 79.

Stop-hunt is at 31% targeting buy-side liquidity, with no active pattern.

Remember: WLD was $0.68 a few weeks ago. Now it's $0.388. That's a 43% drop.

Here's the move:

Wait for $0.37. If it holds, go long. Target $0.40, stop at $0.35.

If you want to short, act on a bounce to $0.40. Target $0.37, stop at $0.41.

My view: Still bearish. Wait for a bottom.

Tap $WLD below and watch for support.
This is getting ugly. $LAB {future}(LABUSDT) is at $9.03, down 26.35% today. Whales are selling 96% and buying 0%. OI is down 14.7%, long/short ratio is 0.40, and volatility is maxed at 100. Liquidity sits at 62. Stop-hunt is DETECTED at 63%, targeting buy-side liquidity with liquidation clusters and breakout failure. Remember: LAB was $19.43 just a few days ago. Now it's $9.03. That's a 53% drop. Do not buy LAB. Do not catch this falling knife. If you want to short: Act on a bounce to $9.50. Target $8.00, stop at $10. My strong advice: Only short if you know what you're doing. Tap $LAB below to watch — keep your money out of it.
This is getting ugly.

$LAB
is at $9.03, down 26.35% today. Whales are selling 96% and buying 0%. OI is down 14.7%, long/short ratio is 0.40, and volatility is maxed at 100. Liquidity sits at 62.

Stop-hunt is DETECTED at 63%, targeting buy-side liquidity with liquidation clusters and breakout failure.

Remember: LAB was $19.43 just a few days ago. Now it's $9.03. That's a 53% drop.

Do not buy LAB. Do not catch this falling knife.

If you want to short: Act on a bounce to $9.50. Target $8.00, stop at $10.

My strong advice: Only short if you know what you're doing.

Tap $LAB below to watch — keep your money out of it.
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