$MEMEFI price increases momentum is strong, capital continues to flow in under the risk aversion consideration
Recent price trend (1 hour chart): MEMEFI price shows a clear upward trend, having recently experienced a rapid rise, currently consolidating at a high near 0.0049 USDT.
Capital data analysis (contract):
Institutional contract capital: shows a continuous and strong net buying state in almost all time periods.
Retail contract capital: although there are fluctuations in the short term, the medium to long term is also dominated by significant net buying.
AI score is 77.294 and is marked as "high-quality coin."
Technical analysis (1 hour chart):
Support: 0.004400 USDT (recent key support level). Below is 0.003167 USDT.
Resistance: 0.005480 USDT (recent high point, important resistance level).
Comprehensive analysis and risk aversion consideration: The continuous rise in MEMEFI price is highly consistent with the continuous strong net buying in the contract market (especially institutional funds). This synchronous positive trend of capital and price, coupled with the high AI score and "high-quality coin" label, together constitute a bullish signal.
However, in any market environment, especially after a rapid price increase, risk management is the primary task of investment. Despite the positive trend, the price is currently consolidating at a high, which itself contains uncertainty, necessitating a clear risk awareness.
Risk Warning: Be highly vigilant of the risk of a technical pullback in price at the current high. The price has already experienced a significant increase and may face selling pressure from profit-taking at any moment. Closely monitor the 0.005480 USDT recent key resistance level; if it fails to effectively break through and stabilize, the likelihood of a pullback will increase.
Once the price begins to pull back, 0.004400 USDT is a support level that needs to be closely monitored below. When taking any trading action, strict stop-loss points must be set in advance, and the position size should be controlled based on one’s risk tolerance to maximize control and avoid risks that may arise from market volatility.