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Bullish
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Perdagangan No.78
$SPELL
Posisi: Jual (20x)
Masuk: 6980 - 7040
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$BEAT has clearly lost bullish structure after rejecting hard from the 2.45–2.50 supply zone. The move down is impulsive, not corrective, which confirms strong selling pressure. Every bounce attempt is getting sold quickly, and price is now pressing the local demand around 2.00. This is distribution → breakdown → weak bounce behavior. As long as price stays below the previous lower high zone, sellers remain in control. 📌 Key read 2.30–2.40 = strong rejection / supply 2.00 = psychological support (already tested) No bullish structure reclaim yet If 2.00 fails cleanly, downside continuation becomes aggressive. 🔽 Short Scalp Trade Signal Entry Zone: 2.18 – 2.28 TP1: 1.98 TP2: 1.82 Stop Loss: 2.55 Leverage: 20x – 40x Margin: 2% – 5% Risk Tip: Take partial at TP1 and move SL to entry to protect capital This is a trend-following scalp, not a bottom-fishing play. Let price come into resistance and execute with discipline. Short #BEAT Here 👇👇
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$RIVER has already gone through a sharp sell-off (-25%+) from the 4.60 highs, followed by weak consolidation near the lows. The bounce attempts are shallow and corrective, not impulsive, which tells us sellers are still in control. Price is forming lower highs and weak reactions, a typical continuation structure after heavy distribution. This is not accumulation — it’s bearish consolidation after a breakdown. Until $RIVER can reclaim and hold above the key supply zone, downside scalps remain the higher-probability play. 📌 When does bias change? Only if price reclaims and holds above 3.70–3.80 with strength. Below this zone, rallies are selling opportunities. 🔽 Short Scalp Trade Signal Entry Zone: 3.45 – 3.65 TP1: 3.15 TP2: 2.90 Stop Loss: 3.85 Leverage: 20x – 40x Margin: 2% – 5% Risk Management: Secure partial at TP1 and trail stop to entry This is a structure-based continuation scalp, not a random short. Patience on entries will significantly improve accuracy. Short #RIVER Here 👇👇
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$SQD has already delivered a strong impulsive move (+35%+) from the 0.046 area into the 0.0769 high. After that spike, price failed to hold the top and shifted into sideways-to-down consolidation with lower momentum. This structure is classic post-pump distribution — buyers are exhausted, and every bounce is getting absorbed. Right now, price is sitting below the mid-range with no strong reclaim, which favors short scalps on pullbacks, not fresh longs. 📌 Bias logic Above 0.078 → short idea invalid Below 0.070 → downside continuation likely 🔽 Short Scalp Trade Signal Entry Zone: 0.0685 – 0.0710 TP1: 0.0620 TP2: 0.0585 Stop Loss: 0.0785 Leverage: 20x – 40x Margin: 2% – 5% Risk Management: Book partial at TP1 and trail stop to entry This is a fade-the-pump scalp, not a trend short. Wait for price to come into the entry zone for best accuracy. Short #SQD Here 👇👇
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$BANANA just printed a sharp impulsive rally (+30%+) from the 6.20 area into the 8.20 high. After that peak, price failed to continue and immediately shifted into choppy, overlapping candles, showing momentum exhaustion. The current range around 7.8 is distribution, not strength. Buyers are no longer pushing higher highs, and every bounce is getting sold quickly. This kind of structure usually leads to a pullback continuation, not another clean leg up. Unless $BANANA reclaims the high with strength, this favors fade scalps, not aggressive longs. 📌 When would Trend change Only if price breaks and holds above 8.30 with strong follow-through. Below that zone, shorts remain safer. 🔽 Short Scalp Trade Signal Entry Zone: 7.95 – 8.15 TP1: 7.40 TP2: 6.95 Stop Loss: 8.45 Leverage: 20x – 40x Margin: 2% – 5% Risk Management: Secure partials at TP1 and trail stop to entry This is a post-pump fade scalp, not a guess. Patience on entries improves accuracy. Short #BANANA Here 👇👇
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$TRUTH has seen a full momentum breakdown with a straight sell-off from the 0.025 area down to 0.0106. That kind of move is not random — it shows strong panic selling and trend domination by sellers. The current sideways move around 0.0119 is not accumulation, it’s just a pause after a heavy dump. Price is still below all major breakdown levels, and structure remains weak. Until $TRUTH reclaims key supply zones, any bounce is sellable, not buyable. This is a classic dead-cat consolidation, where shorts usually get another continuation leg. 📌 Trend flip condition Only consider longs if price holds above 0.0140 with strength. Below that, shorts stay in control. 🔽 Short Scalp Trade Signal Entry Zone: 0.0122 – 0.0132 TP1: 0.0110 TP2: 0.0102 Stop Loss: 0.0142 Leverage: 20x – 40x Margin: 2% – 5% Risk Management: Take partials at TP1 and trail stop to entry This is a structure-based scalp, not emotional trading. Wait for pullbacks for better accuracy. Short #TRUTH Here 👇👇
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