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GIVEAWAY MADNESS! 🔥 I’m giving away 1000 Gifts – and YOU can be one of the lucky winners! 💥 All you need to do: 1️⃣ Follow me 2️⃣ Comment below 3️⃣ Snag your Red Pocket NOW! 🎁 This is your moment! 🌟 #SquareFamilyLove #GiftExplosion #RedPocket
GIVEAWAY MADNESS! 🔥

I’m giving away 1000 Gifts – and YOU can be one of the lucky winners! 💥
All you need to do:

1️⃣ Follow me

2️⃣ Comment below

3️⃣ Snag your Red Pocket NOW! 🎁

This is your moment! 🌟
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1000 REGALI stanno per piovere sulla mia Square famiglia 🎁 Questo non è piccolo… questa è GRANDE energia. Seguimi, lascia un commento e assicurati il tuo Red Pocket adesso. Non restare a guardare. Fai parte dei vincitori. Andiamo 🚀
1000 REGALI stanno per piovere sulla mia Square

famiglia 🎁 Questo non è piccolo… questa è GRANDE energia. Seguimi, lascia un commento e assicurati il tuo Red Pocket

adesso. Non restare a guardare. Fai parte dei

vincitori. Andiamo 🚀
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🚨$KITE is not moving naturally right now. The price action shows sharp pumps followed by quick drops. That’s not healthy trend behavior. That’s engineered volatility. Large players are likely pushing price up to attract breakout buyers, then unloading into that strength. Small traders chase the green candles and get trapped on the reversal. I’m not interested in being liquidity for someone else. Volume spikes without structure. Sudden vertical moves without consolidation. Fast reversals after breakout attempts. These are classic trap signals. If you’re trading small size, this environment can drain you quickly. WHY THIS MATTERS • Unnatural vertical candles • Sudden volume spikes • No stable higher low structure • Fast reversals after breakout attempts • Emotional participation increases risk This is not a clean trend. It’s unstable movement. Capital protection comes first. TRADE PLAN Bias: NEUTRAL until structure stabilizes Aggressive Option (High Risk, Not Preferred): Entry Zone: Only after a confirmed base forms and price holds above reclaimed support Stop Loss: Below the newly formed base structure Target Points: First resistance retest Previous manipulation high Safer Plan (What I’m Doing): I’m waiting. No entry until volatility cools and price forms consistent higher lows with stable volume. I want compression and structure — not chaos. #WhenWillCLARITYActPass #StrategyBTCPurchase #PredictionMarketsCFTCBacking #HarvardAddsETHExposure #OpenClawFounderJoinsOpenAI
🚨$KITE is not moving naturally right now. The price action shows sharp pumps followed by quick drops. That’s not healthy trend behavior. That’s engineered volatility.

Large players are likely pushing price up to attract breakout buyers, then unloading into that strength. Small traders chase the green candles and get trapped on the reversal. I’m not interested in being liquidity for someone else.

Volume spikes without structure. Sudden vertical moves without consolidation. Fast reversals after breakout attempts. These are classic trap signals.

If you’re trading small size, this environment can drain you quickly.

WHY THIS MATTERS

• Unnatural vertical candles
• Sudden volume spikes
• No stable higher low structure
• Fast reversals after breakout attempts
• Emotional participation increases risk

This is not a clean trend. It’s unstable movement. Capital protection comes first.

TRADE PLAN

Bias: NEUTRAL until structure stabilizes

Aggressive Option (High Risk, Not Preferred):

Entry Zone:
Only after a confirmed base forms and price holds above reclaimed support

Stop Loss:
Below the newly formed base structure

Target Points:
First resistance retest
Previous manipulation high

Safer Plan (What I’m Doing):

I’m waiting. No entry until volatility cools and price forms consistent higher lows with stable volume. I want compression and structure — not chaos.

#WhenWillCLARITYActPass #StrategyBTCPurchase #PredictionMarketsCFTCBacking #HarvardAddsETHExposure #OpenClawFounderJoinsOpenAI
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🔄$UAI is lagging compared to its peers, but it hasn’t broken structure. It’s quietly maintaining higher support while others already expanded. That’s important. In rotational markets, laggards often become the next targets once leaders cool off. Right now, the broader behavior feels like rotation — not full risk-on. Capital is moving selectively. Short term, patience is required. This isn’t a momentum chase. But long term, if capital rotates back into AI-linked narratives, upside opens fast. WHY THIS SETUP WORKS • Bullish structure still intact • Relative lag vs peers = rotation potential • Higher lows holding key support • Defined risk below structure • Market environment favors selective breakouts When leaders stall, money looks for the next chart that hasn’t moved yet. I’m positioning before that shift, not after it. TRADE PLAN Bias: LONG Entry Zone: 0.22 – 0.24 Stop Loss: Below structural support (under 0.22 base) Target Points: TG1: 0.27 TG2: 0.31 TG3: 0.36 Execution Plan: I’m entering inside 0.22–0.24 on controlled dips. I’ll secure partials at 0.27 to reduce exposure. More profit at 0.31. I’ll leave a runner for 0.36 if rotation accelerates. #WhenWillCLARITYActPass #StrategyBTCPurchase #PredictionMarketsCFTCBacking #HarvardAddsETHExposure #OpenClawFounderJoinsOpenAI
🔄$UAI is lagging compared to its peers, but it hasn’t broken structure. It’s quietly maintaining higher support while others already expanded. That’s important.

In rotational markets, laggards often become the next targets once leaders cool off. Right now, the broader behavior feels like rotation — not full risk-on. Capital is moving selectively.

Short term, patience is required. This isn’t a momentum chase. But long term, if capital rotates back into AI-linked narratives, upside opens fast.

WHY THIS SETUP WORKS

• Bullish structure still intact
• Relative lag vs peers = rotation potential
• Higher lows holding key support
• Defined risk below structure
• Market environment favors selective breakouts

When leaders stall, money looks for the next chart that hasn’t moved yet. I’m positioning before that shift, not after it.

TRADE PLAN

Bias: LONG

Entry Zone:
0.22 – 0.24

Stop Loss:
Below structural support (under 0.22 base)

Target Points:
TG1: 0.27
TG2: 0.31
TG3: 0.36

Execution Plan:
I’m entering inside 0.22–0.24 on controlled dips. I’ll secure partials at 0.27 to reduce exposure. More profit at 0.31. I’ll leave a runner for 0.36 if rotation accelerates.

#WhenWillCLARITYActPass #StrategyBTCPurchase #PredictionMarketsCFTCBacking #HarvardAddsETHExposure #OpenClawFounderJoinsOpenAI
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$BEAT is not moving like a parabolic name. It’s trending gradually. That’s healthier. Instead of vertical spikes and sharp reversals, we’re seeing steady structure with controlled pullbacks. Support levels at 0.245 and 0.228 are clearly defined. Resistance stands at 0.285 and 0.31. Right now, short term, I’m expecting a range build between 0.25–0.28. That type of compression usually prepares the next expansion. Long term, the important detail is the series of higher lows. That suggests steady accumulation. Not emotional buying — calculated positioning. If 0.31 breaks clean with strength, projection opens toward 0.36–0.40. WHY THIS SETUP WORKS • Gradual trend continuation • Series of higher lows • Strong defined support levels • Range compression under resistance • Clear breakout trigger above 0.31 When a market builds higher lows under resistance without sharp rejection, breakout probability increases. I’m positioning around structure, not guessing. TRADE PLAN Bias: LONG Entry Zone: 0.248 – 0.262 (inside expected range support) Stop Loss: Below 0.228 Target Points: TP1: 0.285 TP2: 0.31 TP3: 0.36 – 0.40 (on confirmed breakout) Execution Plan: I’m entering near lower range support around 0.25–0.26. First scale at 0.285 to secure partials. More profit at 0.31. If price breaks and holds above 0.31 with strength, I’ll let runners aim toward 0.36–0.40. #WhenWillCLARITYActPass #StrategyBTCPurchase #PredictionMarketsCFTCBacking #HarvardAddsETHExposure #OpenClawFounderJoinsOpenAI
$BEAT is not moving like a parabolic name. It’s trending gradually. That’s healthier. Instead of vertical spikes and sharp reversals, we’re seeing steady structure with controlled pullbacks.

Support levels at 0.245 and 0.228 are clearly defined. Resistance stands at 0.285 and 0.31. Right now, short term, I’m expecting a range build between 0.25–0.28. That type of compression usually prepares the next expansion.

Long term, the important detail is the series of higher lows. That suggests steady accumulation. Not emotional buying — calculated positioning.

If 0.31 breaks clean with strength, projection opens toward 0.36–0.40.

WHY THIS SETUP WORKS

• Gradual trend continuation
• Series of higher lows
• Strong defined support levels
• Range compression under resistance
• Clear breakout trigger above 0.31

When a market builds higher lows under resistance without sharp rejection, breakout probability increases. I’m positioning around structure, not guessing.

TRADE PLAN

Bias: LONG

Entry Zone:
0.248 – 0.262 (inside expected range support)

Stop Loss:
Below 0.228

Target Points:
TP1: 0.285
TP2: 0.31
TP3: 0.36 – 0.40 (on confirmed breakout)

Execution Plan:
I’m entering near lower range support around 0.25–0.26. First scale at 0.285 to secure partials. More profit at 0.31. If price breaks and holds above 0.31 with strength, I’ll let runners aim toward 0.36–0.40.

#WhenWillCLARITYActPass #StrategyBTCPurchase #PredictionMarketsCFTCBacking #HarvardAddsETHExposure #OpenClawFounderJoinsOpenAI
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$SOL is printing clean higher highs and holding intraday support with confidence. Buyers are stepping in on every dip, and price keeps riding the fast EMA without deep retracements. That’s trend strength. We’re not seeing exhaustion. We’re seeing continuation behavior. Price is building above prior consolidation, which means former resistance is acting as support now. That shift matters. As long as structure holds above 80.90, bullish continuation remains favored. WHY THIS SETUP WORKS • Clean higher highs structure • Fast EMA acting as dynamic support • Buyers defending pullbacks • Previous consolidation flipped into support • Clear invalidation level When price trends while holding above key averages and keeps building higher lows, expansion usually follows. TRADE PLAN Bias: LONG Entry Zone: 82.40 – 83.00 Preferred Entry: 82.85 inside the zone Stop Loss: 80.90 Target Points: TP1: 84.20 TP2: 86.00 TP3: 88.50 Execution Plan: I’m entering within 82.40–83.00 on controlled pullbacks. I’ll secure partials at 84.20 to reduce risk. More profits at 86.00. I’ll let runners aim for 88.50 if momentum continues expanding. #WhenWillCLARITYActPass #StrategyBTCPurchase #PredictionMarketsCFTCBacking #HarvardAddsETHExposure #OpenClawFounderJoinsOpenAI
$SOL is printing clean higher highs and holding intraday support with confidence. Buyers are stepping in on every dip, and price keeps riding the fast EMA without deep retracements. That’s trend strength.

We’re not seeing exhaustion. We’re seeing continuation behavior. Price is building above prior consolidation, which means former resistance is acting as support now. That shift matters.

As long as structure holds above 80.90, bullish continuation remains favored.

WHY THIS SETUP WORKS

• Clean higher highs structure
• Fast EMA acting as dynamic support
• Buyers defending pullbacks
• Previous consolidation flipped into support
• Clear invalidation level

When price trends while holding above key averages and keeps building higher lows, expansion usually follows.

TRADE PLAN

Bias: LONG

Entry Zone:
82.40 – 83.00

Preferred Entry:
82.85 inside the zone

Stop Loss:
80.90

Target Points:
TP1: 84.20
TP2: 86.00
TP3: 88.50

Execution Plan:
I’m entering within 82.40–83.00 on controlled pullbacks. I’ll secure partials at 84.20 to reduce risk. More profits at 86.00. I’ll let runners aim for 88.50 if momentum continues expanding.

#WhenWillCLARITYActPass #StrategyBTCPurchase #PredictionMarketsCFTCBacking #HarvardAddsETHExposure #OpenClawFounderJoinsOpenAI
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📈 $MYX isn’t spiking. It’s grinding. Slow, steady, disciplined upside with higher lows forming consistently. That kind of structure usually reflects algorithmic accumulation — not retail chasing. There are no emotional candles. No blow-off moves. Just controlled trend behavior. This type of price action often leads to delayed but powerful expansions because supply keeps getting absorbed quietly. Short term, it may feel slow. But structurally, it’s healthy. As long as higher lows continue forming, positioning remains favorable. WHY THIS SETUP WORKS • Strong trend discipline • Consistent higher lows • No aggressive rejection from highs • Pullbacks being absorbed • Expansion typically follows compression + accumulation When price trends upward without volatility spikes, it usually means stronger hands are building positions. I’m aligning with that flow. TRADE PLAN Bias: LONG Entry Zone: 1.05 – 1.12 Stop Loss: Below the most recent confirmed higher low (structure-based invalidation under 1.05 zone) Target Points: TG1: 1.28 TG2: 1.44 TG3: 1.62 Execution Plan: I’m entering inside 1.05–1.12 on controlled dips. First scale at 1.28 to lock partials. I’ll reduce more at 1.44 and leave a runner for 1.62 if expansion accelerates. #WhenWillCLARITYActPass #StrategyBTCPurchase #HarvardAddsETHExposure #PredictionMarketsCFTCBacking #OpenClawFounderJoinsOpenAI
📈

$MYX isn’t spiking. It’s grinding. Slow, steady, disciplined upside with higher lows forming consistently. That kind of structure usually reflects algorithmic accumulation — not retail chasing.

There are no emotional candles. No blow-off moves. Just controlled trend behavior. This type of price action often leads to delayed but powerful expansions because supply keeps getting absorbed quietly.

Short term, it may feel slow. But structurally, it’s healthy. As long as higher lows continue forming, positioning remains favorable.

WHY THIS SETUP WORKS

• Strong trend discipline
• Consistent higher lows
• No aggressive rejection from highs
• Pullbacks being absorbed
• Expansion typically follows compression + accumulation

When price trends upward without volatility spikes, it usually means stronger hands are building positions. I’m aligning with that flow.

TRADE PLAN

Bias: LONG

Entry Zone:
1.05 – 1.12

Stop Loss:
Below the most recent confirmed higher low (structure-based invalidation under 1.05 zone)

Target Points:
TG1: 1.28
TG2: 1.44
TG3: 1.62

Execution Plan:
I’m entering inside 1.05–1.12 on controlled dips. First scale at 1.28 to lock partials. I’ll reduce more at 1.44 and leave a runner for 1.62 if expansion accelerates.

#WhenWillCLARITYActPass #StrategyBTCPurchase #HarvardAddsETHExposure #PredictionMarketsCFTCBacking #OpenClawFounderJoinsOpenAI
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$SKY — BASING AFTER LIQUIDITY SWEEP 🔄🔥 After the corrective move lower, $SKY tapped sell-side liquidity and didn’t continue dumping. Instead, price shifted into tight consolidation near support. That tells me sellers pushed, but follow-through was weak. Now structure is trying to stabilize. We’re seeing a base form instead of another leg down. That’s the first sign of absorption. If this base holds, rotation back toward prior resistance becomes the high-probability path. WHY THIS SETUP WORKS • Sell-side liquidity was swept • No strong continuation after the sweep • Tight consolidation near support • Early basing structure forming • Clear invalidation level When liquidity gets cleared and price compresses instead of collapsing, it often leads to rotation the other way. I’m trading that shift. TRADE PLAN Bias: LONG Entry Zone: 0.0642 – 0.0650 Stop Loss: 0.0632 Target Points: TP1: 0.0668 TP2: 0.0685 TP3: 0.0705 Execution Plan: I’m entering inside 0.0642–0.0650 while structure holds. First scale at 0.0668 to reduce exposure. I’ll secure more at 0.0685 and let runners push toward 0.0705 if momentum builds. #WhenWillCLARITYActPass #StrategyBTCPurchase #PredictionMarketsCFTCBacking #HarvardAddsETHExposure #OpenClawFounderJoinsOpenAI
$SKY — BASING AFTER LIQUIDITY SWEEP 🔄🔥

After the corrective move lower, $SKY tapped sell-side liquidity and didn’t continue dumping. Instead, price shifted into tight consolidation near support. That tells me sellers pushed, but follow-through was weak.

Now structure is trying to stabilize. We’re seeing a base form instead of another leg down. That’s the first sign of absorption.

If this base holds, rotation back toward prior resistance becomes the high-probability path.

WHY THIS SETUP WORKS

• Sell-side liquidity was swept
• No strong continuation after the sweep
• Tight consolidation near support
• Early basing structure forming
• Clear invalidation level

When liquidity gets cleared and price compresses instead of collapsing, it often leads to rotation the other way. I’m trading that shift.

TRADE PLAN

Bias: LONG

Entry Zone:
0.0642 – 0.0650

Stop Loss:
0.0632

Target Points:
TP1: 0.0668
TP2: 0.0685
TP3: 0.0705

Execution Plan:
I’m entering inside 0.0642–0.0650 while structure holds. First scale at 0.0668 to reduce exposure. I’ll secure more at 0.0685 and let runners push toward 0.0705 if momentum builds.

#WhenWillCLARITYActPass #StrategyBTCPurchase #PredictionMarketsCFTCBacking #HarvardAddsETHExposure #OpenClawFounderJoinsOpenAI
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🔥$RAVE has finished consolidating and structure is tightening. Instead of breaking down, price held support and started printing higher lows. That tells me buyers are quietly accumulating. Momentum is building. Pullbacks are getting absorbed. No heavy rejection from resistance. This looks like preparation for the next leg higher. This isn’t chasing a pump — it’s trading expansion after compression. WHY THIS SETUP WORKS • Consolidation after prior move • Higher lows forming inside the range • Buyers stepping in on dips • Momentum gradually increasing • Clear structure support for invalidation When price compresses and holds structure instead of collapsing, continuation becomes the higher-probability path. TRADE PLAN Bias: LONG Entry Zone: Market strength or pullback into local support (wait for a controlled dip, don’t chase extended candles) Stop Loss: Below structure support (place it under the most recent higher low that defines the range) Target Points: TP1: 0.5370 TP2: 0.5530 TP3: 0.5800 Execution Plan: I’m entering on either a small pullback into support or confirmation strength above consolidation highs. I’ll secure partials at 0.5370 to reduce risk. More profits come off at 0.5530. I’ll leave a runner for 0.5800 if momentum accelerates. #WhenWillCLARITYActPass #StrategyBTCPurchase #PredictionMarketsCFTCBacking #HarvardAddsETHExposure #OpenClawFounderJoinsOpenAI
🔥$RAVE has finished consolidating and structure is tightening. Instead of breaking down, price held support and started printing higher lows. That tells me buyers are quietly accumulating.

Momentum is building. Pullbacks are getting absorbed. No heavy rejection from resistance. This looks like preparation for the next leg higher.

This isn’t chasing a pump — it’s trading expansion after compression.

WHY THIS SETUP WORKS

• Consolidation after prior move
• Higher lows forming inside the range
• Buyers stepping in on dips
• Momentum gradually increasing
• Clear structure support for invalidation

When price compresses and holds structure instead of collapsing, continuation becomes the higher-probability path.

TRADE PLAN

Bias: LONG

Entry Zone:
Market strength or pullback into local support (wait for a controlled dip, don’t chase extended candles)

Stop Loss:
Below structure support (place it under the most recent higher low that defines the range)

Target Points:
TP1: 0.5370
TP2: 0.5530
TP3: 0.5800

Execution Plan:
I’m entering on either a small pullback into support or confirmation strength above consolidation highs. I’ll secure partials at 0.5370 to reduce risk. More profits come off at 0.5530. I’ll leave a runner for 0.5800 if momentum accelerates.

#WhenWillCLARITYActPass #StrategyBTCPurchase #PredictionMarketsCFTCBacking #HarvardAddsETHExposure #OpenClawFounderJoinsOpenAI
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$BTC — BULLISH CONTINUATION STRUCTURE 🚀 After the impulsive push, $BTC is not fading. It’s holding above the fast EMAs and building higher support instead of retracing deep. That’s strength. Price is coiling just under intraday resistance while buyers keep defending pullbacks. No aggressive sell pressure. No breakdown. Just controlled consolidation above trend support. This is how continuation trends behave — impulse, hold, compress, expand. Right now, momentum remains intact as long as structure stays above 66,280. Higher lows are forming, and dips are getting absorbed quickly. WHY THIS SETUP WORKS • Strong impulsive expansion before consolidation • Holding above fast EMAs • Higher low structure forming • Pullbacks being defended • Clear invalidation level When price compresses under resistance while maintaining higher support, breakout probability increases. I’m positioning with structure, not emotion. TRADE PLAN Entry Zone: 66,950 – 67,250 Entry Trigger: 67,180 preferred inside the zone Stop Loss: 66,280 Target Points: TP1: 67,900 TP2: 68,600 TP3: 69,400 Execution Plan: I’m entering inside the 66,950–67,250 zone on controlled dips. First scale at 67,900 to secure partials. I’ll reduce more at 68,600 and let runners aim for 69,400 if expansion continues. #WhenWillCLARITYActPass #StrategyBTCPurchase #PredictionMarketsCFTCBacking #HarvardAddsETHExposure #OpenClawFounderJoinsOpenAI
$BTC — BULLISH CONTINUATION STRUCTURE 🚀

After the impulsive push, $BTC is not fading. It’s holding above the fast EMAs and building higher support instead of retracing deep. That’s strength.

Price is coiling just under intraday resistance while buyers keep defending pullbacks. No aggressive sell pressure. No breakdown. Just controlled consolidation above trend support.

This is how continuation trends behave — impulse, hold, compress, expand.

Right now, momentum remains intact as long as structure stays above 66,280. Higher lows are forming, and dips are getting absorbed quickly.

WHY THIS SETUP WORKS

• Strong impulsive expansion before consolidation
• Holding above fast EMAs
• Higher low structure forming
• Pullbacks being defended
• Clear invalidation level

When price compresses under resistance while maintaining higher support, breakout probability increases. I’m positioning with structure, not emotion.

TRADE PLAN

Entry Zone:
66,950 – 67,250

Entry Trigger:
67,180 preferred inside the zone

Stop Loss:
66,280

Target Points:
TP1: 67,900
TP2: 68,600
TP3: 69,400

Execution Plan:
I’m entering inside the 66,950–67,250 zone on controlled dips. First scale at 67,900 to secure partials. I’ll reduce more at 68,600 and let runners aim for 69,400 if expansion continues.

#WhenWillCLARITYActPass #StrategyBTCPurchase #PredictionMarketsCFTCBacking #HarvardAddsETHExposure #OpenClawFounderJoinsOpenAI
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🔥$1 .7947K in short liquidations hit around 0.29587. Bears leaned at local highs — and got squeezed. That liquidity clear changed momentum. Price reclaimed 0.290 and held above prior consolidation. That’s strength. Not a wick. Not a fake breakout. A clean reclaim. Structure now shows a higher low above 0.282. That’s the line that matters. As long as price holds above it, continuation remains favored. I’m seeing controlled pullbacks, not panic selling. Momentum bias is bullish after short-side liquidity was cleared near 0.296. When shorts get trapped at highs and price doesn’t dump after — it usually means higher prices are next. Why this setup works: • Shorts were squeezed at resistance • 0.290 reclaimed and holding • Higher low formed above 0.282 • Clear invalidation below structure • Expansion setup toward next resistance band This is how continuation trends build — reclaim, hold, expand. TRADE PLAN Entry Zone: 0.292 – 0.298 Stop Loss: 0.279 Target Points: TP1: 0.315 TP2: 0.335 TP3: 0.360 Execution plan: I’m entering inside 0.292–0.298 on controlled dips. If price stays firm above 0.282, I stay patient and let it work. I’ll secure partials at 0.315, scale again at 0.335, and leave a runner toward 0.360. #WhenWillCLARITYActPass #StrategyBTCPurchase #PredictionMarketsCFTCBacking #HarvardAddsETHExposure #OpenClawFounderJoinsOpenAI
🔥$1 .7947K in short liquidations hit around 0.29587. Bears leaned at local highs — and got squeezed. That liquidity clear changed momentum.

Price reclaimed 0.290 and held above prior consolidation. That’s strength. Not a wick. Not a fake breakout. A clean reclaim.

Structure now shows a higher low above 0.282. That’s the line that matters. As long as price holds above it, continuation remains favored. I’m seeing controlled pullbacks, not panic selling.

Momentum bias is bullish after short-side liquidity was cleared near 0.296. When shorts get trapped at highs and price doesn’t dump after — it usually means higher prices are next.

Why this setup works: • Shorts were squeezed at resistance
• 0.290 reclaimed and holding
• Higher low formed above 0.282
• Clear invalidation below structure
• Expansion setup toward next resistance band

This is how continuation trends build — reclaim, hold, expand.

TRADE PLAN

Entry Zone:
0.292 – 0.298

Stop Loss:
0.279

Target Points:
TP1: 0.315
TP2: 0.335
TP3: 0.360

Execution plan:
I’m entering inside 0.292–0.298 on controlled dips. If price stays firm above 0.282, I stay patient and let it work. I’ll secure partials at 0.315, scale again at 0.335, and leave a runner toward 0.360.

#WhenWillCLARITYActPass #StrategyBTCPurchase #PredictionMarketsCFTCBacking #HarvardAddsETHExposure #OpenClawFounderJoinsOpenAI
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🔄$ALLO just pushed +9% and the structure is clearly strengthening. Higher lows are forming, momentum is building, and liquidity is rotating into mid-caps. This isn’t a random spike — it’s controlled expansion with buyers stepping in on dips. Right now, 0.098 is the key level. If price keeps defending that area, the bullish structure stays intact. I’m watching for continuation as long as that support holds and volume doesn’t fade. This move works because: • We have momentum expansion after consolidation • Buyers are defending higher lows • Liquidity is shifting from large caps into mid-caps • Risk is clearly defined below structure Clean structure + defined invalidation = tradable setup. TRADE PLAN Entry Zone: 0.100 – 0.104 Stop Loss: 0.088 Target Points: TP1: 0.115 TP2: 0.130 Execution plan: I’m entering inside the 0.100–0.104 zone on controlled pullbacks. If 0.098 flips into solid support, that confirms strength. I’ll secure partials at 0.115 and let runners aim for 0.130. If price loses 0.088, structure breaks — I’m out without hesitation. No chasing. Let it come to the zone. Structure first, emotion last. #WhenWillCLARITYActPass #StrategyBTCPurchase #PredictionMarketsCFTCBacking #HarvardAddsETHExposure #OpenClawFounderJoinsOpenAI
🔄$ALLO just pushed +9% and the structure is clearly strengthening. Higher lows are forming, momentum is building, and liquidity is rotating into mid-caps. This isn’t a random spike — it’s controlled expansion with buyers stepping in on dips.

Right now, 0.098 is the key level. If price keeps defending that area, the bullish structure stays intact. I’m watching for continuation as long as that support holds and volume doesn’t fade.

This move works because: • We have momentum expansion after consolidation
• Buyers are defending higher lows
• Liquidity is shifting from large caps into mid-caps
• Risk is clearly defined below structure

Clean structure + defined invalidation = tradable setup.

TRADE PLAN

Entry Zone:
0.100 – 0.104

Stop Loss:
0.088

Target Points:
TP1: 0.115
TP2: 0.130

Execution plan:
I’m entering inside the 0.100–0.104 zone on controlled pullbacks. If 0.098 flips into solid support, that confirms strength. I’ll secure partials at 0.115 and let runners aim for 0.130. If price loses 0.088, structure breaks — I’m out without hesitation.

No chasing. Let it come to the zone. Structure first, emotion last.

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$RIVER rejected hard from the 9.60 supply zone and the short-term structure has flipped bearish. The move down wasn’t random — it came with distribution and fading volume on the bounce. Price lost EMA(7) and EMA(25). That’s momentum shifting. The rebound after the drop was weak, which tells me sellers are still in control. Until those EMAs are reclaimed with strong volume, bias stays cautious. Key levels are clear: Support: 8.30 – 8.00 If that breaks → 7.70 next Resistance: 9.00 – 9.35 I’m not forcing longs here. I’m respecting structure. TRADE SETUP — SHORT Entry Zone 8.90 – 9.20 Target Points 8.30 8.00 7.70 Stop Loss 9.45 Why this setup works: 9.00 – 9.35 is now a supply flip zone. If price retraces into that area and shows weakness, it offers a clean short entry with defined risk. 8.30 is the first demand reaction level. 8.00 is psychological support. If that cracks, 7.70 becomes the next liquidity pocket. Stop loss at 9.45 protects against a reclaim of structure. If price pushes above that and holds, bearish bias weakens and I’m out. I’m trading this because structure is bearish, EMAs are lost, and resistance is clearly defined. Patience over FOMO. Structure over emotion. #StrategyBTCPurchase #WhenWillCLARITYActPass #PredictionMarketsCFTCBacking #OpenClawFounderJoinsOpenAI #PEPEBrokeThroughDowntrendLine
$RIVER rejected hard from the 9.60 supply zone and the short-term structure has flipped bearish. The move down wasn’t random — it came with distribution and fading volume on the bounce.

Price lost EMA(7) and EMA(25). That’s momentum shifting. The rebound after the drop was weak, which tells me sellers are still in control. Until those EMAs are reclaimed with strong volume, bias stays cautious.

Key levels are clear:
Support: 8.30 – 8.00
If that breaks → 7.70 next
Resistance: 9.00 – 9.35

I’m not forcing longs here. I’m respecting structure.

TRADE SETUP — SHORT

Entry Zone
8.90 – 9.20

Target Points
8.30
8.00
7.70

Stop Loss
9.45

Why this setup works:

9.00 – 9.35 is now a supply flip zone. If price retraces into that area and shows weakness, it offers a clean short entry with defined risk.

8.30 is the first demand reaction level.
8.00 is psychological support.
If that cracks, 7.70 becomes the next liquidity pocket.

Stop loss at 9.45 protects against a reclaim of structure. If price pushes above that and holds, bearish bias weakens and I’m out.

I’m trading this because structure is bearish, EMAs are lost, and resistance is clearly defined. Patience over FOMO. Structure over emotion.

#StrategyBTCPurchase
#WhenWillCLARITYActPass
#PredictionMarketsCFTCBacking
#OpenClawFounderJoinsOpenAI #PEPEBrokeThroughDowntrendLine
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$ALLO sta rompendo al rialzo e spingendo chiaramente sopra il livello psicologico di 0,10. Quel recupero è importante. Quando il prezzo trasforma un numero tondo in supporto con forza, di solito segnala fiducia da parte degli acquirenti. Il prezzo attuale è intorno a 0,1032, in forte aumento nella giornata. Sto vedendo una struttura di continuazione — minimi crescenti, slancio costante e nessun rifiuto aggressivo finora. Finché 0,10 tiene, i tori rimangono in controllo. Non sto inseguendo ciecamente. Mi sto posizionando con struttura. SETUP DI TRADING — LONG Zona di Entrata 0,100 – 0,104 Punti Obiettivo 0,110 0,120 0,135 Stop Loss 0,093 Perché questo setup funziona: 0,10 era una resistenza psicologica. Ora il prezzo sta mantenendo sopra di essa. Quel passaggio da resistenza a supporto è fondamentale. Se gli acquirenti difendono questa zona, diventa un trampolino di lancio. 0,110 è il primo livello di breakout. Se il prezzo supera e mantiene sopra di esso, lo slancio può espandersi rapidamente. 0,120 è la prossima area di reazione dell'offerta. 0,135 è l'obiettivo di estensione se la continuazione si rafforza e il volume aumenta. Lo stop loss a 0,093 mantiene il rischio ristretto. Se il prezzo scende di nuovo sotto quel livello, la struttura del breakout fallisce e io esco. Sto prendendo questo perché la struttura supporta la continuazione, il rischio è chiaramente definito e il potenziale di guadagno è pulito se lo slancio tiene. Gestisci il rischio. Lascia che la struttura guidi il trade. #WhenWillCLARITYActPass #WhenWillCLARITYActPass #HarvardAddsETHExposure #OpenClawFounderJoinsOpenAI #TradeCryptosOnX
$ALLO sta rompendo al rialzo e spingendo chiaramente sopra il livello psicologico di 0,10. Quel recupero è importante. Quando il prezzo trasforma un numero tondo in supporto con forza, di solito segnala fiducia da parte degli acquirenti.

Il prezzo attuale è intorno a 0,1032, in forte aumento nella giornata. Sto vedendo una struttura di continuazione — minimi crescenti, slancio costante e nessun rifiuto aggressivo finora. Finché 0,10 tiene, i tori rimangono in controllo.

Non sto inseguendo ciecamente. Mi sto posizionando con struttura.

SETUP DI TRADING — LONG

Zona di Entrata
0,100 – 0,104

Punti Obiettivo
0,110
0,120
0,135

Stop Loss
0,093

Perché questo setup funziona:

0,10 era una resistenza psicologica. Ora il prezzo sta mantenendo sopra di essa. Quel passaggio da resistenza a supporto è fondamentale. Se gli acquirenti difendono questa zona, diventa un trampolino di lancio.

0,110 è il primo livello di breakout. Se il prezzo supera e mantiene sopra di esso, lo slancio può espandersi rapidamente.
0,120 è la prossima area di reazione dell'offerta.
0,135 è l'obiettivo di estensione se la continuazione si rafforza e il volume aumenta.

Lo stop loss a 0,093 mantiene il rischio ristretto. Se il prezzo scende di nuovo sotto quel livello, la struttura del breakout fallisce e io esco.

Sto prendendo questo perché la struttura supporta la continuazione, il rischio è chiaramente definito e il potenziale di guadagno è pulito se lo slancio tiene. Gestisci il rischio. Lascia che la struttura guidi il trade.

#WhenWillCLARITYActPass #WhenWillCLARITYActPass #HarvardAddsETHExposure #OpenClawFounderJoinsOpenAI #TradeCryptosOnX
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$LIGHT is showing a clean uptrend — momentum is strong, structure is holding, and buyers are clearly in control. I’m seeing higher lows forming and impulsive green candles confirming continuation. This looks like a prime long opportunity. TRADE SETUP — LONG Entry Zone 0.285 – 0.295 Target Points 0.3011 0.3270 0.3500 Stop Loss 0.275 Leverage & Risk 20x, isolated Why this setup works: Price is trending up with clear structure — higher lows and higher highs are forming. Momentum is confirmed by strong green candles, showing buyers are not letting go. Targets are logical: 0.3011 is the first reaction zone and short-term resistance 0.3270 is next supply flip where bulls may meet minor resistance 0.3500 is the extension target if momentum continues Stop loss at 0.275 keeps risk defined — if this level breaks, bullish structure fails. I’m taking this because the trend is clean, structure supports continuation, and risk-to-reward is favorable. This is a simple, actionable long setup with clear targets. #WhenWillCLARITYActPass #StrategyBTCPurchase #PredictionMarketsCFTCBacking #HarvardAddsETHExposure #OpenClawFounderJoinsOpenAI
$LIGHT is showing a clean uptrend — momentum is strong, structure is holding, and buyers are clearly in control. I’m seeing higher lows forming and impulsive green candles confirming continuation. This looks like a prime long opportunity.

TRADE SETUP — LONG

Entry Zone
0.285 – 0.295

Target Points
0.3011
0.3270
0.3500

Stop Loss
0.275

Leverage & Risk
20x, isolated

Why this setup works:

Price is trending up with clear structure — higher lows and higher highs are forming. Momentum is confirmed by strong green candles, showing buyers are not letting go.

Targets are logical:

0.3011 is the first reaction zone and short-term resistance

0.3270 is next supply flip where bulls may meet minor resistance

0.3500 is the extension target if momentum continues

Stop loss at 0.275 keeps risk defined — if this level breaks, bullish structure fails.

I’m taking this because the trend is clean, structure supports continuation, and risk-to-reward is favorable. This is a simple, actionable long setup with clear targets.

#WhenWillCLARITYActPass #StrategyBTCPurchase #PredictionMarketsCFTCBacking #HarvardAddsETHExposure #OpenClawFounderJoinsOpenAI
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🚨 $DOGE Avviso di Liquidazione Long 🚨 $18,169 in posizioni long sono state annientate a 0.09684. Questo è più di un semplice numero — è un promemoria che la leva senza struttura è pericolosa. DOGE non è solo sceso, ha cacciato gli stop, ha eliminato le mani deboli e ha ripristinato le posizioni in pochi secondi. Sto considerando questo come un'opportunità piuttosto che come paura. Gli eventi di liquidazione spesso segnano zone di esaurimento e creano configurazioni ad alta probabilità una volta che la polvere si è posata. Ecco la pratica: I long tardivi accumulati vicino alla resistenza locale sono stati schiacciati. L'eccessiva fiducia ha incontrato un momento sottile. La leva senza struttura è una donazione. CONFIGURAZIONE DEL TRADE — LONG Zona di Entrata 0.094 – 0.096 Punti di Target 0.100 0.104 0.110 Stop Loss 0.091 Perché questa configurazione funziona: DOGE ha appena eliminato le mani deboli e ripristinato la struttura a breve termine. Il supporto intorno a 0.094–0.096 sta reggendo, formando una base. Il flush di liquidazione ha rimosso i long intrappolati, il che ora prepara il terreno per un movimento più pulito verso l'alto. I target sono fissati a punti di reazione naturali: 0.100 è un'immediata inversione di resistenza 0.104 è un test della struttura a medio termine 0.110 è la prossima area di liquidità significativa Lo stop loss a 0.091 protegge da un'altra pulizia più profonda. Sto prendendo questo perché il rischio-rendimento è chiaro, la struttura sostiene un rimbalzo e il momento può seguire dopo il ripristino. La volatilità non è il nemico — la pazienza e la struttura lo sono. Mi sto posizionando qui per un movimento controllato e ad alta probabilità. #WhenWillCLARITYActPass #StrategyBTCPurchase #PredictionMarketsCFTCBacking #HarvardAddsETHExposure #OpenClawFounderJoinsOpenAI
🚨 $DOGE Avviso di Liquidazione Long 🚨

$18,169 in posizioni long sono state annientate a 0.09684. Questo è più di un semplice numero — è un promemoria che la leva senza struttura è pericolosa. DOGE non è solo sceso, ha cacciato gli stop, ha eliminato le mani deboli e ha ripristinato le posizioni in pochi secondi.

Sto considerando questo come un'opportunità piuttosto che come paura. Gli eventi di liquidazione spesso segnano zone di esaurimento e creano configurazioni ad alta probabilità una volta che la polvere si è posata.

Ecco la pratica:

I long tardivi accumulati vicino alla resistenza locale sono stati schiacciati.

L'eccessiva fiducia ha incontrato un momento sottile.

La leva senza struttura è una donazione.

CONFIGURAZIONE DEL TRADE — LONG

Zona di Entrata
0.094 – 0.096

Punti di Target
0.100
0.104
0.110

Stop Loss
0.091

Perché questa configurazione funziona:

DOGE ha appena eliminato le mani deboli e ripristinato la struttura a breve termine. Il supporto intorno a 0.094–0.096 sta reggendo, formando una base. Il flush di liquidazione ha rimosso i long intrappolati, il che ora prepara il terreno per un movimento più pulito verso l'alto.

I target sono fissati a punti di reazione naturali:

0.100 è un'immediata inversione di resistenza

0.104 è un test della struttura a medio termine

0.110 è la prossima area di liquidità significativa

Lo stop loss a 0.091 protegge da un'altra pulizia più profonda. Sto prendendo questo perché il rischio-rendimento è chiaro, la struttura sostiene un rimbalzo e il momento può seguire dopo il ripristino.

La volatilità non è il nemico — la pazienza e la struttura lo sono. Mi sto posizionando qui per un movimento controllato e ad alta probabilità.

#WhenWillCLARITYActPass #StrategyBTCPurchase #PredictionMarketsCFTCBacking #HarvardAddsETHExposure #OpenClawFounderJoinsOpenAI
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$OM si è appena acceso — 0.10 mostra un forte impulso rialzista. Vedo una chiara dominanza degli acquirenti nella struttura delle candele, il momento è reale e il movimento sembra potente. Non è solo un hype — la struttura conferma che gli acquirenti sono al comando. CONFIGURAZIONE DEL TRADE — LONG Zona di Entrata 0.098 – 0.102 Punti Obiettivo 0.063 0.065 0.069 Stop Loss 0.092 Leva & Rischio 20x, isolato Perché questa configurazione funziona: Il prezzo ha appena stampato una forte candela impulsiva, rompendo la resistenza a breve termine con un volume che conferma la dominanza degli acquirenti. La struttura mostra minimi più alti che si stanno formando, il che significa che la tendenza ora favorisce i tori. Gli obiettivi sono punti di reazione logici: 0.063 è il primo obiettivo di liquidità pulito 0.065 è il prossimo cambio di offerta 0.069 è dove l'estensione del momento potrebbe incontrare la resistenza superiore Lo stop loss è impostato a 0.092 per proteggere contro eventuali breakout falliti. Sto facendo trading su questo perché il momento è confermato, la struttura supporta la continuazione e il rischio è chiaramente definito. Sto entrando ora e mantenendo con convinzione — questa configurazione è semplice, pulita e attuabile. #WhenWillCLARITYActPass #StrategyBTCPurchase #PredictionMarketsCFTCBacking #HarvardAddsETHExposure #OpenClawFounderJoinsOpenAI
$OM si è appena acceso — 0.10 mostra un forte impulso rialzista. Vedo una chiara dominanza degli acquirenti nella struttura delle candele, il momento è reale e il movimento sembra potente. Non è solo un hype — la struttura conferma che gli acquirenti sono al comando.

CONFIGURAZIONE DEL TRADE — LONG

Zona di Entrata
0.098 – 0.102

Punti Obiettivo
0.063
0.065
0.069

Stop Loss
0.092

Leva & Rischio
20x, isolato

Perché questa configurazione funziona:

Il prezzo ha appena stampato una forte candela impulsiva, rompendo la resistenza a breve termine con un volume che conferma la dominanza degli acquirenti. La struttura mostra minimi più alti che si stanno formando, il che significa che la tendenza ora favorisce i tori.

Gli obiettivi sono punti di reazione logici:

0.063 è il primo obiettivo di liquidità pulito

0.065 è il prossimo cambio di offerta

0.069 è dove l'estensione del momento potrebbe incontrare la resistenza superiore

Lo stop loss è impostato a 0.092 per proteggere contro eventuali breakout falliti. Sto facendo trading su questo perché il momento è confermato, la struttura supporta la continuazione e il rischio è chiaramente definito.

Sto entrando ora e mantenendo con convinzione — questa configurazione è semplice, pulita e attuabile.

#WhenWillCLARITYActPass #StrategyBTCPurchase
#PredictionMarketsCFTCBacking #HarvardAddsETHExposure #OpenClawFounderJoinsOpenAI
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$POWER is showing clear signs of a bullish setup. I’m seeing strength holding above support, with buyers stepping in and momentum quietly building. This looks like a classic long opportunity with defined risk and clear upside. I’m going long here because the structure is intact, and price is showing higher lows, which suggests continuation toward our targets. TRADE SETUP — LONG Entry Zone 0.34 – 0.36 Target Points 0.42 Stop Loss 0.32 Leverage & Risk 20x, isolated Margin: 20% of portfolio for max efficiency Why this setup works: Price is holding a key demand zone, and the recent bounce confirms buyers are in control. Momentum is building gradually, giving a high-probability move toward 0.42. Stop loss at 0.32 is strict — if that level breaks, bullish structure fails. That keeps risk defined and lets me scale confidently. I’m taking this because upside is clean, structure is intact, and risk is limited relative to potential reward. Simple, clear, and actionable. #WhenWillCLARITYActPass #StrategyBTCPurchase #PredictionMarketsCFTCBacking #HarvardAddsETHExposure #OpenClawFounderJoinsOpenAI
$POWER is showing clear signs of a bullish setup. I’m seeing strength holding above support, with buyers stepping in and momentum quietly building. This looks like a classic long opportunity with defined risk and clear upside.

I’m going long here because the structure is intact, and price is showing higher lows, which suggests continuation toward our targets.

TRADE SETUP — LONG

Entry Zone
0.34 – 0.36

Target Points
0.42

Stop Loss
0.32

Leverage & Risk
20x, isolated
Margin: 20% of portfolio for max efficiency

Why this setup works:

Price is holding a key demand zone, and the recent bounce confirms buyers are in control. Momentum is building gradually, giving a high-probability move toward 0.42.

Stop loss at 0.32 is strict — if that level breaks, bullish structure fails. That keeps risk defined and lets me scale confidently.

I’m taking this because upside is clean, structure is intact, and risk is limited relative to potential reward. Simple, clear, and actionable.

#WhenWillCLARITYActPass #StrategyBTCPurchase #PredictionMarketsCFTCBacking #HarvardAddsETHExposure #OpenClawFounderJoinsOpenAI
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$BNB is back inside the sub-600 accumulation zone — and this level keeps proving itself. Price rejected 620–625 recently, but instead of collapsing, it drifted back into demand and printed a 24H low around 599. That tells me sellers aren’t getting follow-through. We’re hovering right where strong reactions have repeatedly started. Even if there’s one more liquidity sweep below 600, I’m expecting it to be shallow — maybe 2–3% at most. The broader structure still holds as long as price quickly reclaims the level after any wick down. This zone is value. Risk is compressed. Upside remains clean toward 615 → 625 → 650 once momentum rotates back. I’m not panicking here — I’m positioning. TRADE SETUP — LONG Entry Zone 595 – 605 Target Points 615 625 650 Stop Loss 582 Why this setup works: 600 has acted as a repeated accumulation base. Every time price returns here, buyers defend aggressively. That creates a strong demand pocket with clear invalidation below. Rejection from 620–625 wasn’t breakdown — it was a pullback into value. Structure remains intact unless we lose the 580s decisively. 615 is the first reaction level where momentum usually resumes. 625 is the supply flip zone — reclaiming it opens expansion. 650 sits as the breakout continuation target if strength builds. I’m taking this because downside is limited relative to upside. Clear support. Clear invalidation. Strong historical reaction zone. As long as 600 holds or gets reclaimed fast after any wick, the bias stays buy dips. #WhenWillCLARITYActPass #StrategyBTCPurchase #PredictionMarketsCFTCBacking #OpenClawFounderJoinsOpenAI #TradeCryptosOnX
$BNB is back inside the sub-600 accumulation zone — and this level keeps proving itself.

Price rejected 620–625 recently, but instead of collapsing, it drifted back into demand and printed a 24H low around 599. That tells me sellers aren’t getting follow-through. We’re hovering right where strong reactions have repeatedly started.

Even if there’s one more liquidity sweep below 600, I’m expecting it to be shallow — maybe 2–3% at most. The broader structure still holds as long as price quickly reclaims the level after any wick down.

This zone is value. Risk is compressed. Upside remains clean toward 615 → 625 → 650 once momentum rotates back.

I’m not panicking here — I’m positioning.

TRADE SETUP — LONG

Entry Zone
595 – 605

Target Points
615
625
650

Stop Loss
582

Why this setup works:

600 has acted as a repeated accumulation base. Every time price returns here, buyers defend aggressively. That creates a strong demand pocket with clear invalidation below.

Rejection from 620–625 wasn’t breakdown — it was a pullback into value. Structure remains intact unless we lose the 580s decisively.

615 is the first reaction level where momentum usually resumes.
625 is the supply flip zone — reclaiming it opens expansion.
650 sits as the breakout continuation target if strength builds.

I’m taking this because downside is limited relative to upside. Clear support. Clear invalidation. Strong historical reaction zone.

As long as 600 holds or gets reclaimed fast after any wick, the bias stays buy dips.

#WhenWillCLARITYActPass
#StrategyBTCPurchase
#PredictionMarketsCFTCBacking
#OpenClawFounderJoinsOpenAI #TradeCryptosOnX
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$BTC sta stampando una struttura di distribuzione pulita dopo aver rifiutato livelli più alti. Sì, il volume è arrivato a supporto — ma invece di continuazione, il prezzo non è riuscito a salire. Questo mi dice che sta avvenendo assorbimento, non forza. Non sto inseguendo il rimbalzo. Mi sto posizionando per il ribasso perché la struttura sta ruotando e si stanno formando massimi più bassi. Il mercato sta mostrando esaurimento vicino all'area di 66K, e il momentum sta cambiando in negativo. Tipo di segnale: SHORT 🛑 Modalità: Isolata Leva: 20x (adatta al tuo rischio) IMPOSTAZIONE DEL TRADE Zona di ingresso 65.800 – 66.000 Punti obiettivo 65.500 64.200 61.000 Stop Loss 69.200 (rigido) Perché questa impostazione funziona: Il prezzo rifiuta ripetutamente la zona di offerta di 66K. Gli acquirenti hanno cercato di riprendere il controllo ma non sono riusciti a rompere più in alto con un follow-through. Questo crea una trappola di liquidità sopra e apre la strada per un'espansione al ribasso. 65.500 è il primo pocket di liquidità — area di reazione rapida. 64.200 si trova a supporto precedente dove gli acquirenti a breve termine possono intervenire. 61.000 è la principale zona di liquidità sotto i minimi dell'intervallo — è lì che può avvenire un'accelerazione del panico. L'invalidazione è chiara sopra 69.200. Se il prezzo riprende quel livello, la struttura ribassista fallisce e io esco senza esitazione. Sto prendendo questo perché la struttura mostra distribuzione, il momentum sta svanendo e il rischio-rendimento è pulito con un'invalidazione definita. #WhenWillCLARITYActPass #StrategyBTCPurchase #PredictionMarketsCFTCBacking #HarvardAddsETHExposure #PEPEBrokeThroughDowntrendLine
$BTC sta stampando una struttura di distribuzione pulita dopo aver rifiutato livelli più alti. Sì, il volume è arrivato a supporto — ma invece di continuazione, il prezzo non è riuscito a salire. Questo mi dice che sta avvenendo assorbimento, non forza.

Non sto inseguendo il rimbalzo. Mi sto posizionando per il ribasso perché la struttura sta ruotando e si stanno formando massimi più bassi. Il mercato sta mostrando esaurimento vicino all'area di 66K, e il momentum sta cambiando in negativo.

Tipo di segnale: SHORT 🛑
Modalità: Isolata
Leva: 20x (adatta al tuo rischio)

IMPOSTAZIONE DEL TRADE

Zona di ingresso
65.800 – 66.000

Punti obiettivo
65.500
64.200
61.000

Stop Loss
69.200 (rigido)

Perché questa impostazione funziona:

Il prezzo rifiuta ripetutamente la zona di offerta di 66K. Gli acquirenti hanno cercato di riprendere il controllo ma non sono riusciti a rompere più in alto con un follow-through. Questo crea una trappola di liquidità sopra e apre la strada per un'espansione al ribasso.

65.500 è il primo pocket di liquidità — area di reazione rapida.
64.200 si trova a supporto precedente dove gli acquirenti a breve termine possono intervenire.
61.000 è la principale zona di liquidità sotto i minimi dell'intervallo — è lì che può avvenire un'accelerazione del panico.

L'invalidazione è chiara sopra 69.200. Se il prezzo riprende quel livello, la struttura ribassista fallisce e io esco senza esitazione.

Sto prendendo questo perché la struttura mostra distribuzione, il momentum sta svanendo e il rischio-rendimento è pulito con un'invalidazione definita.

#WhenWillCLARITYActPass
#StrategyBTCPurchase
#PredictionMarketsCFTCBacking
#HarvardAddsETHExposure
#PEPEBrokeThroughDowntrendLine
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