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Bullish Hunter 47

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🚨 BREAKING: Markets on Edge Ahead of Trump Announcement A major signing ceremony is scheduled for 3:00 PM ET, and speculation is spreading quickly across financial markets. Reports circulating online suggest that former President Donald Trump could make an important foreign policy statement potentially connected to the Iran peace framework and the current ceasefire situation. As of now, nothing has been officially confirmed. Even before any announcement, traders across crypto, stocks, and global markets are already preparing for increased volatility. Situations like this can change market sentiment within seconds. One unexpected headline can trigger sharp liquidations, panic selling, or aggressive rallies across risk assets. Bitcoin, altcoins, oil, gold, and major indices are all highly sensitive to geopolitical developments of this scale, which is why investors are watching closely right now. For now, the market is trading on uncertainty and speculation — and that usually creates the most dangerous price action. Stay disciplined. Avoid emotional entries. Protect risk carefully during high-impact news events because volatility can explode in both directions without warning.
🚨 BREAKING: Markets on Edge Ahead of Trump Announcement

A major signing ceremony is scheduled for 3:00 PM ET, and speculation is spreading quickly across financial markets.

Reports circulating online suggest that former President Donald Trump could make an important foreign policy statement potentially connected to the Iran peace framework and the current ceasefire situation. As of now, nothing has been officially confirmed.

Even before any announcement, traders across crypto, stocks, and global markets are already preparing for increased volatility.

Situations like this can change market sentiment within seconds.
One unexpected headline can trigger sharp liquidations, panic selling, or aggressive rallies across risk assets.

Bitcoin, altcoins, oil, gold, and major indices are all highly sensitive to geopolitical developments of this scale, which is why investors are watching closely right now.

For now, the market is trading on uncertainty and speculation — and that usually creates the most dangerous price action.

Stay disciplined.
Avoid emotional entries.
Protect risk carefully during high-impact news events because volatility can explode in both directions without warning.
Jauni saraksti novērošana | Tirgus pulss 🟢 FOGO — $0.04261 | +12.84% 🚀 ⚪ RLUSD — $1.0011 | +0.02% (stabila & vienmērīga) 🟢 ZKP — $0.1134 | +0.62% 🔴 SENT — $0.02468 | -7.22% (agrā svārstība) 🔴 BREV — $0.2102 | -6.20% 🔴 BANK — $0.0501 | -2.72% 📊 Volatilitāte pirmo reizi ietekmē jaunus sarakstus 🧠 Gudrā nauda vēro apjomu + struktūru ⚡ Uzvarētāji ātri atdalās — neseko, pozicionējies #Crypto #NewListings #Altcoins #LowCap #Breakout
Jauni saraksti novērošana | Tirgus pulss
🟢 FOGO — $0.04261 | +12.84% 🚀
⚪ RLUSD — $1.0011 | +0.02% (stabila & vienmērīga)
🟢 ZKP — $0.1134 | +0.62%
🔴 SENT — $0.02468 | -7.22% (agrā svārstība)
🔴 BREV — $0.2102 | -6.20%
🔴 BANK — $0.0501 | -2.72%
📊 Volatilitāte pirmo reizi ietekmē jaunus sarakstus
🧠 Gudrā nauda vēro apjomu + struktūru
⚡ Uzvarētāji ātri atdalās — neseko, pozicionējies
#Crypto #NewListings #Altcoins
#LowCap #Breakout
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Gold and silver just reminded everyone how emotional markets can be. Nearly $1.2 trillion in value vanished within an hour as panic hit after US–Iran strike headlines. Gold spiked above $5,380, silver jumped with it — classic fear trade. But now both are pulling back fast. That shift matters. If traders truly believed a long US–Iran war was unfolding, gold and silver would be holding strength, not fading. The drop suggests big money isn’t pricing in a prolonged conflict — at least not yet. Oil pushed toward $82. European stocks dipped. But nothing is moving like this is a full-blown global crisis. The first move was fear. The second move is doubt. Now the market stands at a crossroads: Either the initial reaction was overhyped… Or the real panic hasn’t started yet. If the market is wrong, gold could surge again, oil could run toward $100, and risk assets like stocks and crypto could face heavy pressure. There’s no comfortable middle ground here. This is a sensitive moment and markets are deciding in real time. $XAU $XAG Gold and silver just reminded everyone how emotional markets can be. Nearly $1.2 trillion in value vanished within an hour as panic hit after US–Iran strike headlines. Gold spiked above $5,380, silver jumped with it classic fear trade. But now both are pulling back fast. That shift matters. If traders truly believed a long US–Iran war was unfolding, gold and silver would be holding strength, not fading. The drop suggests big money isn’t pricing in a prolonged conflict at least not yet. Oil pushed toward $82. European stocks dipped. But nothing is moving like this is a full-blown global crisis. The first move was fear. The second move is doubt. Now the market stands at a crossroads: Either the initial reaction was overhyped… Or the real panic hasn’t started yet. If the market is wrong, gold could surge again, oil could run toward $100, and risk assets like stocks and crypto could face heavy pressure. There’s no comfortable middle ground here. This is a sensitive moment — and markets are deciding in real time
Gold and silver just reminded everyone how emotional markets can be.
Nearly $1.2 trillion in value vanished within an hour as panic hit after US–Iran strike headlines. Gold spiked above $5,380, silver jumped with it — classic fear trade. But now both are pulling back fast. That shift matters.
If traders truly believed a long US–Iran war was unfolding, gold and silver would be holding strength, not fading. The drop suggests big money isn’t pricing in a prolonged conflict — at least not yet.
Oil pushed toward $82. European stocks dipped. But nothing is moving like this is a full-blown global crisis. The first move was fear. The second move is doubt.
Now the market stands at a crossroads:
Either the initial reaction was overhyped…
Or the real panic hasn’t started yet.
If the market is wrong, gold could surge again, oil could run toward $100, and risk assets like stocks and crypto could face heavy pressure.
There’s no comfortable middle ground here. This is a sensitive moment and markets are deciding in real time.
$XAU
$XAG
Gold and silver just reminded everyone how emotional markets can be.
Nearly $1.2 trillion in value vanished within an hour as panic hit after US–Iran strike headlines. Gold spiked above $5,380, silver jumped with it classic fear trade. But now both are pulling back fast. That shift matters.
If traders truly believed a long US–Iran war was unfolding, gold and silver would be holding strength, not fading. The drop suggests big money isn’t pricing in a prolonged conflict at least not yet.
Oil pushed toward $82. European stocks dipped. But nothing is moving like this is a full-blown global crisis. The first move was fear. The second move is doubt.
Now the market stands at a crossroads:
Either the initial reaction was overhyped…
Or the real panic hasn’t started yet.
If the market is wrong, gold could surge again, oil could run toward $100, and risk assets like stocks and crypto could face heavy pressure.
There’s no comfortable middle ground here. This is a sensitive moment — and markets are deciding in real time
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Negatīvs
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$OPN Strong bearish continuation structure with aggressive rejection from prior support turned resistance. EP: $0.160 – $0.165 TP1: $0.145 TP2: $0.130 TP3: $0.115 SL: $0.175 Trend is clearly bearish with consistent lower highs. Momentum is strong to the downside with no recovery attempts holding. Liquidity below $0.150
$OPN
Strong bearish continuation structure with aggressive rejection from prior support turned resistance.
EP: $0.160 – $0.165
TP1: $0.145
TP2: $0.130
TP3: $0.115
SL: $0.175
Trend is clearly bearish with consistent lower highs.
Momentum is strong to the downside with no recovery attempts holding.
Liquidity below $0.150
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Negatīvs
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$NIGHT Price is compressing after a gradual decline, forming a potential accumulation zone around support. EP: $0.0350 – $0.0365 TP1: $0.0400 TP2: $0.0435 TP3: $0.0470 SL: $0.0325 Trend is weak bearish but losing strength as volatility contracts. Momentum is flattening, indicating sellers are exhausting. Liquidity sits above $0.0400 and a breakout could trigger a fast move upward.
$NIGHT
Price is compressing after a gradual decline, forming a potential accumulation zone around support.
EP: $0.0350 – $0.0365
TP1: $0.0400
TP2: $0.0435
TP3: $0.0470
SL: $0.0325
Trend is weak bearish but losing strength as volatility contracts.
Momentum is flattening, indicating sellers are exhausting.
Liquidity sits above $0.0400 and a breakout could trigger a fast move upward.
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Negatīvs
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$CFG Price is trading in a controlled pullback within a broader sideways-to-bullish structure. This looks like a retracement, not a breakdown. EP: $0.255 – $0.265 TP1: $0.285 TP2: $0.305 TP3: $0.330 SL: $0.240 Trend is still structurally intact on mid timeframe despite short-term weakness. Momentum is cooling, allowing re-accumulation near support. Liquidity above $0.285 is likely to be targeted once buyers step back in.
$CFG
Price is trading in a controlled pullback within a broader sideways-to-bullish structure. This looks like a retracement, not a breakdown.
EP: $0.255 – $0.265
TP1: $0.285
TP2: $0.305
TP3: $0.330
SL: $0.240
Trend is still structurally intact on mid timeframe despite short-term weakness.
Momentum is cooling, allowing re-accumulation near support.
Liquidity above $0.285 is likely to be targeted once buyers step back in.
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Negatīvs
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$KAT Price is in a clear short-term downtrend with lower highs and continuous sell pressure. No sign of base formation yet. EP: $0.00880 – $0.00920 TP1: $0.00790 TP2: $0.00720 TP3: $0.00650 SL: $0.00980 Trend is bearish with consistent rejection from minor resistance zones. Momentum remains weak with no bullish divergence visible. Liquidity sits below $0.00800 and market is likely to sweep that before any meaningful bounce.
$KAT
Price is in a clear short-term downtrend with lower highs and continuous sell pressure. No sign of base formation yet.
EP: $0.00880 – $0.00920
TP1: $0.00790
TP2: $0.00720
TP3: $0.00650
SL: $0.00980
Trend is bearish with consistent rejection from minor resistance zones.
Momentum remains weak with no bullish divergence visible.
Liquidity sits below $0.00800 and market is likely to sweep that before any meaningful bounce.
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Negatīvs
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$XAUT Price is holding near $4,777 with extremely tight range behavior, showing clear consolidation after a higher-timeframe uptrend. This is not weakness — this is controlled absorption above support. EP: $4,720 – $4,780 TP1: $4,900 TP2: $5,050 TP3: $5,250 SL: $4,600 Trend remains strongly bullish on higher timeframes with price compressing instead of rejecting. Momentum is neutral-short term but this type of tight range usually precedes expansion. Liquidity is stacked above $4,900 and below $4,650, with
$XAUT
Price is holding near $4,777 with extremely tight range behavior, showing clear consolidation after a higher-timeframe uptrend. This is not weakness — this is controlled absorption above support.
EP: $4,720 – $4,780
TP1: $4,900
TP2: $5,050
TP3: $5,250
SL: $4,600
Trend remains strongly bullish on higher timeframes with price compressing instead of rejecting.
Momentum is neutral-short term but this type of tight range usually precedes expansion.
Liquidity is stacked above $4,900 and below $4,650, with
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Negatīvs
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$RLUSD Stable structure behaving like a pegged asset, no tradable volatility. EP: $0.995 – $1.000 TP1: $1.010 TP2: $1.020 TP3: $1.030 SL: $0.985 Trend is neutral due to peg behavior. Momentum is flat with minimal volatility. Liquidity is evenly distributed, no directional edge present.
$RLUSD
Stable structure behaving like a pegged asset, no tradable volatility.
EP: $0.995 – $1.000
TP1: $1.010
TP2: $1.020
TP3: $1.030
SL: $0.985
Trend is neutral due to peg behavior.
Momentum is flat with minimal volatility.
Liquidity is evenly distributed, no directional edge present.
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Negatīvs
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$SENT Price remains in a weak structure with slight bounce attempts getting sold into. EP: $0.0155 – $0.0160 TP1: $0.0140 TP2: $0.0125 TP3: $0.0110 SL: $0.0172 Trend is bearish with no higher high formation. Momentum is weak with repeated rejection near resistance. Liquidity below $0.0140 is the next likely target zone.
$SENT
Price remains in a weak structure with slight bounce attempts getting sold into.
EP: $0.0155 – $0.0160
TP1: $0.0140
TP2: $0.0125
TP3: $0.0110
SL: $0.0172
Trend is bearish with no higher high formation.
Momentum is weak with repeated rejection near resistance.
Liquidity below $0.0140 is the next likely target zone.
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Pozitīvs
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$ZAMA Only coin showing relative strength with a clear short-term bullish push against market weakness. EP: $0.0265 – $0.0275 TP1: $0.0300 TP2: $0.0335 TP3: $0.0370 SL: $0.0245 Trend is shifting bullish with higher lows forming. Momentum is positive and outperforming the broader list. Liquidity above $0.0300 is likely to be targeted as breakout continuation builds.
$ZAMA
Only coin showing relative strength with a clear short-term bullish push against market weakness.
EP: $0.0265 – $0.0275
TP1: $0.0300
TP2: $0.0335
TP3: $0.0370
SL: $0.0245
Trend is shifting bullish with higher lows forming.
Momentum is positive and outperforming the broader list.
Liquidity above $0.0300 is likely to be targeted as breakout continuation builds.
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Negatīvs
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$ESP Clear bearish structure with sharp downside continuation and no sign of stabilization yet. EP: $0.066 – $0.068 TP1: $0.060 TP2: $0.055 TP3: $0.050 SL: $0.072 Trend is strongly bearish with impulsive downside candles. Momentum is heavy with sellers in full control. Liquidity sits below $0.060 and price is likely to move toward it before any base forms.
$ESP
Clear bearish structure with sharp downside continuation and no sign of stabilization yet.
EP: $0.066 – $0.068
TP1: $0.060
TP2: $0.055
TP3: $0.050
SL: $0.072
Trend is strongly bearish with impulsive downside candles.
Momentum is heavy with sellers in full control.
Liquidity sits below $0.060 and price is likely to move toward it before any base forms.
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Negatīvs
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$ROBO Price is in a mild downtrend but approaching a key support zone where reactions are expected. EP: $0.0180 – $0.0185 TP1: $0.0205 TP2: $0.0225 TP3: $0.0250 SL: $0.0168 Trend is weak bearish but nearing structural support. Momentum is slowing, indicating potential shift or bounce. Liquidity above $0.0205 makes upside reaction likely before any further downside.
$ROBO
Price is in a mild downtrend but approaching a key support zone where reactions are expected.
EP: $0.0180 – $0.0185
TP1: $0.0205
TP2: $0.0225
TP3: $0.0250
SL: $0.0168
Trend is weak bearish but nearing structural support.
Momentum is slowing, indicating potential shift or bounce.
Liquidity above $0.0205 makes upside reaction likely before any further downside.
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Negatīvs
Skatīt tulkojumu
Gold and silver just reminded everyone how emotional markets can be. Nearly $1.2 trillion in value vanished within an hour as panic hit after US–Iran strike headlines. Gold spiked above $5,380, silver jumped with it — classic fear trade. But now both are pulling back fast. That shift matters. If traders truly believed a long US–Iran war was unfolding, gold and silver would be holding strength, not fading. The drop suggests big money isn’t pricing in a prolonged conflict — at least not yet. Oil pushed toward $82. European stocks dipped. But nothing is moving like this is a full-blown global crisis. The first move was fear. The second move is doubt. Now the market stands at a crossroads: Either the initial reaction was overhyped… Or the real panic hasn’t started yet. If the market is wrong, gold could surge again, oil could run toward $100, and risk assets like stocks and crypto could face heavy pressure. There’s no comfortable middle ground here. This is a sensitive moment — and markets are deciding in real time. $XAU {future}(XAUUSDT) $XAG {future}(XAGUSDT)
Gold and silver just reminded everyone how emotional markets can be.

Nearly $1.2 trillion in value vanished within an hour as panic hit after US–Iran strike headlines. Gold spiked above $5,380, silver jumped with it — classic fear trade. But now both are pulling back fast. That shift matters.

If traders truly believed a long US–Iran war was unfolding, gold and silver would be holding strength, not fading. The drop suggests big money isn’t pricing in a prolonged conflict — at least not yet.

Oil pushed toward $82. European stocks dipped. But nothing is moving like this is a full-blown global crisis. The first move was fear. The second move is doubt.

Now the market stands at a crossroads:

Either the initial reaction was overhyped…
Or the real panic hasn’t started yet.

If the market is wrong, gold could surge again, oil could run toward $100, and risk assets like stocks and crypto could face heavy pressure.

There’s no comfortable middle ground here. This is a sensitive moment — and markets are deciding in real time.

$XAU
$XAG
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Pozitīvs
Kaut kas klusi veidojas ap DOCK… un tirgus to vēl pilnībā neredz. Šobrīd prognozes 2026–2027 ir visur — un tas vien jau stāsta stāstu. No vienas puses, daži analītiķi redz, ka DOCK virzās uz $0.081 līdz $0.12, ja atgriežas momentum un plašāks tirgus paliek spēcīgs. Šāda veida kustība nenotiek nejauši — tai nepieciešama uzmanība, apjoms un ticība, lai atgrieztos. Bet tad ir otra puse. Kaut kas daudz piesardzīgāks. Dažas prognozes liek to tuvāk $0.00117 līdz $0.00129, gandrīz tā, it kā tirgus varētu aizmirst, ka tas pastāv uz kādu laiku. Un, godīgi sakot, tas attālums starp optimistiskām un pesimistiskām gaidām ir tas, kur lietas kļūst interesantas. Tas nozīmē, ka nenoteiktība ir augsta… un nenoteiktība ir vieta, kur piedzimst lielas kustības. Skatoties tālāk, uz 2028–2030, tonis atkal mainās. Ilgtermiņa perspektīva kļūst pārliecinošāka, ar dažām prognozēm, kas norāda uz $0.18 vai augstāk. Tas nav tikai cenu mērķis — tas atspoguļo ticību, ka, ja DOCK izdzīvo klusos posmos un turpina veidoties, tas varētu atgūt uzmanību daudz lielākā veidā. Bet šeit ir realitāte, ko lielākā daļa cilvēku ignorē — neviens no šiem skaitļiem neko nenozīmē bez pareizā laika. Tirgi nepārvietojas tikai tāpēc, ka prognozes saka, ka viņiem vajadzētu. Viņi pārvietojas, kad likviditāte atgriežas, kad naratīvi mainās, un kad cilvēki sāk atkal pievērst uzmanību. Šobrīd DOCK jūtas tā, it kā tas atrastos šajā klusajā zonā. Ne miris… tikai ignorēts. Un dažreiz tieši tur sākas nākamais stāsts.
Kaut kas klusi veidojas ap DOCK… un tirgus to vēl pilnībā neredz.
Šobrīd prognozes 2026–2027 ir visur — un tas vien jau stāsta stāstu. No vienas puses, daži analītiķi redz, ka DOCK virzās uz $0.081 līdz $0.12, ja atgriežas momentum un plašāks tirgus paliek spēcīgs. Šāda veida kustība nenotiek nejauši — tai nepieciešama uzmanība, apjoms un ticība, lai atgrieztos.
Bet tad ir otra puse. Kaut kas daudz piesardzīgāks. Dažas prognozes liek to tuvāk $0.00117 līdz $0.00129, gandrīz tā, it kā tirgus varētu aizmirst, ka tas pastāv uz kādu laiku. Un, godīgi sakot, tas attālums starp optimistiskām un pesimistiskām gaidām ir tas, kur lietas kļūst interesantas. Tas nozīmē, ka nenoteiktība ir augsta… un nenoteiktība ir vieta, kur piedzimst lielas kustības.
Skatoties tālāk, uz 2028–2030, tonis atkal mainās. Ilgtermiņa perspektīva kļūst pārliecinošāka, ar dažām prognozēm, kas norāda uz $0.18 vai augstāk. Tas nav tikai cenu mērķis — tas atspoguļo ticību, ka, ja DOCK izdzīvo klusos posmos un turpina veidoties, tas varētu atgūt uzmanību daudz lielākā veidā.
Bet šeit ir realitāte, ko lielākā daļa cilvēku ignorē — neviens no šiem skaitļiem neko nenozīmē bez pareizā laika. Tirgi nepārvietojas tikai tāpēc, ka prognozes saka, ka viņiem vajadzētu. Viņi pārvietojas, kad likviditāte atgriežas, kad naratīvi mainās, un kad cilvēki sāk atkal pievērst uzmanību.
Šobrīd DOCK jūtas tā, it kā tas atrastos šajā klusajā zonā. Ne miris… tikai ignorēts.
Un dažreiz tieši tur sākas nākamais stāsts.
$BTC Cena konsolidējas tuvu augstumiem pēc spēcīga impulsīva kustība. Struktūra norāda uz turpināšanu, ja atbalsts turas. EP: $70500 – $71500 TP: $73500 / $76000 / $80000 SL: $68500 Trends ir spēcīgi bullish bez strukturālām vājībām. Momentums ir kontrolēts, rādot veselīgu konsolidāciju. Likviditāte virs visu laiku augstākajiem līmeņiem joprojām ir galvenais mērķis.
$BTC
Cena konsolidējas tuvu augstumiem pēc spēcīga impulsīva kustība. Struktūra norāda uz turpināšanu, ja atbalsts turas.
EP: $70500 – $71500
TP: $73500 / $76000 / $80000
SL: $68500
Trends ir spēcīgi bullish bez strukturālām vājībām.
Momentums ir kontrolēts, rādot veselīgu konsolidāciju.
Likviditāte virs visu laiku augstākajiem līmeņiem joprojām ir galvenais mērķis.
$BNB Cena saglabā stabilu pieaugumu ar kontrolētām augstākām zemākām vērtībām. Struktūra rāda spēku, bet šobrīd konsolidējas zem pretestības. EP: $635.0 – $645.0 TP: $680.0 / $720.0 / $760.0 SL: $610.0 Tendence joprojām ir bullish ar spēcīgu strukturālo atbalstu. Momentum ir stabils, bez sabrukuma pazīmēm. Likviditāte virs $660.0, iespējams, tiks mērķēta nākamā.
$BNB
Cena saglabā stabilu pieaugumu ar kontrolētām augstākām zemākām vērtībām. Struktūra rāda spēku, bet šobrīd konsolidējas zem pretestības.
EP: $635.0 – $645.0
TP: $680.0 / $720.0 / $760.0
SL: $610.0
Tendence joprojām ir bullish ar spēcīgu strukturālo atbalstu.
Momentum ir stabils, bez sabrukuma pazīmēm.
Likviditāte virs $660.0, iespējams, tiks mērķēta nākamā.
$TOWNS Cena ir agrīnā izlaušanās fāzē ar pieaugošu svārstīgumu. Struktūra atbalsta turpināšanu, bet prasa atbalsta noturēšanu. EP: $0.0039 – $0.0041 TP: $0.0046 / $0.0052 / $0.0060 SL: $0.0035 Tendence pāriet uz bullish ar izlaušanās mēģinājumu. Momentums veidojas, bet joprojām ir agrīnā posmā. Likviditāte virs pašreizējiem augstumiem nodrošina augšupvērstus mērķus.
$TOWNS
Cena ir agrīnā izlaušanās fāzē ar pieaugošu svārstīgumu. Struktūra atbalsta turpināšanu, bet prasa atbalsta noturēšanu.
EP: $0.0039 – $0.0041
TP: $0.0046 / $0.0052 / $0.0060
SL: $0.0035
Tendence pāriet uz bullish ar izlaušanās mēģinājumu.
Momentums veidojas, bet joprojām ir agrīnā posmā.
Likviditāte virs pašreizējiem augstumiem nodrošina augšupvērstus mērķus.
$RENDER Cena pieaug ar spēcīgu turpinājuma struktūru. Atkāpšanās ir sekla, norādot uz spēcīgu pieprasījumu. EP: $1.82 – $1.88 TP: $2.05 / $2.25 / $2.50 SL: $1.70 Tendence ir skaidri bullish ar spēcīgu augstāku augstumu veidošanos. Momentum paliek spēcīgs bez atsukšanās pazīmēm. Likviditāte virs nesenajiem augstumiem ir galvenais mērķis.
$RENDER
Cena pieaug ar spēcīgu turpinājuma struktūru. Atkāpšanās ir sekla, norādot uz spēcīgu pieprasījumu.
EP: $1.82 – $1.88
TP: $2.05 / $2.25 / $2.50
SL: $1.70
Tendence ir skaidri bullish ar spēcīgu augstāku augstumu veidošanos.
Momentum paliek spēcīgs bez atsukšanās pazīmēm.
Likviditāte virs nesenajiem augstumiem ir galvenais mērķis.
$BAT Cena ir izsistusi no bāzes un turas virs tās. Struktūra atbalsta pakāpenisku augšupvērstu turpinājumu. EP: $0.106 – $0.110 TP: $0.118 / $0.128 / $0.140 SL: $0.098 Trendam ir bullish ar apstiprinātu bāzes izsistšanu. Moments ir stabils ar kontrolētiem atsitieniem. Likviditāte virs pretestības līmeņiem, visticamāk, tiks mērķēta.
$BAT
Cena ir izsistusi no bāzes un turas virs tās. Struktūra atbalsta pakāpenisku augšupvērstu turpinājumu.
EP: $0.106 – $0.110
TP: $0.118 / $0.128 / $0.140
SL: $0.098
Trendam ir bullish ar apstiprinātu bāzes izsistšanu.
Moments ir stabils ar kontrolētiem atsitieniem.
Likviditāte virs pretestības līmeņiem, visticamāk, tiks mērķēta.
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