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Each trade is in profit right now š¤š„³š
My followers be my witness
I give signals before placing order š«”
$PIPPIN
$FORM
$ACE
įį¾įįŗįøįįįŗįøįį»įįŗ- įį¼įįŗįį”įį½į²į·į”į įįŗįøį įįįŗįį¼įįŗįį°įįį»įįŗįį»į¬įø įį«įįįŗįįįŗį įįį¹įį¬įį±įøįįįÆįįŗįᬠį”įį¼į¶įį±įøįį¼įįŗįø įįįÆįįŗįį«į į įį½įįŗįį¬įį±įøįį¬įøįį±į¬ į”įį¼į±į¬įįŗįøį”įį¬įį»į¬įø įį«įįįŗįįįÆįįŗįį«įįįŗį
Ā
See T&Cs.
PIPPINUSDT
Prep
0.43503
+29.67%
ACE
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FORM
0.3363
+3.70%
0
0
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š¬ įįįŗį”įį¾į įŗįįįŗįįÆį¶įø įįįŗįį®įøįį°įį»į¬įøįį¾įį·įŗ į”įį¼įįŗį”įį¾įįŗ įįįŗįį½įįŗįį«
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Dear Followers I posted earlier I will go long on $PIPPIN and here is the results š¤š„³š
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šØ TRADERS ā BEWARE THE DOWNTREND š $WLD ALERT š $WLD SHORT PLAN (High-Probability Setup): ⢠Entry Zone: $0.495 ā $0.502 (weakness into resistance) ⢠TP1: $0.480 ⢠TP2: $0.465 ⢠TP3: $0.440 ⢠SL: $0.507 (above key resistance) $WLD is showing clear bearish dominance. Price currently trades at $0.4940, below all key EMAs (7, 25, 99), with technical momentum stacked against longs. Whales are aggressively exiting, token unlocks keep pouring supply, and an upcoming margin pair delisting adds extra pressure. Smart money is screaming short bias. š§ Why SHORT Here: ⢠Price below all EMAs ā sustained downtrend ⢠MACD negative & RSI weak (43.4) ā sellers in control ⢠Long whales cut 38% positions, shorts 85% in profit ā strong bearish conviction ⢠Supply pressure from $19.25M token unlocks ā potential flood of selling ⢠Critical support at $0.49 under threat ā high liquidation risk ā ļø Donāt try to catch a falling knife. Patience + structure > emotion. Watch $0.49 closelyāif it breaks, momentum could accelerate. Manage risk, scale shorts carefully, and let the trend do the work šš„
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šØ $PIPPIN TRADE SETUP š š $PIPPIN LONG TRADE PLAN Bias: LONG (breakout / squeeze play, not spot hold) Entry: $0.40 ā $0.42 TP1: $0.47 TP2: $0.52 (ATH retest) TP3: $0.58 (extension if squeeze ignites) SL: $0.36 (structure invalidation $PIPPIN is trading around $0.427 after strong whale-driven upside. Structure is bullish, but RSI is stretched and insider concentration makes this a high-risk squeeze-or-dump zone. š§ Why LONG ⢠Whale longs ā +28%, shorts ā -26% ⢠Long/Short ratio 8.78 ā strong bullish control ⢠Bullish flag structure intact ⢠Long whales in profit (avg ~$0.328) ā confidence ⢠Short whales underwater ā short squeeze potential ā ļø Risk Warning ⢠RSI ~71 ā overbought, pullbacks expected ⢠High insider supply = sudden dump risk ⢠Trade levels only, no FOMO chasing If $0.47 breaks with volume ā squeeze continuation If $0.36 fails ā bull trap confirmed High risk, high reward šÆš
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šØ $RAVE TRADE SETUP š š $RAVE SHORT TRADE PLAN Bias: SHORT (fade volatility / rejection play) Entry: $0.68 ā $0.72 TP1: $0.55 TP2: $0.45 TP3: $0.35 ā $0.30 (high-risk demand zone) SL: $0.78 RAVE is back around $0.65 after extreme volatility. Despite contrarian whale buying earlier, structure remains distribution-heavy and driven by speculation, not strength. š§ Why SHORT ⢠Parabolic moves driven by hype + campaigns ā unsustainable ⢠Massive speculative volume = churn, not accumulation ⢠Prior crash (-33%) shows weak hands dominance ⢠Long whales still deeply underwater (avg ~$0.49) ā exit pressure ⢠Profitable shorts historically controlling volatility ⢠Market still in Fear ā rallies likely sold ā ļø Note RAVE is not a spot hold right now. Treat it as a momentum scalp / volatility trade only. Strong acceptance above $0.78 invalidates short bias. Trade levels, not hype šš„
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Guys I told you earlier.... I am interested in short on $NIGHT when the price was in the range of (0.09-0.10) and see price now of NIGHT (0.075). Another Victory š„³š Are you Shorting $NIGHT ?
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