$US is trading nearly flat around 0.01230 (+0.41%). In this phase of the market, such assets often stay unnoticed — but when momentum arrives, moves tend to be fast and sharp.
🔵 $UNI / USDT — Bullish Recovery With Upside Potential
$UNI is currently trading around $5.13, showing a steady bullish recovery after successfully defending the lower demand zone. Price is holding above short-term support, suggesting buyers are gradually regaining control.
$NEAR has confirmed bearish dominance after longs were flushed near 1.4975, breaking below the key range support. Price structure remains weak, favoring sell-the-rally setups.
$BAT just experienced a sharp volatility event, dropping from $0.2222 → $0.2094 before snapping back aggressively. Price is now hovering around $0.2161, forming a V-shaped recovery.
📊 Key Observations:
Heavy 24h volume: 15.04M BAT
Long lower wicks = strong dip buying
Price battling to reclaim AVL 0.2180
Clear liquidity grab followed by aggressive response
📌 Outlook: If $0.2180 is reclaimed and held, continuation toward $0.22+ is likely. Failure here opens the door for another support retest near recent lows.
This is a high-stakes momentum zone — patience and confirmation matter.
$HMSTR is seeing aggressive momentum following a sharp pump and retracement. Price is currently holding near key short-term support, keeping volatility elevated. This is a momentum-driven asset, not a fundamentals play — entries should be tactical, stops respected, and profits secured quickly.
Gold remains stable ahead of the upcoming CPI release. A softer USD (DXY weakness) is providing short-term support, but volatility is expected after CPI data. Traders should watch key support/resistance closely as leverage can amplify moves.
$CLO is setting up for a potential trend expansion after consolidation. This is a high-risk, high-reward structure — scale entries and secure partial profits at resistance levels.
$ZRC is holding bullish momentum after a strong expansion move. As long as price stays above key support, continuation toward higher liquidity zones remains likely. Trail stops if volatility increases.