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BitNovaX
160 Posts

BitNovaX

Crypto strategist sharing daily market insights 📊 Trade with discipline.Follow for timely setups and smarter decisions.
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119 Followers
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Posts
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Bullish
$TRIA bullish pullback long setup(SMC + ICT + Elliott Wave) 📍 Entry range: 0.01980 – 0.02020 (Bullish order block + Fair Value Gap (FVG) + BOS retracement confirmation + liquidity sweep buy-side order area) 🛑 Stop-loss: Below 0.0192 (Break of structure support and liquidity sweep buy-side order area) 🎯 Take-profit targets: * TP1: 0.0212 → Buyer liquidity / previous high area * TP2: 0.0224 → Main supply zone * TP3: 0.0236 → Resistance on a higher timeframe and bearish order block * TP4: 0.0252 → Main bearish order block / corrective wave extension target * Place this setup $TRIA 👇🏻👇🏻 {future}(TRIAUSDT)
$TRIA bullish pullback long setup(SMC + ICT + Elliott Wave)

📍 Entry range: 0.01980 – 0.02020
(Bullish order block + Fair Value Gap (FVG) + BOS retracement confirmation + liquidity sweep buy-side order area)

🛑 Stop-loss:
Below 0.0192
(Break of structure support and liquidity sweep buy-side order area)

🎯 Take-profit targets:

* TP1: 0.0212 → Buyer liquidity / previous high area
* TP2: 0.0224 → Main supply zone
* TP3: 0.0236 → Resistance on a higher timeframe and bearish order block
* TP4: 0.0252 → Main bearish order block / corrective wave extension target

* Place this setup $TRIA 👇🏻👇🏻
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Bullish
$TRIA Bullish Pullback Long Setup (SMC + ICT + Elliott Wave) 📍 Entry Zone: * 0.01980 – 0.02020 (bullish order block + fair value gap + BOS retest + liquidity sweep area) 🛑 Stop Loss * Below 0.0192 (below structural support and liquidity sweep zone) 🎯 Take Profits * TP1: 0.0212 → buy-side liquidity / previous swing high * TP2: 0.0224 → major supply zone * TP3: 0.0236 → higher-timeframe resistance & bearish order block * TP4: 0.0252 → major bearish order block / corrective rally extension Trade $TRIA here 👇🏻👇🏻 {future}(TRIAUSDT)
$TRIA Bullish Pullback Long Setup (SMC + ICT + Elliott Wave)

📍 Entry Zone: * 0.01980 – 0.02020
(bullish order block + fair value gap + BOS retest + liquidity sweep area)

🛑 Stop Loss * Below 0.0192
(below structural support and liquidity sweep zone)

🎯 Take Profits

* TP1: 0.0212 → buy-side liquidity / previous swing high
* TP2: 0.0224 → major supply zone
* TP3: 0.0236 → higher-timeframe resistance & bearish order block
* TP4: 0.0252 → major bearish order block / corrective rally extension

Trade $TRIA here 👇🏻👇🏻
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Bullish
$RAVE Long Strategy (SMC + ICT + Elliott Wave) 📍 Entry Range: 0.2920 – 0.3090 (Bullish Order Block + expected sell-side liquidity sweep/disruption area + discount zone) 🛑 Stop Loss: Below 0.2820 (Located in the higher time frame demand zone and below structural liquidity) 🎯 Take Profit Targets: * TP1: 0.3180 → Previous resistance level / internal liquidity * TP2: 0.3300 → Buy-side liquidity pool * TP3: 0.3460 → Previous market structure resistance * TP4: 0.3950 – 0.4050 → If a new upward trend is initiated, target the higher time frame supply zone Set up this long trade for $RAVE 👇🏻 {future}(RAVEUSDT)
$RAVE Long Strategy (SMC + ICT + Elliott Wave)

📍 Entry Range:
0.2920 – 0.3090
(Bullish Order Block + expected sell-side liquidity sweep/disruption area + discount zone)

🛑 Stop Loss:
Below 0.2820
(Located in the higher time frame demand zone and below structural liquidity)

🎯 Take Profit Targets:

* TP1: 0.3180 → Previous resistance level / internal liquidity
* TP2: 0.3300 → Buy-side liquidity pool
* TP3: 0.3460 → Previous market structure resistance
* TP4: 0.3950 – 0.4050 → If a new upward trend is initiated, target the higher time frame supply zone

Set up this long trade for $RAVE 👇🏻
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Bullish
$RAVE Long Setup (SMC + ICT Confluence) 📍 Entry Zone: * 0.2920 – 0.3090 (bullish order block + expected sell-side liquidity sweep + discount zone) 🛑 Stop Loss * Below 0.2820 (below higher-timeframe demand and structural liquidity) 🎯 Take Profits * TP1: 0.3180 → previous resistance / internal liquidity * TP2: 0.3300 → buy-side liquidity pool * TP3: 0.3460 → previous market structure resistance * TP4: 0.3950 – 0.4050 → higher-timeframe supply zone if bullish continuation begins Trade $RAVE here 👇🏻 {future}(RAVEUSDT)
$RAVE Long Setup (SMC + ICT Confluence)

📍 Entry Zone: * 0.2920 – 0.3090
(bullish order block + expected sell-side liquidity sweep + discount zone)

🛑 Stop Loss * Below 0.2820
(below higher-timeframe demand and structural liquidity)

🎯 Take Profits

* TP1: 0.3180 → previous resistance / internal liquidity
* TP2: 0.3300 → buy-side liquidity pool
* TP3: 0.3460 → previous market structure resistance
* TP4: 0.3950 – 0.4050 → higher-timeframe supply zone if bullish continuation begins

Trade $RAVE here 👇🏻
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Bearish
$BSB bearish SMC/ICT short strategy 📍 Entry range (short): 0.2320 – 0.2410 (bearish order block + fair value gap (FVG) + premium area + buy-side liquidity) 🛑 Stop loss * Above 0.2455 (above structure liquidity and the bearish invalidation level) 🎯 Take profit targets * TP1: 0.2310 → internal support * TP2: 0.2285 → seller liquidity area * TP3: 0.2230 → main demand zone * TP4: 0.2180 → Elliott Wave wave 5 extension target *Trade now $BSB 👇🏻👇🏻 {future}(BSBUSDT)
$BSB bearish SMC/ICT short strategy

📍 Entry range (short): 0.2320 – 0.2410
(bearish order block + fair value gap (FVG) + premium area + buy-side liquidity)

🛑 Stop loss

* Above 0.2455 (above structure liquidity and the bearish invalidation level)

🎯 Take profit targets

* TP1: 0.2310 → internal support
* TP2: 0.2285 → seller liquidity area
* TP3: 0.2230 → main demand zone
* TP4: 0.2180 → Elliott Wave wave 5 extension target

*Trade now $BSB 👇🏻👇🏻
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Bearish
$BSB Bearish SMC/ICT Short Setup 📍 Entry Zone (SHORT): 0.2320 – 0.2410 (bearish order block + fair value gap + premium pricing + buy-side liquidity) 🛑 Stop Loss * Above 0.2455 (above structural liquidity and bearish invalidation level) 🎯 Take Profits * TP1: 0.2310 → internal support * TP2: 0.2285 → sell-side liquidity pool * TP3: 0.2230 → major demand zone * TP4: 0.2180 → Elliott Wave 5 extension Trade $BSB here 👇🏻👇🏻 {future}(BSBUSDT)
$BSB Bearish SMC/ICT Short Setup

📍 Entry Zone (SHORT): 0.2320 – 0.2410 (bearish order block + fair value gap + premium pricing + buy-side liquidity)

🛑 Stop Loss * Above 0.2455 (above structural liquidity and bearish invalidation level)

🎯 Take Profits

* TP1: 0.2310 → internal support
* TP2: 0.2285 → sell-side liquidity pool
* TP3: 0.2230 → major demand zone
* TP4: 0.2180 → Elliott Wave 5 extension

Trade $BSB here 👇🏻👇🏻
24-hour futures trading volume distribution 🚨 $BTC — $12.42B (Market leader. Institutions and large traders continue to concentrate liquidity into Bitcoin, making it an important barometer for gauging overall market direction.) $ETH — $7.72B (Driven by expectations of major breakthroughs in the ecosystem, market participation remains strong. ETH is still the second-largest liquidity hub.) $SOL — $2.09B (One of the strongest-performing altcoins, continuously attracting speculative capital and trend-trading flows.) $SOXL — $1.97B (Focused on the semiconductor sector, reflecting the market’s sustained growing interest in AI- and technology-related derivatives.) $MU — $1.56B (Spurred by the semiconductor and AI hardware themes, trading activity continues to heat up.) $XAG — $1.42B (Increasing activity in precious metals trading such as silver indicates that investors are diversifying allocations to spread risk.) $XAUU — $1.41B (Amid ongoing uncertainty in the macro environment, gold continues to be favored by the market as a safe-haven asset.) $SNDK — $1.39B (As momentum in storage and semiconductor-related stocks strengthens, market attention continues to rise.) $SPCX — $1.37B (Provides broad market exposure, continuously attracting traders looking to position in assets beyond the crypto market.) $HYPE — $854.41M (Although the market size is smaller, trading remains active, showing a high level of speculative enthusiasm.) Key takeaway: At present, the combined futures trading volumes across the three major markets—cryptocurrencies, stocks, and commodities—have exceeded $35B. BTC and ETH remain firmly in control, while SOL and semiconductor-related contracts are drawing large amounts of capital chasing returns. Meanwhile, trading in precious metals like gold and silver remains active, reflecting that the market is staying relatively balanced between **Risk-on** and **Risk-off**. {future}(SOLUSDT) {future}(ETHUSDT) {future}(BTCUSDT)
24-hour futures trading volume distribution 🚨

$BTC — $12.42B
(Market leader. Institutions and large traders continue to concentrate liquidity into Bitcoin, making it an important barometer for gauging overall market direction.)

$ETH — $7.72B
(Driven by expectations of major breakthroughs in the ecosystem, market participation remains strong. ETH is still the second-largest liquidity hub.)

$SOL — $2.09B
(One of the strongest-performing altcoins, continuously attracting speculative capital and trend-trading flows.)

$SOXL — $1.97B
(Focused on the semiconductor sector, reflecting the market’s sustained growing interest in AI- and technology-related derivatives.)

$MU — $1.56B
(Spurred by the semiconductor and AI hardware themes, trading activity continues to heat up.)

$XAG — $1.42B
(Increasing activity in precious metals trading such as silver indicates that investors are diversifying allocations to spread risk.)

$XAUU — $1.41B
(Amid ongoing uncertainty in the macro environment, gold continues to be favored by the market as a safe-haven asset.)

$SNDK — $1.39B
(As momentum in storage and semiconductor-related stocks strengthens, market attention continues to rise.)

$SPCX — $1.37B
(Provides broad market exposure, continuously attracting traders looking to position in assets beyond the crypto market.)

$HYPE — $854.41M
(Although the market size is smaller, trading remains active, showing a high level of speculative enthusiasm.)

Key takeaway:
At present, the combined futures trading volumes across the three major markets—cryptocurrencies, stocks, and commodities—have exceeded $35B. BTC and ETH remain firmly in control, while SOL and semiconductor-related contracts are drawing large amounts of capital chasing returns. Meanwhile, trading in precious metals like gold and silver remains active, reflecting that the market is staying relatively balanced between **Risk-on** and **Risk-off**.
24H Futures Volume Breakdown 🚨 $BTC — $12.42B (Market leader. Institutions and large traders continue to concentrate liquidity here, making BTC the benchmark for overall market direction.) $ETH — $7.72B (Strong participation ahead of major ecosystem developments. ETH remains the second-largest liquidity hub.) $SOL — $2.09B (One of the strongest altcoin performers, attracting speculative and momentum-driven flows.) $SOXL — $1.97B (Exposure to the semiconductor sector, highlighting increased interest in AI and tech-related derivatives.) $MU — $1.56B (Strong trading interest linked to the semiconductor and AI hardware narrative.) $XAG — $1.42B (Precious metals seeing increased activity as traders diversify risk.) $XAUU — $1.41B (Gold remains a preferred safe-haven asset amid macro uncertainty.) $SNDK — $1.39B (Growing interest following increased momentum in storage and semiconductor-related equities.) $SPCX — $1.37B (Broad market exposure continues to attract traders looking beyond crypto.) $HYPE — $854.41M (Strong participation despite a smaller market, suggesting elevated speculative interest.) Key takeaway: Nearly $35B+ in volume is concentrated across crypto, equities, and commodities. #BTC and #ETH continue to dominate, while #sol and semiconductor-related contracts are attracting notable momentum. Precious metals also remain active, reflecting a balanced mix of risk-on and defensive positioning. Smart traders follow where liquidity is building before the next major move. 📊📈 {future}(SOLUSDT) {future}(ETHUSDT) {future}(BTCUSDT)
24H Futures Volume Breakdown 🚨

$BTC — $12.42B (Market leader. Institutions and large traders continue to concentrate liquidity here, making BTC the benchmark for overall market direction.)

$ETH — $7.72B (Strong participation ahead of major ecosystem developments. ETH remains the second-largest liquidity hub.)

$SOL — $2.09B (One of the strongest altcoin performers, attracting speculative and momentum-driven flows.)

$SOXL — $1.97B (Exposure to the semiconductor sector, highlighting increased interest in AI and tech-related derivatives.)

$MU — $1.56B (Strong trading interest linked to the semiconductor and AI hardware narrative.)

$XAG — $1.42B (Precious metals seeing increased activity as traders diversify risk.)

$XAUU — $1.41B (Gold remains a preferred safe-haven asset amid macro uncertainty.)

$SNDK — $1.39B (Growing interest following increased momentum in storage and semiconductor-related equities.)

$SPCX — $1.37B (Broad market exposure continues to attract traders looking beyond crypto.)

$HYPE — $854.41M (Strong participation despite a smaller market, suggesting elevated speculative interest.)
Key takeaway: Nearly $35B+ in volume is concentrated across crypto, equities, and commodities. #BTC and #ETH continue to dominate, while #sol and semiconductor-related contracts are attracting notable momentum. Precious metals also remain active, reflecting a balanced mix of risk-on and defensive positioning. Smart traders follow where liquidity is building before the next major move. 📊📈
The market is entering a deep pullback phase.🔴 Futures heatmaps indicate the market has broadly moved into a Risk-Off (risk-averse) mode: • $GWEI -42.84% 📉 • $NFP -24.24% • $LAB -21.94% • $MANTA -15.30% • $G -14.89% • $RAVE -13.95% • $HOME -12.79% • $ACT -11.61% • $POWR -11.44% • $COLLECT -10.74% • $S -10.65% • $EIGEN -10.62% This is not the time to impulsively buy the dip. Instead, observe the order flow, watch liquidity, and wait for price confirmation signals. Professional traders don’t chase trades in panic; they prioritize protecting capital and patiently wait for high-probability opportunities. Only when the risk-reward ratio is sufficiently excellent do they execute decisively. {future}(MANTAUSDT) {future}(NFPUSDT) {future}(GWEIUSDT)
The market is entering a deep pullback phase.🔴

Futures heatmaps indicate the market has broadly moved into a Risk-Off (risk-averse) mode:

$GWEI -42.84% 📉
$NFP -24.24%
• $LAB -21.94%
$MANTA -15.30%
• $G -14.89%
• $RAVE -13.95%
• $HOME -12.79%
• $ACT -11.61%
• $POWR -11.44%
• $COLLECT -10.74%
• $S -10.65%
• $EIGEN -10.62%

This is not the time to impulsively buy the dip. Instead, observe the order flow, watch liquidity, and wait for price confirmation signals.

Professional traders don’t chase trades in panic; they prioritize protecting capital and patiently wait for high-probability opportunities. Only when the risk-reward ratio is sufficiently excellent do they execute decisively.
Market Flush in Progress. 🔴 Futures heat map is flashing broad risk off sentiment: • $GWEI −42.84% 📉 • $NFP −24.24% • $LAB −21.94% • $MANTA −15.30% • $G −14.89% • $RAVE −13.95% • $HOME −12.79% • $ACT −11.61% • $POWR −11.44% • $COLLECT −10.74% • $S −10.65% • $EIGEN −10.62% This isn’t the time to predict bottoms it’s the time to read order flow, monitor liquidity, and let price confirm direction. Professional traders don’t chase panic. They preserve capital, wait for high conviction setups, and execute only when risk to reward is in their favor. Capital preservation is a strategy. Patience is an edge. {future}(LABUSDT) {future}(NFPUSDT) {future}(GWEIUSDT)
Market Flush in Progress. 🔴

Futures heat map is flashing broad risk off sentiment:

$GWEI −42.84% 📉
$NFP −24.24%
$LAB −21.94%
• $MANTA −15.30%
• $G −14.89%
• $RAVE −13.95%
• $HOME −12.79%
• $ACT −11.61%
• $POWR −11.44%
• $COLLECT −10.74%
• $S −10.65%
• $EIGEN −10.62%

This isn’t the time to predict bottoms it’s the time to read order flow, monitor liquidity, and let price confirm direction.

Professional traders don’t chase panic. They preserve capital, wait for high conviction setups, and execute only when risk to reward is in their favor.

Capital preservation is a strategy. Patience is an edge.
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Bullish
$BAS Buy-the-Dip Trading Strategy (SMC/ICT + Elliott Wave) 📍 Entry Zone: 0.0395 – 0.0402 (Bullish demand zone on the higher time frame (HTF) + discount area + possible liquidity sweep after a break below 0.0400) 🛑 Stop Loss: Below 0.0358 (Located below the HTF demand zone and below key sell-side liquidity) 🎯 Take Profit Targets: * TP1: 0.0455 → First supply zone / internal liquidity target * TP2: 0.0485 → Fair value gap (FVG) fill * TP3: 0.0525 → Main bearish order block area * TP4: 0.0635 → Previous high / buy-side liquidity target *Trade Now $BAS 👇🏻👇🏻 {future}(BASUSDT)
$BAS Buy-the-Dip Trading Strategy (SMC/ICT + Elliott Wave)

📍 Entry Zone: 0.0395 – 0.0402
(Bullish demand zone on the higher time frame (HTF) + discount area + possible liquidity sweep after a break below 0.0400)

🛑 Stop Loss:
Below 0.0358
(Located below the HTF demand zone and below key sell-side liquidity)

🎯 Take Profit Targets:

* TP1: 0.0455 → First supply zone / internal liquidity target
* TP2: 0.0485 → Fair value gap (FVG) fill
* TP3: 0.0525 → Main bearish order block area
* TP4: 0.0635 → Previous high / buy-side liquidity target

*Trade Now $BAS 👇🏻👇🏻
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Bullish
$BAS Long Setup (SMC/ICT + Elliott Wave) 📍 Entry Zone: * 0.0395 – 0.0402 (HTF bullish demand + discount zone + potential liquidity sweep below 0.0400) 🛑 Stop Loss * Below 0.0358 (below higher-timeframe demand and structural sell-side liquidity) 🎯 Take Profits * TP1: 0.0455 → first supply zone / internal liquidity * TP2: 0.0485 → Fair Value Gap (FVG) fill * TP3: 0.0525 → major bearish Order Block * TP4: 0.0635 → previous swing high / buy-side liquidity target Trade $BAS here 👇🏻👇🏻 {future}(BASUSDT)
$BAS Long Setup (SMC/ICT + Elliott Wave)

📍 Entry Zone: * 0.0395 – 0.0402
(HTF bullish demand + discount zone + potential liquidity sweep below 0.0400)

🛑 Stop Loss * Below 0.0358
(below higher-timeframe demand and structural sell-side liquidity)

🎯 Take Profits

* TP1: 0.0455 → first supply zone / internal liquidity
* TP2: 0.0485 → Fair Value Gap (FVG) fill
* TP3: 0.0525 → major bearish Order Block
* TP4: 0.0635 → previous swing high / buy-side liquidity target

Trade $BAS here 👇🏻👇🏻
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Bullish
$VELVET Wave 4 → Wave 5 + SMC + ICT Multi-Head Trading Strategy 📍 Entry Range: 1.57 – 1.60 (Bullish demand zone + institutional order block + potential liquidity sweep area) 🛑 Stop Loss: Below 1.47 (Breaking the high timeframe demand zone and key structure liquidity) 🎯 Take Profit Targets: * TP1: 1.74 → Recent swing high / internal liquidity * TP2: 1.82 → 4-hour primary supply zone * TP3: 2.00 → Psychological level * TP4: 2.17 → Previous high / buyer liquidity target Trade here $VELVET 👇🏻 {future}(VELVETUSDT)
$VELVET Wave 4 → Wave 5 + SMC + ICT Multi-Head Trading Strategy

📍 Entry Range:
1.57 – 1.60 (Bullish demand zone + institutional order block + potential liquidity sweep area)

🛑 Stop Loss:
Below 1.47
(Breaking the high timeframe demand zone and key structure liquidity)

🎯 Take Profit Targets:

* TP1: 1.74 → Recent swing high / internal liquidity
* TP2: 1.82 → 4-hour primary supply zone
* TP3: 2.00 → Psychological level
* TP4: 2.17 → Previous high / buyer liquidity target

Trade here $VELVET 👇🏻
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Bullish
$VELVET Wave 4 → Wave 5 + SMC + ICT Long Setup 📍 Entry Zone: * 1.57 – 1.60 (bullish demand zone + institutional order block + potential liquidity sweep area) 🛑 Stop Loss * Below 1.47 (below higher-timeframe demand and structural liquidity) 🎯 Take Profits * TP1: 1.74 → recent swing high / internal liquidity * TP2: 1.82 → major 4H supply zone * TP3: 2.00 → psychological resistance * TP4: 2.17 → previous all-time swing high / buy-side liquidity Trade $VELVET here 👇🏻 {future}(VELVETUSDT)
$VELVET Wave 4 → Wave 5 + SMC + ICT Long Setup

📍 Entry Zone: * 1.57 – 1.60 (bullish demand zone + institutional order block + potential liquidity sweep area)

🛑 Stop Loss * Below 1.47
(below higher-timeframe demand and structural liquidity)

🎯 Take Profits

* TP1: 1.74 → recent swing high / internal liquidity
* TP2: 1.82 → major 4H supply zone
* TP3: 2.00 → psychological resistance
* TP4: 2.17 → previous all-time swing high / buy-side liquidity

Trade $VELVET here 👇🏻
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Bearish
📉 $LAB Trading Strategy (SMC + ICT + Elliott Wave Theory) 📍 Short Entry Range: 14.10 – 14.70 (15-minute bearish order block + Fair Value Gap (FVG) retracement area) 🛑 Stop Loss: Above 15.15 (Positioned above the bearish order block and above buyer liquidity) 🎯 Take Profit Targets: * TP1: 13.90 → Recent support level / take profit in batches * TP2: 13.60 → Seller liquidity pool * TP3: 13.30 → Higher-timeframe demand zone * TP4: 13.05 → Elliott Wave C wave / Wave 5 target Trade Now $LAB 👇🏻👇🏻 {future}(LABUSDT)
📉 $LAB Trading Strategy (SMC + ICT + Elliott Wave Theory)

📍 Short Entry Range: 14.10 – 14.70
(15-minute bearish order block + Fair Value Gap (FVG) retracement area)

🛑 Stop Loss: Above 15.15
(Positioned above the bearish order block and above buyer liquidity)

🎯 Take Profit Targets:

* TP1: 13.90 → Recent support level / take profit in batches
* TP2: 13.60 → Seller liquidity pool
* TP3: 13.30 → Higher-timeframe demand zone
* TP4: 13.05 → Elliott Wave C wave / Wave 5 target

Trade Now $LAB 👇🏻👇🏻
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Bearish
$LAB Trading Setup (SMC + ICT + Elliott Wave) 📍Entry Zone (Short): * 14.10 – 14.70 (15m bearish order block + fair value gap retracement) 🛑 Stop Loss * Above 15.15 (above bearish order block and buy-side liquidity) 🎯 Take Profits * TP1: 13.90 → immediate support / partial profit * TP2: 13.60 → sell-side liquidity pool * TP3: 13.30 → higher-timeframe demand zone * TP4: 13.05 → projected Elliott Wave C / Wave 5 completion Trade $LAB here 👇🏻👇🏻 {future}(LABUSDT)
$LAB Trading Setup (SMC + ICT + Elliott Wave)

📍Entry Zone (Short): * 14.10 – 14.70
(15m bearish order block + fair value gap retracement)

🛑 Stop Loss * Above 15.15
(above bearish order block and buy-side liquidity)

🎯 Take Profits

* TP1: 13.90 → immediate support / partial profit
* TP2: 13.60 → sell-side liquidity pool
* TP3: 13.30 → higher-timeframe demand zone
* TP4: 13.05 → projected Elliott Wave C / Wave 5 completion

Trade $LAB here 👇🏻👇🏻
$BTC falls to $58,888, testing key support—could a reversal be coming? After $BTC sharply dropped to $58,888, it rebounded and is currently trading around $59,300. However, looking at the 15-minute chart, the price is still below the Bollinger Band midline, indicating that the bears remain in control. This rebound is more likely a technical bounce rather than a true trend reversal. 👀 Key levels to watch: 🔹 Support level: $58,900 🔹 Resistance levels: $59,500–$59,900 🔹 If the price successfully breaks through the resistance zone, it could trigger a stronger rebound; if it breaks below support, it may lead to another round of downward movement. {future}(BTCUSDT)
$BTC falls to $58,888, testing key support—could a reversal be coming?

After $BTC sharply dropped to $58,888, it rebounded and is currently trading around $59,300. However, looking at the 15-minute chart, the price is still below the Bollinger Band midline, indicating that the bears remain in control. This rebound is more likely a technical bounce rather than a true trend reversal.

👀 Key levels to watch:

🔹 Support level: $58,900

🔹 Resistance levels: $59,500–$59,900

🔹 If the price successfully breaks through the resistance zone, it could trigger a stronger rebound; if it breaks below support, it may lead to another round of downward movement.
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Bullish
$BTC hits 58,888 ,Tests Key Support is a Reversal Coming? $BTC is trading around $59.3K after a sharp sell-off that touched $58.9K before bouncing. The 15-minute chart shows price still below the Bollinger Band midline, suggesting bears remain in control despite the relief bounce. 👀 Levels to watch: 🔹 Support: $58.9K 🔹 Resistance: $59.5K–$59.9K 🔹 A break above resistance could fuel a stronger recovery, while losing support may trigger another leg down. {future}(BTCUSDT)
$BTC hits 58,888 ,Tests Key Support is a Reversal Coming?

$BTC is trading around $59.3K after a sharp sell-off that touched $58.9K before bouncing. The 15-minute chart shows price still below the Bollinger Band midline, suggesting bears remain in control despite the relief bounce.

👀 Levels to watch:
🔹 Support: $58.9K
🔹 Resistance: $59.5K–$59.9K
🔹 A break above resistance could fuel a

stronger recovery, while losing support may trigger another leg down.
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Bullish
$MYX SMC + ICT Trading Strategy 📍 Entry Range: * 0.0895 – 0.0915 (Intraday bullish order block area + discount zone + current demand zone) * Backup Entry: If the price breaks below 0.0890, completes a liquidity sweep, and then on a 15-minute timeframe shows bullish CHoCH/BOS accompanied by a strong bullish displacement, consider entering again. 🛑 Stop Loss * Below 0.0845 (located under the daily main demand zone and below the seller liquidity) 🎯 Take Profit Targets * TP1: 0.0930 → Internal liquidity refill * TP2: 0.0950 → Fair Value Gap (FVG) refill * TP3: 0.0970 → Psychological level + seller supply zone * TP4: 0.1000 → 4-hour prior high structure / liquidity pool In this trade $MYX 👇🏻 {future}(MYXUSDT)
$MYX SMC + ICT Trading Strategy

📍 Entry Range:
* 0.0895 – 0.0915 (Intraday bullish order block area + discount zone + current demand zone)
* Backup Entry: If the price breaks below 0.0890, completes a liquidity sweep, and then on a 15-minute timeframe shows bullish CHoCH/BOS accompanied by a strong bullish displacement, consider entering again.

🛑 Stop Loss
* Below 0.0845 (located under the daily main demand zone and below the seller liquidity)

🎯 Take Profit Targets

* TP1: 0.0930 → Internal liquidity refill
* TP2: 0.0950 → Fair Value Gap (FVG) refill
* TP3: 0.0970 → Psychological level + seller supply zone
* TP4: 0.1000 → 4-hour prior high structure / liquidity pool

In this trade $MYX 👇🏻
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Bullish
$MYX SMC + ICT Trade Setup 📍 Entry Zone: * 0.0895 – 0.0915 (intraday bullish order block + discount zone + current demand) * Alternative Entry: Liquidity sweep below 0.0890 followed by a 15M Bullish CHoCH/BOS and strong bullish displacement. 🛑 Stop Loss * Below 0.0845 (below major daily demand and sell-side liquidity) 🎯 Take Profits * TP1: 0.0930 → Internal liquidity grab * TP2: 0.0950 → Fair Value Gap (FVG) fill * TP3: 0.0970 → Psychological resistance + sell-side supply * TP4: 0.1000 → Previous 4H structure / liquidity pool Trade $MYX here 👇🏻 {future}(MYXUSDT)
$MYX SMC + ICT Trade Setup

📍 Entry Zone: * 0.0895 – 0.0915
(intraday bullish order block + discount zone + current demand)
* Alternative Entry: Liquidity sweep below 0.0890 followed by a 15M Bullish CHoCH/BOS and strong bullish displacement.

🛑 Stop Loss * Below 0.0845
(below major daily demand and sell-side liquidity)

🎯 Take Profits

* TP1: 0.0930 → Internal liquidity grab
* TP2: 0.0950 → Fair Value Gap (FVG) fill
* TP3: 0.0970 → Psychological resistance + sell-side supply
* TP4: 0.1000 → Previous 4H structure / liquidity pool

Trade $MYX here 👇🏻
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