Binance Square

Fazle Bro

🤖 AI meets DeFi. 🔗 Blockchain deep-dives. 📈 Daily market moves & Web3 waves. Join Fazle_Bro where the future gets decoded.
Open Trade
High-Frequency Trader
3.7 Years
60 Following
13.0K+ Followers
13.4K+ Liked
2.3K+ Shared
Content
Portfolio
·
--
$RIVER just made a sharp +139% weekly run and momentum is starting to cool on the 1h. Price is stretched above short MAs while MACD turns slightly negative good conditions for a pullback short near the top. RIVER Futures Call (SHORT): Entry: 58.9 – 60 Stop-loss: 63.2 TP1: 55.0 TP2: 52.8 TP3: 46 After a parabolic move, buyers are losing acceleration (RSI ~60, MACD histogram negative). With price extended from the base and sentiment mixed, any weakness can trigger fast profit-taking. If RIVER fails to hold the 58 area, a retrace toward the 53–48 zone is likely. This is a near-price short: tight risk, strong RR, and good timing after an overheated rally.$RIVER {future}(RIVERUSDT)
$RIVER just made a sharp +139% weekly run and momentum is starting to cool on the 1h. Price is stretched above short MAs while MACD turns slightly negative good conditions for a pullback short near the top.
RIVER Futures Call (SHORT):
Entry: 58.9 – 60
Stop-loss: 63.2
TP1: 55.0
TP2: 52.8
TP3: 46
After a parabolic move, buyers are losing acceleration (RSI ~60, MACD histogram negative). With price extended from the base and sentiment mixed, any weakness can trigger fast profit-taking.
If RIVER fails to hold the 58 area, a retrace toward the 53–48 zone is likely. This is a near-price short: tight risk, strong RR, and good timing after an overheated rally.$RIVER
Plasma is building a fast, scalable environment where users and builders can actually feel on-chain efficiency. Watching @Plasma push real infrastructure while $XPL grows with the ecosystem is exciting. Long-term vision matters. #Plasma {future}(XPLUSDT)
Plasma is building a fast, scalable environment where users and builders can actually feel on-chain efficiency. Watching @Plasma push real infrastructure while $XPL grows with the ecosystem is exciting. Long-term vision matters. #Plasma
The "Losers" list is looking heavy today with $ZRO , $DUSK , and $STG all taking double-digit hits. While the sea of red can be intimidating, these are the moments where the best entries are found.
The "Losers" list is looking heavy today with $ZRO , $DUSK , and $STG all taking double-digit hits. While the sea of red can be intimidating, these are the moments where the best entries are found.
$EUL is showing a strong bullish reaction and momentum is building nicely. The price is holding above key support levels and looks ready for another leg up. This is a solid opportunity for long-side traders to enter early and ride the move. Trade Setup (Long): Entry: 2.160 – 2.200 Targets: 2.280 — 2.320 — 2.360 Stop-Loss: 2.120 Momentum is strong and buyers are in control. Open long positions carefully and manage your risk. Click below to Take Trade 👇$EUL {future}(EULUSDT)
$EUL is showing a strong bullish reaction and momentum is building nicely. The price is holding above key support levels and looks ready for another leg up. This is a solid opportunity for long-side traders to enter early and ride the move.
Trade Setup (Long):
Entry: 2.160 – 2.200
Targets: 2.280 — 2.320 — 2.360
Stop-Loss: 2.120
Momentum is strong and buyers are in control. Open long positions carefully and manage your risk.
Click below to Take Trade 👇$EUL
📉 $FOGO / USDT – Short-Term Short $FOGO is facing rejection near recent highs after a strong rally. Long wicks & bearish follow-through signal short-term exhaustion. Price struggling below 0.0415–0.0420 favors a corrective pullback. ⚡ Trade Setup (Short): • Entry: 0.04 – 0.039 • TP1: 0.038 | TP2: 0.037 | TP3: 0.035 • SL: Above 0.043 Short $FOGO With Me 👇👇 {future}(FOGOUSDT)
📉 $FOGO / USDT – Short-Term Short
$FOGO is facing rejection near recent highs after a strong rally. Long wicks & bearish follow-through signal short-term exhaustion. Price struggling below 0.0415–0.0420 favors a corrective pullback.
⚡ Trade Setup (Short):
• Entry: 0.04 – 0.039
• TP1: 0.038 | TP2: 0.037 | TP3: 0.035
• SL: Above 0.043
Short $FOGO With Me 👇👇
$ETH ETF FLIP: BlackRock Stumbles as Grayscale Gains While Grayscale's mini ETH trust quietly stacks inflows, BlackRock's ETHA is leading the exit, bleeding $44.5M in a single day. This isn't just a fourth straight day of outflows; it's a stark role reversal at the top. The new institutional darling is suddenly the weakest link, exposing a fracturing consensus. The ETF rotation is real. {future}(ETHUSDT)
$ETH ETF FLIP: BlackRock Stumbles as Grayscale Gains
While Grayscale's mini ETH trust quietly stacks inflows, BlackRock's ETHA is leading the exit, bleeding $44.5M in a single day. This isn't just a fourth straight day of outflows; it's a stark role reversal at the top. The new institutional darling is suddenly the weakest link, exposing a fracturing consensus. The ETF rotation is real.
$SOMI Short Trade Signal 🔴 $SOMI just exploded to $0.275 with a +40% daily spike on abnormal volume — ~$186M vs a normal ~$15M. This looks like a liquidity-driven breakout that’s already stretched short-term. Call: SHORT Trade Setup (Short): 🔻 Entry: $0.28 – $0.29 🛑 Stop-Loss: $0.32 🎯 Targets: • TP1: $0.25 • TP2: $0.22 • TP3: $0.20 📊 Why this works: • The move is fast, crowded, and overextended • RSI ~73 → overbought conditions • Current buyers are mostly late momentum chasers, not base builders • As volume cools, early longs take profit, causing price to rotate back to prior liquidity • A loss of $0.258 (SMA7) can accelerate selling toward $0.22, where real demand previously formed This is a mean-reversion play after a blow-off move. Patience on entry and strict risk management are key. 👉 Click below to take the trade👇$SOMI {future}(SOMIUSDT)
$SOMI Short Trade Signal 🔴
$SOMI just exploded to $0.275 with a +40% daily spike on abnormal volume — ~$186M vs a normal ~$15M. This looks like a liquidity-driven breakout that’s already stretched short-term.
Call: SHORT
Trade Setup (Short):
🔻 Entry: $0.28 – $0.29
🛑 Stop-Loss: $0.32
🎯 Targets:
• TP1: $0.25
• TP2: $0.22
• TP3: $0.20
📊 Why this works:
• The move is fast, crowded, and overextended
• RSI ~73 → overbought conditions
• Current buyers are mostly late momentum chasers, not base builders
• As volume cools, early longs take profit, causing price to rotate back to prior liquidity
• A loss of $0.258 (SMA7) can accelerate selling toward $0.22, where real demand previously formed
This is a mean-reversion play after a blow-off move. Patience on entry and strict risk management are key.
👉 Click below to take the trade👇$SOMI
$ACU Update 📊 $ACU just hit $0.30 — this is exactly why I keep repeating: buy at low levels, not after the pump. Momentum is still strong, but after such a move, a pullback is very possible. Price may retest the lower zone as part of a healthy correction phase before any further continuation. 📌 Key Takeaway: • Trend is still bullish • Expect volatility after the pump • Pullbacks ≠ weakness — they reset structure • Chasing here is risky; patience pays {future}(ACUUSDT) #WEFDavos2026 #CPIWatch #TrumpTariffsOnEurope #MarketRebound
$ACU Update 📊
$ACU just hit $0.30 — this is exactly why I keep repeating: buy at low levels, not after the pump.
Momentum is still strong, but after such a move, a pullback is very possible. Price may retest the lower zone as part of a healthy correction phase before any further continuation.
📌 Key Takeaway:
• Trend is still bullish
• Expect volatility after the pump
• Pullbacks ≠ weakness — they reset structure
• Chasing here is risky; patience pays
#WEFDavos2026 #CPIWatch
#TrumpTariffsOnEurope
#MarketRebound
$SPACE Long Trade Setup 📈 The more this chart develops, the more it looks like a potential rounded bottom is forming. This pattern can be misleading if chased early, and price is currently sitting just below a key resistance, so this is not a spot to go aggressively bullish yet. That said, a clean breakout and acceptance could offer a solid expansion opportunity. Trade Setup (Long): 🔹 Entry Zone: 0.0175 – 0.0180 🛑 Stop-Loss: 0.0147 🎯 Profit Targets: • TP1: 0.0207 • TP2: 0.0229 • TP3: 0.0246 Patience is key here. Wait for strength and confirmation—if resistance breaks, momentum can carry price higher. If not, staying sidelined is the smarter play. 👉 Click below to take the trade👇$SPACE {future}(SPACEUSDT) #WEFDavos2026 #TrumpCancelsEUTariffThreat #WhoIsNextFedChair #GoldSilverAtRecordHighs
$SPACE Long Trade Setup 📈
The more this chart develops, the more it looks like a potential rounded bottom is forming. This pattern can be misleading if chased early, and price is currently sitting just below a key resistance, so this is not a spot to go aggressively bullish yet.
That said, a clean breakout and acceptance could offer a solid expansion opportunity.
Trade Setup (Long):
🔹 Entry Zone: 0.0175 – 0.0180
🛑 Stop-Loss: 0.0147
🎯 Profit Targets:
• TP1: 0.0207
• TP2: 0.0229
• TP3: 0.0246
Patience is key here. Wait for strength and confirmation—if resistance breaks, momentum can carry price higher. If not, staying sidelined is the smarter play.
👉 Click below to take the trade👇$SPACE
#WEFDavos2026 #TrumpCancelsEUTariffThreat #WhoIsNextFedChair #GoldSilverAtRecordHighs
🚨 WARNING: SILVER IS EXPOSING A DEEP SYSTEMIC RISK 🚨 Silver is trading near $100/oz on charts — but that price reflects paper contracts, not real metal. Once you look outside futures markets, a very different reality appears. Physical Silver Clearing Prices: • 🇺🇸 COMEX (Paper): ~$100 • 🇯🇵 Japan (Physical): ~$145 • 🇨🇳 China (Physical): ~$140 • 🇦🇪 UAE (Physical): ~$165 That’s a 35–60% gap between paper pricing and real-world demand. This kind of divergence does not exist in a healthy market. 🔍 WHAT’S REALLY HAPPENING Silver is facing a structural supply shock: • Solar & green energy are absorbing massive amounts of annual supply • EVs, electronics, and infrastructure demand keeps rising • China is tightening export availability • Global inventories are at multi-decade lows The $100 price reflects a financial promise, not guaranteed access to deliverable metal. ❌ WHY ARBITRAGE IS FAILING Normally, traders would buy physical silver and short paper until prices converge. That is not happening. Why? Because the paper market is artificially constrained. Major bullion banks hold large net short positions via derivatives. If silver reprices to where physical actually clears — $130–$150 — those positions face severe mark-to-market losses. That would trigger: • Billions in balance-sheet damage • Stress on Tier-1 capital • Forced deleveraging across markets At this stage, silver is no longer about profit. It’s about risk containment and survival. ⚠️ THE ENDGAME SETUP This is a classic delivery squeeze dynamic: • Physical silver is leaving vaults • Paper contracts expand to delay price discovery • Real metal is hoarded • Synthetic supply floods the market Once registered inventories fall below critical levels, delivery stress accelerates fast. When that happens, paper prices lose credibility. Price discovery shifts from contracts → physical reality. #WEFDavos2026 #TrumpCancelsEUTariffThreat #TrumpTariffsOnEurope #GoldSilverAtRecordHighs
🚨 WARNING: SILVER IS EXPOSING A DEEP SYSTEMIC RISK 🚨

Silver is trading near $100/oz on charts —
but that price reflects paper contracts, not real metal.

Once you look outside futures markets, a very different reality appears.

Physical Silver Clearing Prices: • 🇺🇸 COMEX (Paper): ~$100
• 🇯🇵 Japan (Physical): ~$145
• 🇨🇳 China (Physical): ~$140
• 🇦🇪 UAE (Physical): ~$165

That’s a 35–60% gap between paper pricing and real-world demand.

This kind of divergence does not exist in a healthy market.

🔍 WHAT’S REALLY HAPPENING

Silver is facing a structural supply shock:

• Solar & green energy are absorbing massive amounts of annual supply
• EVs, electronics, and infrastructure demand keeps rising
• China is tightening export availability
• Global inventories are at multi-decade lows

The $100 price reflects a financial promise,
not guaranteed access to deliverable metal.

❌ WHY ARBITRAGE IS FAILING

Normally, traders would buy physical silver and short paper until prices converge.

That is not happening.

Why?

Because the paper market is artificially constrained.

Major bullion banks hold large net short positions via derivatives.

If silver reprices to where physical actually clears — $130–$150 —
those positions face severe mark-to-market losses.

That would trigger: • Billions in balance-sheet damage
• Stress on Tier-1 capital
• Forced deleveraging across markets

At this stage, silver is no longer about profit.
It’s about risk containment and survival.

⚠️ THE ENDGAME SETUP

This is a classic delivery squeeze dynamic:

• Physical silver is leaving vaults
• Paper contracts expand to delay price discovery
• Real metal is hoarded
• Synthetic supply floods the market

Once registered inventories fall below critical levels,
delivery stress accelerates fast.

When that happens, paper prices lose credibility.

Price discovery shifts from contracts → physical reality.

#WEFDavos2026 #TrumpCancelsEUTariffThreat #TrumpTariffsOnEurope #GoldSilverAtRecordHighs
💥BREAKING: Silver prices officially rise above $100/oz for the first time in history, now up +40% in 2026.$IOTA $RAY We have all witnessed history today. $KO
💥BREAKING: Silver prices officially rise above $100/oz for the first time in history, now up +40% in 2026.$IOTA
$RAY
We have all witnessed history today. $KO
$2Z Price is reaching a major supply zone Strong rejection expected here — sellers getting active 👀 🔻 Trade Type: SHORT 📍 DCA Entry Zone: 0.1400 ⛔ Stop Loss: 0.1430 🎯 Targets: ✅ 0.1360 ✅ 0.1350 ✅ 0.1320 ✅ 0.1300 ✅ 0.1270 ✅ 0.1220 👇 SHORT HERE💥 $2Z {future}(2ZUSDT)
$2Z Price is reaching a major supply zone
Strong rejection expected here — sellers getting active 👀
🔻 Trade Type: SHORT
📍 DCA Entry Zone: 0.1400
⛔ Stop Loss: 0.1430
🎯 Targets:
✅ 0.1360
✅ 0.1350
✅ 0.1320
✅ 0.1300
✅ 0.1270
✅ 0.1220

👇 SHORT HERE💥 $2Z
$BTC – NEXT PLAY (WEEKLY) • Price may see one more liquidity sweep near 88K → Downside risk still active below resistance • Bias remains neutral to bearish → Not bullish until BTC reclaims the LYO zone at 93.5K–94K Key levels will decide the next major move. {future}(BTCUSDT)
$BTC – NEXT PLAY (WEEKLY)

• Price may see one more liquidity sweep near 88K
→ Downside risk still active below resistance

• Bias remains neutral to bearish
→ Not bullish until BTC reclaims the LYO zone at 93.5K–94K

Key levels will decide the next major move.
$IRYS Trade Setup (Long) 🚀📈 Entry: 0.0508 – 0.0515 🟢 TP1: 0.0530 🎯 TP2: 0.0548 🎯🎯 TP3: 0.0575 🎯🎯🎯 SL: 0.0494 🛡️ As long as 0.050 holds 🧱, upside stays in play 💪🔥 #IRYS 🚀 {future}(IRYSUSDT)
$IRYS Trade Setup (Long) 🚀📈
Entry: 0.0508 – 0.0515 🟢
TP1: 0.0530 🎯
TP2: 0.0548 🎯🎯
TP3: 0.0575 🎯🎯🎯
SL: 0.0494 🛡️

As long as 0.050 holds 🧱, upside stays in play 💪🔥
#IRYS 🚀
$BANANAS31 Breakout Retest Holds Strong for Next Leg Up🚀 Entry Zone: 0.00425 – 0.00440 Bullish Above: 0.00410 TP1🎯: 0.00480 TP2🎯: 0.00540 TP3🎯: 0.00620 Stop Loss⭕: 0.00395 {future}(BANANAS31USDT)
$BANANAS31 Breakout Retest Holds Strong for Next Leg Up🚀
Entry Zone: 0.00425 – 0.00440
Bullish Above: 0.00410
TP1🎯: 0.00480
TP2🎯: 0.00540
TP3🎯: 0.00620
Stop Loss⭕: 0.00395
$KERNEL Vertical Expansion Signals Fresh Breakout Phase 🚀 Entry Zone: 0.0685 – 0.0710 Bullish Above: 0.0660 TP1: 0.0745 TP2: 0.0800 TP3: 0.0900 Stop Loss: 0.0635 {future}(KERNELUSDT)
$KERNEL Vertical Expansion Signals Fresh Breakout Phase 🚀
Entry Zone: 0.0685 – 0.0710
Bullish Above: 0.0660
TP1: 0.0745
TP2: 0.0800
TP3: 0.0900
Stop Loss: 0.0635
$MMT is showing a strong bullish reaction with buyers stepping in aggressively. Price is holding above key support, signaling readiness for the next leg up. This is a solid early long opportunity if momentum continues. 📈 Trade Setup (LONG) Entry: 0.205 – 0.210 Targets: 🎯 TP1: 0.215 🎯 TP2: 0.220 🎯 TP3: 0.225 🛑 Stop-Loss: 0.202 🔥 Momentum is strong 🔥 Buyers are in control ⚠️ Manage risk & position size wisely 👇 Click below to Take the Trade$MMT {future}(MMTUSDT) #WEFDavos2026
$MMT is showing a strong bullish reaction with buyers stepping in aggressively.
Price is holding above key support, signaling readiness for the next leg up.
This is a solid early long opportunity if momentum continues.
📈 Trade Setup (LONG)
Entry: 0.205 – 0.210
Targets:
🎯 TP1: 0.215
🎯 TP2: 0.220
🎯 TP3: 0.225
🛑 Stop-Loss: 0.202
🔥 Momentum is strong
🔥 Buyers are in control
⚠️ Manage risk & position size wisely
👇 Click below to Take the Trade$MMT
#WEFDavos2026
Login to explore more contents
Explore the latest crypto news
⚡️ Be a part of the latests discussions in crypto
💬 Interact with your favorite creators
👍 Enjoy content that interests you
Email / Phone number

Trending Articles

View More
Sitemap
Cookie Preferences
Platform T&Cs