$MOVR is showing steady bullish momentum after bouncing from key support levels. Price action indicates potential continuation toward higher resistance zones, supported by consistent buying pressure. Pullbacks near support provide favorable entry points for traders.
Trade Plan:
Entry: On confirmation above current support
TP1: 3.300
TP2: 3.400
TP3: 3.500
SL: 3.100
Risk Management: Keep position sizing moderate, maintain a strict stop loss, and scale out profits gradually at each target to minimize risk.
The $ENS pair is showing early signs of bearish pressure after rejecting the 11.60–11.61 resistance zone. Short-term momentum favors sellers, indicating a potential retracement toward key support levels. A break below 11.44 could accelerate the downward move.
Targets (TP): 11.20, 11.00, 10.80 Stop Loss (SL): 11.65
Risk Management: Use small position sizes, follow SL strictly, and avoid high leverage during volatile corrections.
The $WBETH pair is showing signs of weakening after failing to sustain above the 3,231 resistance zone. Short-term momentum favors sellers, suggesting a potential pullback toward key support levels. A break below 3,185 could accelerate the downward move.
Targets (TP): 3,100, 3,000, 2,900 Stop Loss (SL): 3,250
Risk Management: Keep position size small, follow SL strictly, and avoid over-leveraging during volatile corrections.
$PAXG is showing steady bullish momentum after holding above key support levels. Price action suggests continuation toward higher resistance zones, supported by consistent buying pressure. Pullbacks near support provide favorable entry opportunities.
Trade Plan:
Entry: On confirmation above current support
TP1: 4,200
TP2: 4,400
TP3: 4,600
SL: 4,100
Risk Management: Maintain moderate position sizing, use strict stop loss, and take partial profits at each target to protect capital.
$XVS is showing steady bullish momentum after bouncing from key support levels. Price action indicates potential continuation toward higher resistance zones, with buyers maintaining control. Pullbacks near support offer favorable entry opportunities.
Trade Plan:
Entry: On confirmation above current support
TP1: 4.70
TP2: 4.80
TP3: 5.00
SL: 4.50
Risk Management: Keep position sizing moderate, maintain a strict stop loss, and scale out profits gradually at each target.
$PROM is showing strong bullish momentum after holding above key support levels. Price action indicates continuation toward higher resistance zones, supported by consistent buying pressure. Pullbacks near support provide favorable entry opportunities.
Trade Plan:
Entry: On confirmation above current support
TP1: 9.60
TP2: 9.80
TP3: 10.00
SL: 9.00
Risk Management: Maintain moderate position sizing, use strict stop loss, and scale out profits at each target to protect capital.
The $QNT pair is showing signs of bearish pressure after rejecting the 90–90.43 resistance zone. Short-term momentum favors sellers, indicating a potential retracement toward key support levels. A break below 86.77 could trigger further downside continuation.
Targets (TP): 85.00, 80.00, 75.00 Stop Loss (SL): 90.50
Risk Management: Trade with small position size, follow SL strictly, and avoid over-leveraging in volatile conditions.
$PLUME is showing explosive bullish momentum after a significant bounce from key support. Price action indicates a powerful continuation toward higher resistance zones, supported by heavy buying pressure. Pullbacks near support offer optimal entry points for traders looking to ride the trend.
Trade Plan:
Entry: On confirmation above current support
TP1: 0.04000
TP2: 0.04500
TP3: 0.05000
SL: 0.03000
Risk Management: Use moderate position sizing due to high volatility, maintain a strict stop loss, and consider taking partial profits at each target to reduce risk.
$ZRO is showing steady bullish momentum after holding above key support levels. Price action suggests a continuation toward higher resistance zones, supported by strong buying pressure. Pullbacks near support provide favorable entry opportunities.
Trade Plan:
Entry: On confirmation above current support
TP1: 1.340
TP2: 1.360
TP3: 1.400
SL: 1.257
Risk Management: Maintain moderate position sizing, apply strict stop loss, and scale out profits gradually at each target to minimize risk.
The $LAYER pair is showing signs of a bearish pullback after failing to sustain above the 0.2700 resistance zone. Short-term momentum favors sellers, suggesting a potential retracement toward key support levels. A break below 0.2564 could trigger further downside continuation.
Targets (TP): 0.2500, 0.2400, 0.2300 Stop Loss (SL): 0.2700
Risk Management: Keep position size small, strictly follow SL, and avoid over-leveraging during volatile moves.
$2Z is showing strong bullish continuation after bouncing from key support levels. Price action indicates further upside potential toward higher resistance zones, with buyers maintaining control. Pullbacks near support provide optimal entry points for traders.
Trade Plan:
Entry: On confirmation above current support
TP1: 0.13300
TP2: 0.13500
TP3: 0.14000
SL: 0.12000
Risk Management: Use moderate position sizing, maintain a strict stop loss, and scale out profits gradually at each target to protect capital.
$2Z is showing strong bullish continuation after bouncing from key support levels. Price action indicates further upside potential toward higher resistance zones, with buyers maintaining control. Pullbacks near support provide optimal entry points for traders.
Trade Plan:
Entry: On confirmation above current support
TP1: 0.13300
TP2: 0.13500
TP3: 0.14000
SL: 0.12000
Risk Management: Use moderate position sizing, maintain a strict stop loss, and scale out profits gradually at each target to protect capital.
$RAY is showing steady bullish momentum after holding key support levels. Price action suggests a continuation toward higher resistance zones, supported by consistent buying pressure. Pullbacks near support offer optimal entry points.
Trade Plan:
Entry: On confirmation above current support
TP1: 1.150
TP2: 1.200
TP3: 1.250
SL: 1.080
Risk Management: Keep position sizing moderate, maintain a strict stop loss, and scale out profits gradually at each target.
$MIRA is showing robust bullish momentum after bouncing from key support levels. Price action indicates a continuation toward higher resistance zones, supported by strong buying pressure. Pullbacks near support provide ideal entry points.
Trade Plan:
Entry: On confirmation above current support
TP1: 0.2000
TP2: 0.2100
TP3: 0.2250
SL: 0.1700
Risk Management: Use moderate position sizing, maintain a strict stop loss, and scale out profits gradually at each target to reduce risk.
The $ICP pair is showing signs of bearish pressure after rejecting the 4.40–4.47 resistance zone. Short-term momentum favors sellers, indicating a potential pullback toward lower support levels. A break below 4.33 could accelerate the downward move.
Targets (TP): 4.200, 4.000, 3.950 Stop Loss (SL): 4.473
Risk Management: Maintain small position size, strictly follow SL, and avoid over-leveraging during volatile corrections.
$ZEC is showing steady bullish momentum after holding key support levels. Price action indicates continuation toward higher resistance zones, with buyers maintaining control. Pullbacks near support offer favorable entry opportunities for traders.
Trade Plan:
Entry: On confirmation above current support
TP1: 530.00
TP2: 550.00
TP3: 580.00
SL: 500.00
Risk Management: Keep position sizing moderate, maintain a strict stop loss, and scale out profits at each target to protect capital.
$MBOX is showing early signs of bullish continuation after holding above key support levels. Price action suggests a potential move toward higher resistance zones, supported by steady buying pressure. Pullbacks near support offer favorable entry opportunities.
Trade Plan:
Entry: On confirmation above current support
TP1: 0.0400
TP2: 0.0420
TP3: 0.0450
SL: 0.0375
Risk Management: Use moderate position sizing, maintain a strict stop loss, and consider partial profit-taking at each target to minimize risk.
The $SUSHI pair is showing early signs of bearish pressure after failing to sustain above the 0.4260 resistance zone. Short-term indicators favor sellers, suggesting a potential retracement toward key support levels. A break below 0.4218 could trigger further downside continuation.
Targets (TP): 0.4100, 0.4000, 0.3850 Stop Loss (SL): 0.4350
Risk Management: Trade with small position size, follow SL strictly, and avoid over-leveraging in volatile conditions.