SYRUP/USDT has just recorded an impressive increase of over 44% in the 15-minute time frame, indicating a short-term recovery signal. However, volume and money flow indicators still warn of potential risks in the medium term. Below is a summary of multi-frame technical analysis and proposed trading scenarios.
1. Summary of technical data by time frame
15-minute frame
Current price: 0.2064 (+44.13%)
EMA(7): 0.2050, EMA(25): 0.2070 – positive crossover signal
RSI: 56.9 – neutral zone, not overbought yet
MACD: Slightly positive (0.0007) – weak bullish signal
Volume: 352,972 – above average level
1-hour frame
EMA(7): 0.2067, EMA(25): 0.2209 – medium-term downtrend
RSI: 41.23 – below neutral level
Volume: 531,137
OBV: -45.86 million – money flow is still exiting
4-hour frame
EMA(7): 0.2154 – above current price
RSI: 24.20 – deep oversold zone
OBV: -3.47 million – selling pressure maintains
Volume: 531,730 – sideways
1-day frame
Fluctuation range: 0.0000 – 1.0429
OBV: -66.03 million – negative signal on money flow
Volume: 5.36 million – large trading activity but leaning towards selling
2. Technical assessment
Short-term (15m – 1h): A recovery trend is forming, supported by EMA crossover and neutral RSI. However, the trend is not strong enough without a clear breakout in volume.
Medium-term (4h – 1D): RSI is in the deep oversold zone, suggesting a potential bottom formation. However, negative money flow (OBV) warns that there are still adjustment risks.
Volume: Only significantly increasing in the short-term frame. Larger frames show that money flow is still weak.
3. Proposed trading scenarios
Scenario 1: Short-term trading (Scalping)
Entry point: 0.2060 – 0.2070
Take profit: 0.2150 (EMA25 on the 1h frame)
Stop Loss: 0.2020 (below near support)
Probability of success: ~65%
Reason: EMA crossover signal + RSI not overbought yet
Scenario 2: Medium-term trading
Entry point: 0.2010 (after the pullback)
Take profit: 0.2300 (medium-term resistance)
Stop Loss: 0.1950
Probability of success: ~55%
Reason: Low RSI supports an increase, but negative OBV indicates that risks are still present
4. Risk Management
Do not use high leverage due to unstable high volatility
Appropriate capital allocation – should use a maximum of 5% of total capital
Closely monitor volume – if it decreases, consider taking profits early
Note: This is purely technical analysis. Investors need to monitor additional news and fundamental factors that may affect SYRUP's price in the short and medium term.