RESOLV Short Selling Frenzy! Price Crash Alert Sounds, Smart Funds Urgently Withdraw, Seize the Opportunity for a Rebound?
Current RESOLV Price 0.3373 USDT, 9.03% below holding cost, the order book shows significantly more sell orders than buy orders at close range, high risk of short-term decline; negative funding rate (-0.002066) and net outflow of contracts (1h -12.03m) indicate a bearish dominance. A short position is recommended for the short term, target 0.3250, stop loss 0.3450, risk-reward ratio 1.60. Risk: Insufficient liquidity and large order impact may cause significant price fluctuations; if it breaks through 0.3450, the strategy should be abandoned, and position control should be kept within 2%.
Technical Analysis
1. Price Status: Bollinger Bands and MA200 data missing; holding cost 0.3708 USDT, current price deviation -9.03%, indicating price pressure, strong selling intent.
2. Market Strength: Trading volume data missing; price decline accompanied by capital outflow (1h net flow -12.03m, price down 7.21%), open interest decrease (1h -6.58%), negative funding rate, indicating strong bearish sentiment; no major news impact.
3. Key Levels:
• Support Level: 0.3304 (maximum buy order zone, worth 100k USDT).
• Resistance Level: 0.3356 (buy order accumulation area).
• Liquidity: Sell zone at 2.0 (856k USDT large orders), buy zone near 0.3304; buy-sell pressure ratio 1.139, but close range sell orders 116.6k > buy orders 31.6k, significant selling pressure; no liquidity gap.
Market Cycle Analysis
The market is in the early correction phase of a bear market, with a 66% increase over the past 2 days, but recent capital outflows suggest a trend reversal.
Trading Strategy
• Entry Point: 0.3373 (aggressive short at market price).
• Stop Loss Point: 0.3450 (above resistance).
• Target Level: 0.3250 (support extension).
• Risk-Reward Ratio: 1.60 (calculated using Short formula).
Risk Warning
• Market Risk: Insufficient liquidity amplifies volatility, sudden changes in funding rates.
• Strategy Failure: Close positions if the price breaks 0.3450.
• Operational Notes: Single trade risk ≤ 2% of total capital, avoid low liquidity periods.
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