📉 OM Crash Warning! The short sellers are closing in, the 0.26 support line is at risk, and smart money is accelerating its exit, causing FOMO-style panic!
Currently, OM is in a bearish-dominated downward channel, with a price of 0.2655 below MA200 (-8.6%) and holding cost (-7.65%), and the Bollinger Band position at 34.1% shows weakness. The 24-hour trading volume has shrunk to an average of 25.6%, with insufficient rebound momentum. It is recommended to short on highs, and maintain a bearish outlook until the key resistance of 0.2690 is broken; if the lower support of 0.2574 is lost, it will trigger an accelerated decline. Risk warning: Oversold rebounds may trigger a short squeeze (RSI 34.76).
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Technical Analysis
1. Price Status
• Bollinger Bands: Price is between the lower band 0.2574 and the middle band 0.2692 (34.13%), approaching the oversold area but without divergence signals
• MA200: Current price deviates -8.6% from 0.290466, with the moving average showing strong resistance
• Holding Cost: Below the cost line -7.65%, with significant selling pressure from trapped positions
2. Market Strength
• Trading Volume: 24-hour volume only reached the historical average of 25.6%, with the rebound lacking support from main players
• Order Book Pressure:
• Nearby Sell Orders 183k > Buy Orders 105k (Difference -77k USDT)
• Upper liquidity wall is dense (0.2946/0.44/0.5 with a total selling pressure of 2.3 million USDT)
• Fund Flow:
• Contract net outflow of 42.69 million USDT over 5 days (price declined by 14.16% simultaneously)
• Long/Short ratio dropped sharply by 9.26% (24h)
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Key Level Analysis
| Type | Price | Basis |
|------------|-----------|--------------------------|
| Resistance | 0.2692 | Bollinger middle band + recent high point |
| Strong Resistance | 0.2946 | 317k USDT liquidity wall |
| Support | 0.2574 | Bollinger lower band |
| Breakout Target | 0.2500 | Psychological level + order book vacuum area |
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Trading Strategy (4H Cycle)
Direction: SHORT
• Entry: 0.2690 (testing Bollinger middle band resistance)
• Stop Loss: 0.2740 (stop loss on breaking previous high)
• Target: 0.2575 (Bollinger lower band)
• Risk/Reward Ratio: 1:2.3
> Position ≤2% | Avoid low liquidity periods (UTC 02:00-06:00)
⚠️ Risk Warning
1. RSI oversold may trigger a short squeeze rebound
2. If it breaks 0.2740, stop loss and reverse to test long
3. Sudden changes in macro policies may trigger a liquidity crisis (pay attention to the Federal Reserve's interest rate decisions)
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