$FUN

๐Ÿ—“๏ธ Dateโ€“ June 25, 2025

๐Ÿ” Key Observations

๐Ÿ’ฐ Price: $0.010236 (+0.24%) โ€“ hovering near recent highs

๐Ÿ“‰ Volume: 1.86B (โ–ผ76% vs 5D avg 7.89B) โ€“ strong exhaustion sign

๐Ÿ”ฅ STOCHRSI: 95.65 > MA 97.67 โ€“ bearish divergence

๐Ÿšจ Distance from EMAs: Price is +161% from EMA(99) โ€“ extreme deviation

๐Ÿงจ Warning: Disconnect from trend = high pullback risk

---

๐Ÿ“Š Key Metrics

Current Price: $0.010236

EMAs:

EMA(7): $0.008263

EMA(25): $0.005742

EMA(99): $0.004797

STOCHRSI: 95.65 (extremely overbought)

Resistance: $0.012471 โ†’ $0.014400

Support: $0.010000 โ†’ $0.008263 โ†’ $0.005742

---

โš™๏ธ Technical Breakdown

โ— Critical Developments

๐Ÿš€ Parabolic rally from $0.003 โ†’ $0.010

๐ŸงŠ Volume cooling off fast โ€“ trend exhaustion likely

โš ๏ธ STOCHRSI divergence = sellers preparing

๐Ÿ“ Price 23.9% above EMA(7) โ€“ unsustainable

โš ๏ธ No meaningful support until $0.00826

---

๐Ÿงฑ Battle Zones

Resistance Levels:

$0.012471 (technical ceiling)

$0.014400 (YTD high)

Support Zones:

$0.010000 (psychological)

$0.008263 (EMA 7)

$0.005742 (EMA 25)

๐Ÿ“‰ Breakdown Targets:

$0.008263 โ†’ $0.007000

Capitulation Zone: $0.005742

---

๐Ÿ”ฎ Price Prediction

๐Ÿ•’ Next 12โ€“24 Hours

โœ… Base Case (90%): Pullback to $0.00900 โ†’ $0.00826

โŒ Bull Case (10%): Squeeze to $0.01247 โ†’ $0.01440

๐Ÿ“† 3-Day Outlook

Close <$0.00826 = steep selloff to $0.00574

Close >$0.01247 = continuation chance

---

๐Ÿ“‰ Trade Plan

โšก Intraday Setups (4โ€“6h)

1. ๐Ÿ”ป Short at Resistance

Entry: $0.01020 โ€“ $0.01025

Target: $0.00950 โ†’ $0.00900

Stop Loss: $0.01040

Trigger: 15m bearish engulfing candle

2. ๐Ÿ’ฃ Breakdown Short

Entry: $0.00990

Target: $0.00900 โ†’ $0.00850

Stop Loss: $0.01010

Volume Confirmation: >2B

---

๐Ÿ•ฐ๏ธ Swing Setups

1. ๐ŸŸข EMA Rebound Long (counter-trend)

Entry: $0.00830

Target: $0.00900 โ†’ $0.00950

Stop Loss: $0.00810

Trigger: STOCHRSI <20

2. ๐Ÿš€ Trend Continuation Long (high risk)

Entry: $0.01250

Target: $0.01350 โ†’ $0.01440

Stop Loss: $0.01220

Trigger: Volume >10B

---

๐Ÿ“ Risk Management

Max Position Size: โ‰ค0.3% of capital

Take Profit:

Shorts: 50% at $0.00900, 50% at $0.00850

Longs: 100% at $0.00950

Stop Loss Limit: Max 0.2% account risk

---

๐Ÿšจ Critical Triggers

โŒ BEARISH COLLAPSE SIGNALS:

- STOCHRSI crossover below MA

- Volume <1.5B

- 4h close <$0.00900

- Price drops below EMA(7)

โœ… BULLISH RECOVERY SIGNS:

+ Close > $0.012471

+ Volume spike >8B

+ STOCHRSI sustained >90

+ Bullish divergence confirmed

---

โœ… Summary

FUN/USDT shows exhaustion after a massive parabolic move:

โš ๏ธ Liquidation Zone: $0.00900

๐Ÿ”ป No solid support until $0.008263

โœ… Best Trades:

1. Shorts at $0.01022 (SL: $0.01040)

2. Breakdown shorts below $0.00990 (SL: $0.01010)

3. Counter-trend long only at $0.00830 (SL: $0.00810)

๐Ÿ“Œ Take full profits at first targets due to volatility. Avoid longs above $0.01000 unless volume spikes drastically.

---

โš ๏ธ High Alert: +161% from EMA(99) = unsustainable rally. STOCHRSI >95 signals historical top behavior. Risk control is non-negotiable.

Take Trade From here ๐Ÿ‘‰$FUN

---

๐Ÿ”” Follow for real-time updates and trade alerts!

#BinanceAlphaAlert #fun #Funusdt