📍#SUI Technical Analysis (2025/06/27)

SUI has been continuously declining recently, breaking below multiple moving averages and key Pivot support levels. The short-term outlook is bearish, but it is still fluctuating within a range on the hourly chart, requiring patience to wait for confirmation.

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【Period】1D

Trend: The daily chart continues to decline, located below EMA9/21 and EMA200, as well as the Pivot midline, suggesting a bearish stance.

🔻 Short Position Information:

🛑 Stop Loss: 3.2540 (Pivot midline, can go long if broken)

🟢 Add Short: 3.0228 (EMA200, not triggered), 2.8952 (EMA21, not triggered)

🚨 Breakout Short: 2.7662 (Daily S1)

🎯 Take Profit: 2.7662, 2.2686, 1.5203

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【Period】4h

Trend: 4h is bearish, price has broken below EMA9/21, with ADX > 20 and accompanied by a DMI death cross.

🔻 Short Position Information:

🛑 Stop Loss: 2.9744 (Daily R1, can go long if broken)

🟢 Add Short: 2.6888 (EMA21, not triggered), 2.6677 (EMA9, not triggered)

🚨 Breakout Short: 2.6264 (Pivot midline)

🎯 Take Profit: 2.1092, 1.7688, 1.2440

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【Period】1h

Trend: Narrow range consolidation, insufficient momentum, waiting for direction.

🔹 Long Position Information:

🛑 Stop Loss: 2.6240 (below VWAP)

🟢 Add Long: 2.6340 (Pivot midline, not triggered)

🚀 Breakout Long: 2.6888 (EMA21)

🎯 Take Profit: 2.7662, 2.8952, 3.0228

🔻 Short Position Information:

🛑 Stop Loss: 2.6888 (EMA21, can go long if broken)

🟢 Add Short: 2.6677 (EMA9, not triggered)

🚨 Breakout Short: 2.6340 (Pivot midline)

🎯 Take Profit: 2.6240, 2.1092, 1.7688

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【Strategy Summary】

Operation Suggestions:

• The daily chart is bearish, it is recommended to short in batches at the EMA21–EMA200 retracement zone (2.8952–3.0228), with a stop loss at 3.2540.

• The 4h trend is bearish; a rebound to EMA21 (2.6888) and EMA9 (2.6677) can be the first batch for adding shorts, and add more if it breaks below 2.6264.

• The 1h chart maintains a range-bound approach; one can long or short in batches at VWAP (2.6240) and the Pivot midline (2.6340), and follow up with additional positions after a breakout.

• Strictly enforce risk control, pay attention to trading volume and macro news, and dynamically adjust positions.