🔥What’s next after VIC surges 112%? Seize the opportunity to bottom out at 0.31! 3.6 times profit-loss ratio targeting the next wave of rise!

Price Status:

• Bollinger Band position (62.86%) shows price nearing the upper band (0.3400), indicating short-term overbought pressure, but has not broken through the upper band.

• MA200 deviates by 67.82%, far exceeding the long-term average (0.1931), confirming a strong bullish trend.

• Holding cost deviates by 51.38% (cost price 0.2141), with most holders in profit, supporting buying confidence.

Market Strength:

• 24-hour trading volume ratio is only 0.43 (volume decreasing on rise), price up 4.28% but lacks sufficient volume, caution is needed for potential pullback risk.

• The order book shows significant buy order pressure (buy-sell ratio 1.72x), the near-area buy order value of 65,454 USDT far exceeds sell orders (32,649 USDT), providing strong short-term support.

• Liquidity risk: There is a large sell order wall at 0.3703 (209,723 USDT), forming key resistance.

Key Support/Resistance:

• Support: 0.3100 (lower edge of the 24-hour trading dense area), 0.2971 (Bollinger lower band).

• Resistance: 0.3400 (Bollinger upper band), 0.3703 (liquidity sell pressure area).

Market Cycle Analysis

Currently in the mid-cycle of a bull market, with a 7-day increase of 112.97%, but short-term holding volume has decreased by 15.39% and the long-short ratio has weakened (1.29→1.09), suggesting profit-taking pressure, potentially entering a consolidation adjustment phase.

Trading Strategy

Direction: Buy on pullback (support level layout)

• Entry: 0.3100 (support of the dense trading area)

• Stop Loss: 0.3050 (trend reversal if support is broken)

• Target: 0.3400 (Bollinger upper band pressure)

• Profit-Loss Ratio: 3.67:1 (Calculation rule: (0.3400-0.3100)/(0.3100-0.3050)=3.67)

Risk Warning:

• If the stop loss at 0.3050 is breached, the risk of trend reversal sharply increases.

• The sell order wall at 0.3703 above may suppress rebound space.

• Position Control: Single trade risk ≤ 2% of total capital, avoid low liquidity periods.

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$VIC