📍#Bonk Technical Analysis (2025/07/09 Evening)

BONK entered a consolidation after a spike at a high level, the overall bullish trend remains unchanged, waiting for a pullback layout or breakthrough for continuation on the intraday level.

---

#BONK 【1h】

Trend: Consolidation

Analysis: 1 hour oscillating narrowly below VWAP (0.00002162) and near BB middle band (0.00002124), moving averages tangled, waiting for a breakthrough at 0.00002256 or confirmation of support at 0.00001995.

🔹 Long Position Information:

🛑 Stop Loss: 0.00001995

🟢 Add Long: 0.00002162 (VWAP, not touched), 0.00002153 (EMA9, not touched)

🚀 Breakthrough to Add Long: 0.00002256

🎯 Take Profit: 0.00002393, 0.00002576, 0.00002800

🔻 Short Position Information:

🛑 Stop Loss: 0.00002256

🟢 Add Short: 0.00002153 (EMA9, not touched), 0.00002162 (VWAP, not touched)

🚨 Breakthrough to Add Short: 0.00001995

🎯 Take Profit: 0.00001890, 0.00001678

---

#Bonk 【4h】

Trend: Moderate Bullish

Analysis: 4 hours consolidating with support at EMA21 (0.00002135) and VWAP (0.00002129), pressure at EMA9 (0.00002178) waiting for breakthrough, bullish continuation expected.

🔹 Long Position Information:

🛑 Stop Loss: 0.00002135

🟢 Add Long: 0.00002178 (EMA9, not touched), 0.00002129 (VWAP, not touched)

🚀 Breakthrough to Add Long: 0.00002545

🎯 Take Profit: 0.00002930, 0.00003526, 0.00004000

---

【12h】

Trend: Moderate Bullish

Analysis: 12 hours broke through EMA200 (0.00001902) and regained EMA21 (0.00002111), currently consolidating at BB middle band (0.00002132), further bullish continuation expected above EMA9 (0.00002182).

🔹 Long Position Information:

🛑 Stop Loss: 0.00002111

🟢 Add Long: 0.00002132 (BB middle band, not touched), 0.00002111 (EMA21, not touched)

🚀 Breakthrough to Add Long: 0.00002182

🎯 Take Profit: 0.00002400, 0.00002600, 0.00002800

---

【Strategy Summary】

Operational Suggestions:

1. Wait for a breakthrough at 0.00002256 to go long on the 1H chart, SL 0.00001995, TP 0.00002393/0.00002576.

2. Add positions on the 4H chart on pullbacks at 0.00002135–0.00002129, SL 0.00002135, TP 0.00002930/0.00003526.

3. Set up medium to long-term long positions in the 12H range of 0.00002132–0.00002111, SL 0.00002111, target 0.00002600/0.00002800.

4. If key support is lost at each level, pause long positions and observe for consolidation or reversal opportunities.

5. Strictly enforce risk control, with single trades not exceeding 2% of capital.