#AltcoinBreakout 【FOMO Alert】1000FLOKI 48H Surge 48%, are you still watching?

Summary: The price is close to the upper Bollinger band and has exceeded the MA200 by 23%, but long positions in contracts continue to decrease, and the funding rate is only 0.01%. If it bounces back to 0.133-0.134, it may be a good opportunity to go long, but if it breaks below 0.128, it will confirm a long trap, so be sure to set a stop loss.

Key Interval Structure

• Value Anchor Zone (POC): 0.1336, maximum trading volume in 2 weeks, intense long and short turnover, viewed as a dividing line between strength and weakness.

• High Volume Node (HVN): 0.129-0.139 continuous five levels, forming an “aerial platform,” where price is likely to fluctuate.

• Low Volume Node (LVN): 0.0693-0.0707, a vacuum below; if it breaks down below 0.128 with high volume, it will quickly test this area.

• 70% Volume Coverage Zone: 0.0783-0.1435, current price is at the upper edge, short-term overbought.

Momentum Verification

Up Volume above POC is 52%, balanced between long and short; HVN 0.133-0.139 Up Volume is 55%, with buying slightly favored; LVN has almost no transactions, and once it breaks down, it will accelerate.

Auxiliary Judgement

• Bollinger Bands: Current price 0.141 is at the upper band, position 90.7%, short-term limit.

• MA200: 0.114, deviation +23%, mid-term bullish trend but short-term divergence is too large.

• Positions: 24h OI +4.8%, but long-short ratio dropped from 2.35 to 2.19, indicating long positions are decreasing, and volume-price divergence.

Market Cycle

Mid-term is still in the upward channel initiated from 0.066, short-term entering the acceleration phase at the end, with a need for a pullback at any time.

Trading Strategy

Aggressive: Current price 0.140-0.141 directly chase long, stop loss at 0.1385 (0.5ATR outside HVN ≈ 0.0015), target 0.145/0.148, risk-reward ratio ≈ 2.8.

Conservative: Wait for a pullback to 0.1336-0.1340 (POC) + appearance of Up Volume > 60% to re-enter, stop loss at 0.1320, target 0.138/0.142, risk-reward ratio ≈ 2.5.

Cautious: Go short if it breaks below 0.128, stop loss at 0.130, target 0.120, risk-reward ratio ≈ 2.1.

Risk Warning

• If the 1h closing price falls below 0.128, the bullish structure is damaged, stop loss immediately.

• The funding rate is extremely low; if it suddenly increases significantly, long positions need to be wary of being squeezed.

• Position reduction is still ongoing; if the position volume decreases by another 5% or more, upward momentum will exhaust.

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