【FOMO Alert】AAVE Breaks 330! Has the Main Force Set a "Short Trap"? Short-Term Long and Short Kill Script Exposed🔥
Quick Overview: AAVE surged 3.5% in the short term, with prices closely touching the upper Bollinger Band and RSI > 80, high-leverage bulls have taken the lead; if it retraces to POC 324.5 without breaking, it can be a short long, if it breaks below 322 then reverse to short, stop loss ±2.5%, risk-reward ratio 1.8:1. Beware of long upper shadows at high positions or volume shrinkage indicating a top.
Key Ranges and Volume Structure:
1. Value Anchoring Zone (POC): 324.5, maximum transaction in 2 weeks, Up/Down ≈ 51:49, current price only +0.6%, neutral balance.
2. HVN Buffer Zone: 322-327 with continuous high transactions, support/pressure coexist; if it breaks below 322, the next HVN is at 314.5.
3. LVN Gap: 335-338 with thin transactions, an upward breakout will quickly rush to 345; if the lower LVN 291-293 breaks down with volume, it will retrace to 285.
4. 70% Volume Coverage: 273-332, the current price is at the upper edge, short-term overbought.
Momentum Verification:
• 335-338 LVN Up Volume only 48%, sellers are active; 314-327 Up Volume 55-60%, buyers dominate.
• 1h contract positions have decreased for 4 consecutive K-lines (-1.13%/24h), short covering pushes the price up, if positions decrease again, the upward trend will slow.
Bollinger Bands + MA:
• Price is close to the upper Bollinger Band at 329, MA200 at 317.7, deviation 2.3%, short-term overbought.
• The upper band 329 and the sell wall at 345/359 form a selling pressure gradient.
Trading Strategies:
1. Aggressive Short Long: Enter when it retraces to 324.5 ± 0.5 (POC) and 1h Up Volume > 55%, stop loss 322 (-0.8% ATR), target 329-330, risk-reward ratio 1.8:1.
2. Conservative Short: If it breaks below 322 with volume (Down Volume > 60%) pursue short, stop loss 324.8, target 314.5, risk-reward ratio 2.1:1.
3. Breakout Long: If it breaks out with volume above 335 (LVN) and Up Volume > 65%, retrace to 333-334 to go long, stop loss 331, target 345, risk-reward ratio 2.5:1.
Risk Warning: RSI > 80 + decreasing positions may lead to a long squeeze; the sell wall at 345/359 exceeds one million USDT, short-term rallies are easily crushed; macro-wise, if US stocks correct, the DeFi sector is most affected. Single position ≤ 1%, avoid the hour before and after US stock market open.
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