[A Sudden Surprise After PROVE's Surging Rise? 1.18→1.92 "Vacuum Zone" Hunting Plan]
Quick Overview:
PROVE surged from 0.3 to 1.18 within 24 hours, but trading volume remained concentrated below 0.92. A 36M LVN "vacuum corridor" appeared above 1.63→1.92. Short-term funds are building a platform between 1.15 and 1.20, awaiting a "second ignition" or a "waterfall pullback."
Key Range Structure
• Value Anchor Point of Interest (POC): 0.918 (182M traded, UpVol 80%) - Bullish Base Camp.
• High Volume Buffer (HVN): 0.762-0.918, a five-day overlapping zone. Pullbacks signal buying.
• Low Volume Gap LVN: 1.63-1.92 (36M → 0 trades) – Breakout of the Corridor, Targeting the 2.0 Liquidity Wall.
• 70% Trading Range: 0.29-1.46. The current price of 1.18 is at the upper 63% level, slightly overbought but not extreme.
Momentum Verification
• 1.15-1.20 UpVol accounts for 68%, indicating continued buying; however, the 15M contract has a net outflow of -10K, indicating the emergence of short-term selling pressure.
• 8-hour OI fell 2.6%, with a long bearish candlestick pattern and high volume. Major investors have partially locked in profits above 1.2.
Auxiliary Indicators
• Price > MA200 10%, Bollinger Band 63%, indicating an intact bullish channel; RSI 64, indicating no divergence.
• Market: Far sell wall at 2.0/4.0/5.88, totaling 90M USDT. A breakout requires sustained 3x average volume.
Market Cycle
In the "high-level consolidation after a pull-up" phase. If HVN falls below 1.05, it will turn into a volatile phase; if it breaks through 1.25, it will enter a vacuum acceleration phase.
Trading Strategy
① Aggressive Buy: Enter on a pullback to 1.148-1.152 (LVN upper edge) when PinBar + UpVol > 60%. Stop loss at 1.128 (below HVN), target 1.63 / 1.92, P/L ratio 3.2.
② Conservative Pullback: Wait for a retracement to POC 0.92-0.94 (HVN core), enter on a breakout with increased volume, stop loss at 0.89, target 1.18 / 1.35, P/L ratio 2.8.
③ Counter-trend short selling: If a long upper shadow with large volume appears between 1.25 and 1.26, and DownVol > 55%, try shorting. Stop loss 1.275, target 1.18, and profit/loss ratio 2.4.
Risk control: If any strategy falls below 1.05 or experiences a large bearish trend > 5% in the 1-hour closing, exit the market.
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Thanks to "Silicon Flow" for providing the large base model!
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