$ENA Analysis and setup for short and long term, as requested by Andrew Tyson. If you want any token to be analysed then let me know in the comments.
Short-term: Bullish 62%
Long-term: Bullish 78%
Short-term (intraday / 1–72h)
Buy zones — Safe: 0.74–0.75 (near EMA99/short consolidation) · Moderate: 0.70–0.72 · Risky: 0.62–0.65
Sell (take-profit) zones — Safe: 0.82–0.86 (recent swing high) · Moderate: 0.95–1.05 · Risky: 1.20+
Stop-loss — Tight: ~3% below entry (e.g. buy 0.75 → SL 0.73) · Flexible: ~8–12% below (gives room for noise)
Long-term (weeks→months)
Buy zones — Safe: accumulate on dips 0.60–0.70 · Moderate: 0.45–0.55 · Risky (deep accumulation): 0.30–0.40
Sell targets — Safe: 0.95–1.20 · Moderate: 1.50–2.00 · Aggressive: >2.50
Stop-loss — tight for swing: 5–8%, portfolio-level flexible 15–25% depending on position size.
If you want the why, continue reading ⤵
Quick rationale (short): hourly EMAs are bunched and price is hovering around the short EMAs — recent wick up to 0.855 then pullback to ~0.78. MACD near neutral to mildly bearish on very short frames but turning; RSI on 1H ~50–55 (neutral). That implies a cautious bullish bias — good to wait for a clean pullback to the safe buy zone or a breakout above 0.86 with volume.
Quick rationale (long): Daily chart shows a clear uptrend from lows ~0.22 to the 0.85 area — higher EMAs and rising volume during the run. Long-term momentum remains bullish; downside risk is a larger retrace to longer EMAs (0.45–0.60 range) where accumulation is safer.
Risk note: these are not financial advice. Size positions by risk tolerance, protect with stops, and avoid large leverage. Want a tailored entry with exact SL and position sizing for your account? Tell me risk % and capital.
DYOR and Inshaallah we will keep making great profits.