1. Summary

Short-term bullish but overheated: a network upgrade and listing-driven flows produced a strong volume spike; favor disciplined probes on retest.

• Price ~$0.010–$0.011; volatility and volume surged.

• Catalysts: network upgrade + exchange momentum and concentrated buying.

• watch retest zones; avoid chasing.

2. Market Overview

Retail + whale inflows drove a rapid rally; liquidity expanded during the move but distribution risk is elevated.

3. Technical Analysis

Bias: bullish (short-term) but overbought. Key levels — support ~$0.0098–$0.0100, deeper ~$0.0080–$0.0074; RSI and momentum warn of pullback risk.

4. Fundamental Analysis

Marlin (POND) utility includes staking/validator roles; recent upgrades/listings increased demand. Monitor vesting/unlock schedules (significant unlocked supply and linear vesting) as a supply-side risk.

5. Sentiment Analysis

Net sentiment: speculative and FOMO-driven; watch exchange flows and whale activity for early distribution signals.

6. Strategy

  • Entry (probe): on retest $0.0098–$0.0100 or on sustained momentum above $0.0115–$0.0120.

  • Stop-loss: below $0.0088.

  • TP1: $0.0125–$0.0135 . TP2: $0.014–$0.016

  • Reduce exposure quickly if price closes under retest zone or if on-chain/exchange metrics show net selling post-unlock.