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mtjad
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anymose
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Gm, congratulations to my fans for surpassing 7000, so happy!
Continuing to send out tens of U in red envelopes 🧧🧧 to celebrate!
I'll send out bigger ones when we reach 10000!
#bnb
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HUMA — Large Unlock Incoming: Flows To Watch 1. Summary $HUMA trades near $0.0281 on the 1H chart, in a clear downtrend; short-term bias is neutral-to-bearish until volume confirms a reversal. • Note: a large token unlock is scheduled (~26 Aug 2025), a significant dilution risk. 2. Combined Analysis Technical: price sits below MA25/MA99 on 1H, recent support $0.02745; RSI ~39 indicates weak momentum. A decisive 1H close above $0.0308–$0.0310 with strong volume would shift bias bullish. Fundamentals/Sentiment: HUMA enjoyed listings and launchpool exposure around listing, circulating supply ≈ 1.73B (max 10B); vesting/unlock calendar shows a large release approaching — this is a material sell-pressure vector. 3. Strategy Entry: • Scenario A (Breakout): enter on 1H close > $0.0310 with volume follow-through. • Scenario B (Pullback): buy $0.0276–$0.0280 on wick rejection + 1H bullish reversal; add if price holds $0.02745. Stop-loss (mandatory): $0.0268 (below recent low). Take-profit: TP1 $0.0308 (first resistance / MA99), TP2 $0.0327–$0.0361 (scale-out if momentum continues). Reduce targets if breakout occurs without sustaining volume. Exit triggers: confirmed unlock event, sudden large CEX inflows/whale transfers, or RSI >80 with fading volume → exit quickly
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#HumaFinance HUMA — Large Unlock Incoming: Flows To Watch 1. Summary $HUMA trades near $0.0281 on the 1H chart, in a clear downtrend; short-term bias is neutral-to-bearish until volume confirms a reversal. • Note: a large token unlock is scheduled (~26 Aug 2025), a significant dilution risk. 2. Combined Analysis Technical: price sits below MA25/MA99 on 1H, recent support $0.02745; RSI ~39 indicates weak momentum. A decisive 1H close above $0.0308–$0.0310 with strong volume would shift bias bullish. Fundamentals/Sentiment: HUMA enjoyed listings and launchpool exposure around listing, circulating supply ≈ 1.73B (max 10B); vesting/unlock calendar shows a large release approaching — this is a material sell-pressure vector. 3. Strategy Entry: • Scenario A (Breakout): enter on 1H close > $0.0310 with volume follow-through. • Scenario B (Pullback): buy $0.0276–$0.0280 on wick rejection + 1H bullish reversal; add if price holds $0.02745. Stop-loss (mandatory): $0.0268 (below recent low). Take-profit: TP1 $0.0308 (first resistance / MA99), TP2 $0.0327–$0.0361 (scale-out if momentum continues). Reduce targets if breakout occurs without sustaining volume. Exit triggers: confirmed unlock event, sudden large CEX inflows/whale transfers, or RSI >80 with fading volume → exit quickly
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哥,没奖励
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