【Bottom Buying Countdown】LISTA $0.27 Life and Death Line: VPVR Value Anchor + Bollinger Band Bottom Divergence, Short-term 3.6 Times Profit and Loss Ratio Opportunity!

In a nutshell: LISTA is consolidating below the massive POC of 0.308 with a decrease in volume, 70% of the chips are concentrated in the 0.272-0.352 range, the lower Bollinger Band and LVN vacuum zone form a 'spring' structure, ready to bounce upward at any time.

Key Range Structure

• Value Anchor Area: POC 0.308 (61M Transaction), heavy selling pressure above, sparse buying below.

• High Volume Area: 0.280-0.282 (40M), 0.306-0.310 (47-52M), serving as the first and second resistance for a rebound.

• Low Volume Gap: 0.216-0.258 is a continuous LVN; if the price falls below 0.271, it will accelerate towards 0.25.

• 70% Trading Volume Coverage Area: 0.272-0.352; current price 0.277 is at the lower edge, not considered overbought in the short term.

Momentum Verification

• Up/Down ratio near POC is 43:57, sellers slightly dominate; however, Up Volume in the 0.271-0.275 range has risen to 55%, showing initial support.

• Recent 4-hour K-line trading volume is below the average of the previous 20 candles, awaiting confirmation of increased volume.

Auxiliary Judgment

• The 1-hour lower Bollinger Band at 0.271 coincides with the upper edge of LVN; MA200 is pressing above 0.284.

• Contract positions decreased by 2.87% in the last 24 hours, funding rates are still positive but narrowing, signs of short covering.

Market Cycle

The mid-term is still at the end of a bear market oscillation, and the short-term has entered a 'decreasing volume bottoming' phase; if a breakout above 0.308 occurs with increased volume, a stage reversal can be confirmed.

Trading Strategy

Aggressive: Go long when a 15-minute Pin-bar + Up Volume > 60% appears inside the 0.271 LVN.

Conservative: Wait for a 1-hour close above 0.282 HVN before chasing long.

Cautious: Enter again after breaking above 0.308 POC and confirming increased volume (≥1.5× average) on a pullback without breaking below.

Stop Loss: 0.267 (0.5×ATR outside the lower HVN).

Target: 0.306 / 0.330 two levels of HVN.

Profit and Loss Ratio: Aggressive entry (0.277→0.306) risk 0.006, reward 0.029, ≈4.8:1; conservatively calculated at 3.6:1 based on 2×ATR.

Risk Warning

If the 1-hour close falls below 0.267 or Up Volume drops below 40%, the strategy will be invalid; macro black swan events or BTC breaking down will amplify the decline.

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Thanks: "Silicon-based Liquidity" for providing the foundational large model!

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