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HaniaKhan4488
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HaniaKhan4488

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The quiet accumulation before the dump is almost complete. $DODOX /USDT - SHORT Trade Plan: Entry: 0.0174906 – 0.0176194 SL: 0.0191716 TP1: 0.0163426 TP2: 0.0155343 TP3: 0.0143218 Why this setup? $DODOX is armed for a short with 83% confidence. The 4h trend is bearish, and the 15m RSI at 43.64 shows momentum still favors sellers. Entry around 0.0175550 with targets as low as 0.0143218—why wait for confirmation when the setup is already live? Debate: Do you see a fakeout to 0.019 before the drop, or is this a straight flush to TP1? Click here to Trade 👇️ {future}(DODOXUSDT)
The quiet accumulation before the dump is almost complete.
$DODOX /USDT - SHORT
Trade Plan:
Entry: 0.0174906 – 0.0176194
SL: 0.0191716
TP1: 0.0163426
TP2: 0.0155343
TP3: 0.0143218
Why this setup?
$DODOX is armed for a short with 83% confidence. The 4h trend is bearish, and the 15m RSI at 43.64 shows momentum still favors sellers. Entry around 0.0175550 with targets as low as 0.0143218—why wait for confirmation when the setup is already live?
Debate:
Do you see a fakeout to 0.019 before the drop, or is this a straight flush to TP1?
Click here to Trade 👇️
Everyone is chasing the WLD bounce late. I prefer the cleaner invalidation. $WLD Short 75x | Supply zone active Position is live. The plan below shows what I’m willing to risk. Trade Plan: - Entry: 0.33530 – 0.33630 - TP1: 0.33190 (R:R 1:0.7) - TP2: 0.32920 (R:R 1:1.2) - TP3: 0.32530 (R:R 1:2.0) - SL: 0.34110 Why this setup? - The 4h short setup still holds, and the broader daily context remains bearish as price reacts from 0.33530–0.33630 around 0.33580. - 15m RSI sits at 44, which keeps room for sellers to keep pressing lower. - 15m volume is running at 1.86x, with 1.60M traded against 859.83K expected, confirming real sell-side participation. My call. Your execution. Trade here 👇 and Comment your bullish or bearish bias here and I’ll respond. {spot}(WLDUSDT)
Everyone is chasing the WLD bounce late. I prefer the cleaner invalidation.
$WLD Short 75x | Supply zone active
Position is live. The plan below shows what I’m willing to risk.
Trade Plan:
- Entry: 0.33530 – 0.33630
- TP1: 0.33190 (R:R 1:0.7)
- TP2: 0.32920 (R:R 1:1.2)
- TP3: 0.32530 (R:R 1:2.0)
- SL: 0.34110
Why this setup?
- The 4h short setup still holds, and the broader daily context remains bearish as price reacts from 0.33530–0.33630 around 0.33580.
- 15m RSI sits at 44, which keeps room for sellers to keep pressing lower.
- 15m volume is running at 1.86x, with 1.60M traded against 859.83K expected, confirming real sell-side participation.
My call. Your execution.
Trade here 👇 and Comment your bullish or bearish bias here and I’ll respond.
Everyone’s sleeping on ZEC while it quietly prints a 77% confidence long signal. $ZEC /USDT - LONG Trade Plan: Entry: 491.43 – 492.51 SL: 481.84 TP1: 499.57 TP2: 504.63 TP3: 512.23 Why this setup? • 4h structure is armed with a bullish daily trend and RSI at 65 — not overbought, just warming up. • Entry at 491.97 with tight ATR of 4.22 means low risk for a potential 20+ point run to TP3 at 512.23. • The edge score of 6.8 screams momentum is on our side right now. Debate: Are you loading the bag at 491 or waiting for a retest of the low? Click here to Trade 👇️ {spot}(ZECUSDT)
Everyone’s sleeping on ZEC while it quietly prints a 77% confidence long signal.
$ZEC /USDT - LONG
Trade Plan:
Entry: 491.43 – 492.51
SL: 481.84
TP1: 499.57
TP2: 504.63
TP3: 512.23
Why this setup?
• 4h structure is armed with a bullish daily trend and RSI at 65 — not overbought, just warming up.
• Entry at 491.97 with tight ATR of 4.22 means low risk for a potential 20+ point run to TP3 at 512.23.
• The edge score of 6.8 screams momentum is on our side right now.
Debate:
Are you loading the bag at 491 or waiting for a retest of the low?
Click here to Trade 👇️
Long trade for $BILL . Entry zone: 0.026 - 0.02667 Targets: 0.02777 / 0.02892 Stop: 0.02496 Oversold conditions at daily support suggest a mean-reversion bounce; catching the knife with a tight stop. Be careful: Strong macro downtrend could lead to a breakdown below the 0.02635 support. Never all-in, fam. Use a size that fits your own account. $SOL $B2 This looks ready. 👇👇👇 {future}(BILLUSDT) {spot}(SOLUSDT)
Long trade for $BILL .
Entry zone: 0.026 - 0.02667
Targets: 0.02777 / 0.02892
Stop: 0.02496
Oversold conditions at daily support suggest a mean-reversion bounce; catching the knife with a tight stop.
Be careful: Strong macro downtrend could lead to a breakdown below the 0.02635 support.
Never all-in, fam. Use a size that fits your own account.
$SOL $B2
This looks ready. 👇👇👇

Everyone is piling into ANTHROPIC late. I prefer to let the zone filter the noise. $ANTHROPIC Long 20x | Upside setup active I'm already in this trade. The key level is locked in the plan. Trade Plan: - Entry: 1558.85700 – 1562.24860 - TP1: 1572.76290 (R:R 1:0.8) - TP2: 1580.90290 (R:R 1:1.2) - TP3: 1593.11300 (R:R 1:2.0) - SL: 1544.27270 Why this setup? - The 4h chart still supports the long thesis, while the daily stays range-bound with price reacting from 1558.85700–1562.24860 near 1560.55280. - 15m RSI sits at 54, showing neutral momentum that leaves room for upside continuation. - 15m volume is 2.01x, with 17.01000 traded versus 8.45000 expected, confirming real buy-side participation. My call. Your execution. Trade here 👇 and Are you leaning bullish or bearish here? Drop your bias and I'll reply. {future}(ANTHROPICUSDT)
Everyone is piling into ANTHROPIC late. I prefer to let the zone filter the noise.
$ANTHROPIC Long 20x | Upside setup active
I'm already in this trade. The key level is locked in the plan.
Trade Plan:
- Entry: 1558.85700 – 1562.24860
- TP1: 1572.76290 (R:R 1:0.8)
- TP2: 1580.90290 (R:R 1:1.2)
- TP3: 1593.11300 (R:R 1:2.0)
- SL: 1544.27270
Why this setup?
- The 4h chart still supports the long thesis, while the daily stays range-bound with price reacting from 1558.85700–1562.24860 near 1560.55280.
- 15m RSI sits at 54, showing neutral momentum that leaves room for upside continuation.
- 15m volume is 2.01x, with 17.01000 traded versus 8.45000 expected, confirming real buy-side participation.
My call. Your execution.
Trade here 👇 and Are you leaning bullish or bearish here? Drop your bias and I'll reply.
Everyone’s watching $JCT /USDT—but the real signal is hiding in a 4h EMA crossover most ignore. $JCT - LONG Trade Plan: Entry: 0.0043667 – 0.0043953 SL: 0.0041240 TP1: 0.0045738 TP2: 0.0047023 TP3: 0.0048950 Why this setup? • Trend 1D is bullish, and 4h momentum confirms with an 83% confidence score. • RSI (15m) at 58.08—room to run before overbought. • Entry zone at 0.0043810 with TP1 at 0.0045738 (+4.4%) and TP2 at 0.0047023. • Why now? ATR volatility is tight (0.000107 on 1h), suggesting a breakout squeeze is loading. Debate: Are we hitting TP2 or getting trapped before the weekly close? Click here to Trade 👇️ {future}(JCTUSDT)
Everyone’s watching $JCT /USDT—but the real signal is hiding in a 4h EMA crossover most ignore.
$JCT - LONG
Trade Plan:
Entry: 0.0043667 – 0.0043953
SL: 0.0041240
TP1: 0.0045738
TP2: 0.0047023
TP3: 0.0048950
Why this setup?
• Trend 1D is bullish, and 4h momentum confirms with an 83% confidence score.
• RSI (15m) at 58.08—room to run before overbought.
• Entry zone at 0.0043810 with TP1 at 0.0045738 (+4.4%) and TP2 at 0.0047023.
• Why now? ATR volatility is tight (0.000107 on 1h), suggesting a breakout squeeze is loading.
Debate:
Are we hitting TP2 or getting trapped before the weekly close?
Click here to Trade 👇️
Funding is deep negative and shorts are getting squeezed; riding the bounce until the next resistance. Buying the dip on $DEXE . Entry: 1.87 - 1.918 TP1: 2.10 TP2: 2.26 SL: 1.758 Be careful: Macro downtrend remains dominant; risk of sudden rejection at 1h resistance. Never all-in, fam. Use a size that fits your own account. $RE $MU Send it. 👇👇👇 {spot}(DEXEUSDT) {spot}(REUSDT)
Funding is deep negative and shorts are getting squeezed; riding the bounce until the next resistance.
Buying the dip on $DEXE .
Entry: 1.87 - 1.918
TP1: 2.10
TP2: 2.26
SL: 1.758
Be careful: Macro downtrend remains dominant; risk of sudden rejection at 1h resistance.
Never all-in, fam. Use a size that fits your own account.
$RE $MU
Send it. 👇👇👇
Bullish on $ERA . Setup: Entry 0.103 - 0.1056 Targets 0.1125, 0.1191 Stop 0.09785 ERA holding support like a champ; negative funding suggests a squeeze is brewing. Send it. Be careful: Falling OI and negative CVD indicate weak buyer conviction; potential for further chop. Never all-in, fam. Use a size that fits your own account. $BANK $SKHYNIX Buy pressure below. 👇👇👇 {spot}(ERAUSDT) {spot}(BANKUSDT)
Bullish on $ERA .
Setup:
Entry 0.103 - 0.1056
Targets 0.1125, 0.1191
Stop 0.09785
ERA holding support like a champ; negative funding suggests a squeeze is brewing. Send it.
Be careful: Falling OI and negative CVD indicate weak buyer conviction; potential for further chop.
Never all-in, fam. Use a size that fits your own account.
$BANK $SKHYNIX
Buy pressure below. 👇👇👇

AKE is holding the trendline like a champ; bulls are ready to push for new highs. Quick long $AKE . Position plan: Entry 0.001808 - 0.001854 TP 0.001940 / 0.002027 SL 0.0017538 Be careful: Failure to hold 0.001810 support would invalidate the immediate bullish thesis. Never all-in, fam. Use a size that fits your own account. $RIF $CL Looking for the push. 👇👇👇 {future}(AKEUSDT) {spot}(RIFUSDT)
AKE is holding the trendline like a champ; bulls are ready to push for new highs.
Quick long $AKE .
Position plan:
Entry 0.001808 - 0.001854
TP 0.001940 / 0.002027
SL 0.0017538
Be careful: Failure to hold 0.001810 support would invalidate the immediate bullish thesis.
Never all-in, fam. Use a size that fits your own account.
$RIF $CL
Looking for the push. 👇👇👇
Everyone is chasing the obvious breakout. I’m watching SLX for a different kind of move. $SLX Long 25x | Demand zone active I’m already in this one. The logic below is what makes it worth holding. Trade Plan: - Entry: 0.11307 – 0.11390 - TP1: 0.11648 (R:R 1:0.8) - TP2: 0.11847 (R:R 1:1.3) - TP3: 0.12147 (R:R 1:2.0) - SL: 0.10950 Why this setup? - The 4h structure still supports the long, while the daily stays range-bound and price is reacting from 0.11307–0.11390 near 0.11349. - The 15m RSI is printing 72, showing momentum is building—follow-through is the real test. - Volume on the 15m is 1.32x, with 1.92M traded versus 1.46M expected, confirming real buy-side pressure. My call. Your execution. Trade here 👇 and Which coin should I put under the microscope next—comment it below. {future}(SLXUSDT)
Everyone is chasing the obvious breakout. I’m watching SLX for a different kind of move.
$SLX Long 25x | Demand zone active
I’m already in this one. The logic below is what makes it worth holding.
Trade Plan:
- Entry: 0.11307 – 0.11390
- TP1: 0.11648 (R:R 1:0.8)
- TP2: 0.11847 (R:R 1:1.3)
- TP3: 0.12147 (R:R 1:2.0)
- SL: 0.10950
Why this setup?
- The 4h structure still supports the long, while the daily stays range-bound and price is reacting from 0.11307–0.11390 near 0.11349.
- The 15m RSI is printing 72, showing momentum is building—follow-through is the real test.
- Volume on the 15m is 1.32x, with 1.92M traded versus 1.46M expected, confirming real buy-side pressure.
My call. Your execution.
Trade here 👇 and Which coin should I put under the microscope next—comment it below.
Everyone waits for confirmation before shorting BTC. I’m watching the level that breaks before the proof shows up. $BTC Short 150x | Fade setup active This isn’t a theory—I’m already in, and the plan below is the exact map I’m following. Trade Plan: - Entry: 66281.94812 – 66344.76131 - TP1: 66087.22725 (R:R 1:0.7) - TP2: 65936.47561 (R:R 1:1.2) - TP3: 65710.34815 (R:R 1:2.0) - SL: 66614.85800 Why this setup? - The 4h short structure remains intact, while the daily range holds and price keeps rejecting from 66281.94812–66344.76131 near 66313.35472. - 15m RSI sits at 48, showing neutral momentum that still allows room for downside continuation. - 15m volume prints 0.20x, with 85.53000 traded versus 437.79000 expected, confirming real sell-side participation. My call. Your execution. Trade here 👇 and Are you leaning bullish or bearish here? Drop your bias and I’ll reply. {spot}(BTCUSDT)
Everyone waits for confirmation before shorting BTC. I’m watching the level that breaks before the proof shows up.
$BTC Short 150x | Fade setup active
This isn’t a theory—I’m already in, and the plan below is the exact map I’m following.
Trade Plan:
- Entry: 66281.94812 – 66344.76131
- TP1: 66087.22725 (R:R 1:0.7)
- TP2: 65936.47561 (R:R 1:1.2)
- TP3: 65710.34815 (R:R 1:2.0)
- SL: 66614.85800
Why this setup?
- The 4h short structure remains intact, while the daily range holds and price keeps rejecting from 66281.94812–66344.76131 near 66313.35472.
- 15m RSI sits at 48, showing neutral momentum that still allows room for downside continuation.
- 15m volume prints 0.20x, with 85.53000 traded versus 437.79000 expected, confirming real sell-side participation.
My call. Your execution.
Trade here 👇 and Are you leaning bullish or bearish here? Drop your bias and I’ll reply.
🔥 $NIGHT is approaching a major decision zone after a powerful recovery from the recent liquidation dump. I’m watching $NIGHT closely because price crashed as low as $0.01511 before buyers stepped in aggressively and pushed it back toward $0.02367. The recovery is strong, but price is now approaching the MA(25) around $0.02464, which could act as immediate resistance. I’ll look for confirmation before expecting another major leg higher. Trade Setup 📈 Entry: $0.0225 – $0.0237 Stop Loss: $0.0208 Targets: 🎯 T1: $0.0247 🎯 T2: $0.0265 🎯 T3: $0.0282 {spot}(NIGHTUSDT)
🔥 $NIGHT is approaching a major decision zone after a powerful recovery from the recent liquidation dump.
I’m watching $NIGHT closely because price crashed as low as $0.01511 before buyers stepped in aggressively and pushed it back toward $0.02367. The recovery is strong, but price is now approaching the MA(25) around $0.02464, which could act as immediate resistance. I’ll look for confirmation before expecting another major leg higher.
Trade Setup 📈
Entry: $0.0225 – $0.0237
Stop Loss: $0.0208
Targets:
🎯 T1: $0.0247
🎯 T2: $0.0265
🎯 T3: $0.0282
Everyone is calling for a $ZEC /USDT breakout—but the real money is made when the crowd is wrong. $ZEC - LONG Trade Plan: Entry: 521.00 – 522.62 SL: 502.03 TP1: 536.65 TP2: 546.54 TP3: 561.37 Why this setup? Why now? The 4h EMA setup shows a clear bullish bias with 86% confidence, and the 1D trend is already bullish. RSI on the 15m is oversold at 28.95, signaling a potential bounce from the entry zone near 521.81. With TP1 at 536.65 and ATR supporting a strong move, the risk-reward favors the long side before the next leg up. Debate: Are you buying the dip or waiting for a retest of 529.74 to confirm? Click here to Trade 👇️ {spot}(ZECUSDT)
Everyone is calling for a $ZEC /USDT breakout—but the real money is made when the crowd is wrong.
$ZEC - LONG
Trade Plan:
Entry: 521.00 – 522.62
SL: 502.03
TP1: 536.65
TP2: 546.54
TP3: 561.37
Why this setup?
Why now? The 4h EMA setup shows a clear bullish bias with 86% confidence, and the 1D trend is already bullish. RSI on the 15m is oversold at 28.95, signaling a potential bounce from the entry zone near 521.81. With TP1 at 536.65 and ATR supporting a strong move, the risk-reward favors the long side before the next leg up.
Debate:
Are you buying the dip or waiting for a retest of 529.74 to confirm?
Click here to Trade 👇️
That 4H bounce on $ESPORTS /USDT is the trap most retail traders fall for. $ESPORTS - SHORT Trade Plan: Entry: 0.0224195 – 0.0226805 SL: 0.0274833 TP1: 0.0188500 TP2: 0.0163834 TP3: 0.0126834 Why this setup? RSI on the 15m just hit 67.82—overbought on a bearish daily trend. The 1D trend is clearly down, and the ATR on the 1H is tight at 0.001582, meaning this squeeze is primed to snap. With a SHORT confidence of 86.2 and entry at 0.02255, the risk-to-reward favors the drop to 0.01885 (TP1) before any recovery. Debate: Are you taking the short here or waiting for a false breakout above 0.02268? Click here to Trade 👇️ {future}(ESPORTSUSDT)
That 4H bounce on $ESPORTS /USDT is the trap most retail traders fall for.
$ESPORTS - SHORT
Trade Plan:
Entry: 0.0224195 – 0.0226805
SL: 0.0274833
TP1: 0.0188500
TP2: 0.0163834
TP3: 0.0126834
Why this setup?
RSI on the 15m just hit 67.82—overbought on a bearish daily trend. The 1D trend is clearly down, and the ATR on the 1H is tight at 0.001582, meaning this squeeze is primed to snap. With a SHORT confidence of 86.2 and entry at 0.02255, the risk-to-reward favors the drop to 0.01885 (TP1) before any recovery.
Debate:
Are you taking the short here or waiting for a false breakout above 0.02268?
Click here to Trade 👇️
Parabolic RSI 92 is a death trap; fading this blow-off top for a quick mean reversion scalp. Taking a sell on $ZHIPU . Entry area: 154.86 - 156.72 Profit targets: 143.40 - 133.49 SL: 164.56 Be careful: Strong momentum and negative funding could fuel a further squeeze. Never all-in, fam. Use a size that fits your own account. $HEMI $ERA Ride the downside. 👇👇👇 {future}(ZHIPUUSDT) {spot}(HEMIUSDT)
Parabolic RSI 92 is a death trap; fading this blow-off top for a quick mean reversion scalp.
Taking a sell on $ZHIPU .
Entry area: 154.86 - 156.72
Profit targets: 143.40 - 133.49
SL: 164.56
Be careful: Strong momentum and negative funding could fuel a further squeeze.
Never all-in, fam. Use a size that fits your own account.
$HEMI $ERA
Ride the downside. 👇👇👇
Everyone is waiting for a breakout—HYPE is already positioning for the trap. $HYPE /USDT - LONG Trade Plan: Entry: 62.84720 – 62.95480 SL: 61.66019 TP1: 63.83161 TP2: 64.45201 TP3: 65.38261 Why this setup? RSI 15m at 62 signals early momentum, not exhaustion. 4h ATR of 0.517 implies tight range expansion is imminent. With TP1 at 63.83 and TP2 at 64.45, the risk-to-reward favors longs before most spot the shift. Debate: Is this the calm before the spike or a liquidity grab before a dump? Click here to Trade 👇️ {future}(HYPEUSDT)
Everyone is waiting for a breakout—HYPE is already positioning for the trap.
$HYPE /USDT - LONG
Trade Plan:
Entry: 62.84720 – 62.95480
SL: 61.66019
TP1: 63.83161
TP2: 64.45201
TP3: 65.38261
Why this setup?
RSI 15m at 62 signals early momentum, not exhaustion. 4h ATR of 0.517 implies tight range expansion is imminent. With TP1 at 63.83 and TP2 at 64.45, the risk-to-reward favors longs before most spot the shift.
Debate:
Is this the calm before the spike or a liquidity grab before a dump?
Click here to Trade 👇️
Bullish on $AGT . Entry near: 0.01115 - 0.01144 Target 1: 0.012098 Target 2: 0.012740 SL: 0.010592 Local bounce in progress; riding the 15m momentum to test the 1h MA25 resistance. Be careful: High probability of rejection at the 1h MA25 resistance level. Never all-in, fam. Use a size that fits your own account. $SKHYNIX $SOXL Watching for upside. 👇👇👇 {future}(AGTUSDT) {future}(SKHYNIXUSDT)
Bullish on $AGT .
Entry near: 0.01115 - 0.01144
Target 1: 0.012098
Target 2: 0.012740
SL: 0.010592
Local bounce in progress; riding the 15m momentum to test the 1h MA25 resistance.
Be careful: High probability of rejection at the 1h MA25 resistance level.
Never all-in, fam. Use a size that fits your own account.
$SKHYNIX $SOXL
Watching for upside. 👇👇👇

Everyone is piling on the MAGMA short. That’s exactly when I start watching for the fakeout. $MAGMA Long 20x | Clean invalidation setup I’m already in the trade. The logic below is what separates the trap from the move. Trade Plan: - Entry: 0.30668 – 0.30786 - TP1: 0.31155 (R:R 1:0.8) - TP2: 0.31440 (R:R 1:1.3) - TP3: 0.31867 (R:R 1:2.0) - SL: 0.30157 Why this setup? - The higher timeframe still supports a long—daily price is bouncing inside a range at 0.30668–0.30786 near 0.30727, keeping the structure intact. - On the 15m chart, RSI sits at 41, which leaves room for buyers to push without being overbought. - Volume on 15m is 0.51x the norm, with 15.69K traded versus 31.02K expected—real buying pressure, not noise. My call. Your execution. Trade here 👇 and Are you leaning short with the crowd or waiting for the invalidation to confirm the long? Drop your plan and I’ll share my read. {future}(MAGMAUSDT)
Everyone is piling on the MAGMA short. That’s exactly when I start watching for the fakeout.
$MAGMA Long 20x | Clean invalidation setup
I’m already in the trade. The logic below is what separates the trap from the move.
Trade Plan:
- Entry: 0.30668 – 0.30786
- TP1: 0.31155 (R:R 1:0.8)
- TP2: 0.31440 (R:R 1:1.3)
- TP3: 0.31867 (R:R 1:2.0)
- SL: 0.30157
Why this setup?
- The higher timeframe still supports a long—daily price is bouncing inside a range at 0.30668–0.30786 near 0.30727, keeping the structure intact.
- On the 15m chart, RSI sits at 41, which leaves room for buyers to push without being overbought.
- Volume on 15m is 0.51x the norm, with 15.69K traded versus 31.02K expected—real buying pressure, not noise.
My call. Your execution.
Trade here 👇 and Are you leaning short with the crowd or waiting for the invalidation to confirm the long? Drop your plan and I’ll share my read.
$ZEST sudden spike and sudden drop of small coins. If there’s no trading volume, you can do a short swing trade one lot at a time. Take profit after a 20-point drop from the previous high. Welcome aboard! {future}(ZESTUSDT)
$ZEST sudden spike and sudden drop of small coins. If there’s no trading volume, you can do a short swing trade one lot at a time. Take profit after a 20-point drop from the previous high. Welcome aboard!
Long zone on $ACE . Plan: Entry 0.1025 - 0.1051 TP 0.11627 / 0.12625 SL 0.09440 Funding is negative and OI is ripping; this parabolic squeeze is hunting liquidity above the daily high. Be careful: Highly extended RSI and price action increase the probability of a sharp mean-reversion pullback. Never all-in, fam. Use a size that fits your own account. $PROM $TLM Buy pressure below. 👇👇👇 {spot}(PROMUSDT) {spot}(ACEUSDT)
Long zone on $ACE .
Plan:
Entry 0.1025 - 0.1051
TP 0.11627 / 0.12625
SL 0.09440
Funding is negative and OI is ripping; this parabolic squeeze is hunting liquidity above the daily high.
Be careful: Highly extended RSI and price action increase the probability of a sharp mean-reversion pullback.
Never all-in, fam. Use a size that fits your own account.
$PROM $TLM
Buy pressure below. 👇👇👇
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