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Patience Paid Off. 🎯 BTC Futures long from a clean Order Block — plan respected, execution clean. 🟢 Entry (Friday): 84,613 📈 Price (Monday): ~90,000 🎯 TP: 90,200 🛑 SL: 83,609 ⚖️ Risk–Reward: 1:5 Trust the levels. Let price do the work. 📈 $BTC {future}(BTCUSDT) 1q
Patience Paid Off. 🎯
BTC Futures long from a clean Order Block — plan respected, execution clean.

🟢 Entry (Friday): 84,613
📈 Price (Monday): ~90,000
🎯 TP: 90,200
🛑 SL: 83,609
⚖️ Risk–Reward: 1:5

Trust the levels. Let price do the work. 📈

$BTC
1q
🚨 $PLAY LONG TRADE SETUP play coin$just printed a short-squeeze driven breakout, now trading around $0.0445. Whales flipped aggressively long, retail is trapped short — momentum is bullish but volatility is extreme. 📈 $PLAY TRADE PLAN Bias: LONG (squeeze continuation, momentum scalp) Entry: $0.043 – $0.044 TP1: $0.049 TP2: $0.055 TP3: $0.062 (extended squeeze) SL: $0.038 (key support / whale entry zone) 🧠 Why LONG • Whales flipped long aggressively (L/S ratio 3.86) • Long whales in profit (avg entry $0.0326) • Retail heavily short → fuel for squeeze • Broke key resistance + above all EMAs • Strong buy pressure, taker buys dominating • Airdrop + $3M trading competition = hype fuel ⚠️ Risk Notes • RSI ~67 → nearing overbought • Some smart-money spot profit-taking → watch closely • If whales unwind → fast dump possible 👉 Above $0.0495 = squeeze acceleration 👉 Below $0.038 = trend breaks, exit immediately Trade momentum, protect capital $PLAY {future}(PLAYUSDT)
🚨 $PLAY LONG TRADE SETUP
play coin$just printed a short-squeeze driven breakout, now trading around $0.0445. Whales flipped aggressively long, retail is trapped short — momentum is bullish but volatility is extreme.
📈 $PLAY TRADE PLAN
Bias: LONG (squeeze continuation, momentum scalp)
Entry: $0.043 – $0.044
TP1: $0.049
TP2: $0.055
TP3: $0.062 (extended squeeze)
SL: $0.038 (key support / whale entry zone)
🧠 Why LONG
• Whales flipped long aggressively (L/S ratio 3.86)
• Long whales in profit (avg entry $0.0326)
• Retail heavily short → fuel for squeeze
• Broke key resistance + above all EMAs
• Strong buy pressure, taker buys dominating
• Airdrop + $3M trading competition = hype fuel
⚠️ Risk Notes
• RSI ~67 → nearing overbought
• Some smart-money spot profit-taking → watch closely
• If whales unwind → fast dump possible
👉 Above $0.0495 = squeeze acceleration
👉 Below $0.038 = trend breaks, exit immediately
Trade momentum, protect capital
$PLAY
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Bullish
Be ready Traders sitting on the bottom on $SOL Get ready one side move up,Set Entery and forget {future}(SOLUSDT)
Be ready Traders sitting on the bottom on $SOL Get ready one side move up,Set Entery and forget
📉 $AVNT SHORT SETUP (High-Volatility Fade) Bias: SHORT Entry Zone: • $0.368 – $0.385 (overextension above resistance + FOMO zone) Targets: • TP1: $0.345 (first liquidity support) • TP2: $0.316 (key structure + whale avg entry zone) • TP3: $0.285 (pre-pump base) Stop Loss: • $0.405 (clean squeeze continuation invalidation) 🧠 Why I Choose SHORT • +30% pump on 2.39× market-cap volume → classic speculative blow-off • Capital flow flipped negative (-$143.5K) → profit-taking has started • Coin-margined L/S ratio dropped to 0.66 → traders positioning for downside • Influencer hype extremely high → late retail participation • Daily token unlocks → continuous sell pressure risk • Futures shorting increasing → volatility + downside pressure • Price now far above whale avg entry ($0.3159) → incentive to distribute $AVNT {future}(AVNTUSDT)
📉 $AVNT SHORT SETUP (High-Volatility Fade)

Bias: SHORT

Entry Zone:
• $0.368 – $0.385
(overextension above resistance + FOMO zone)

Targets:
• TP1: $0.345 (first liquidity support)
• TP2: $0.316 (key structure + whale avg entry zone)
• TP3: $0.285 (pre-pump base)

Stop Loss:
• $0.405 (clean squeeze continuation invalidation)

🧠 Why I Choose SHORT

• +30% pump on 2.39× market-cap volume → classic speculative blow-off
• Capital flow flipped negative (-$143.5K) → profit-taking has started
• Coin-margined L/S ratio dropped to 0.66 → traders positioning for downside
• Influencer hype extremely high → late retail participation
• Daily token unlocks → continuous sell pressure risk
• Futures shorting increasing → volatility + downside pressure
• Price now far above whale avg entry ($0.3159) → incentive to distribute

$AVNT
📈 $SOL LONG SETUP (Accumulation → Expansion Play) Bias: LONG (trend recovery from demand) Entry Zone: • $125 – $128 (consolidation range + EMA support) Targets: • TP1: $130 (range high / first liquidity) • TP2: $135 (structure reclaim) • TP3: $144 (mid-term recovery target) Stop Loss: • $121 (loss of structure → bearish continuation) 🧠 Why I Choose LONG • Strong rebound from $117 → buyers defended key demand • Bullish MACD crossover → momentum shift confirmed • RSI at 56 → healthy, not overbought • +$4M net inflow in last hour → real capital stepping in • Large orders dominate inflow → institutional / whale activity • Whales increased longs by 6.3% → smart money buying fear • Price holding above short-term EMAs → structure intact • Staking yield (≈5.6% APR) → downside cushion, reduces sell pressure $SOL {future}(SOLUSDT)
📈 $SOL LONG SETUP (Accumulation → Expansion Play)

Bias: LONG (trend recovery from demand)

Entry Zone:
• $125 – $128
(consolidation range + EMA support)

Targets:
• TP1: $130 (range high / first liquidity)
• TP2: $135 (structure reclaim)
• TP3: $144 (mid-term recovery target)

Stop Loss:
• $121 (loss of structure → bearish continuation)

🧠 Why I Choose LONG

• Strong rebound from $117 → buyers defended key demand
• Bullish MACD crossover → momentum shift confirmed
• RSI at 56 → healthy, not overbought
• +$4M net inflow in last hour → real capital stepping in
• Large orders dominate inflow → institutional / whale activity
• Whales increased longs by 6.3% → smart money buying fear
• Price holding above short-term EMAs → structure intact
• Staking yield (≈5.6% APR) → downside cushion, reduces sell pressure

$SOL
📈 $ANIME LONG SETUP (Short-Squeeze Continuation) Bias: LONG (only on confirmation) Entry Zone: • $0.00950 – $0.00975 (holding above breakout + no strong rejection) Targets: • TP1: $0.01030 (psychological + liquidity grab) • TP2: $0.01110 (squeeze extension) • TP3: $0.01220 (momentum blow-off) Stop Loss: • $0.00895 (loss of structure & whale zone) 🧠 Why I Choose LONG • +42% breakout → strong momentum regime • Whale accumulation at $0.0083 → smart money deeply in profit • 102 short whales underwater → squeeze fuel still present • Long/Short ratio flipped (0.17 → 0.52) → sentiment regime change • MACD strongly positive → trend not exhausted yet • Capital inflows support move, not just thin liquidity • Binance listings + promotions → liquidity + visibility boost 📌 Overbought RSI does NOT kill squeezes — it only increases volatility $ANIME {future}(ANIMEUSDT) #ANİME #Anime
📈 $ANIME LONG SETUP (Short-Squeeze Continuation)

Bias: LONG (only on confirmation)

Entry Zone:
• $0.00950 – $0.00975
(holding above breakout + no strong rejection)

Targets:
• TP1: $0.01030 (psychological + liquidity grab)
• TP2: $0.01110 (squeeze extension)
• TP3: $0.01220 (momentum blow-off)

Stop Loss:
• $0.00895 (loss of structure & whale zone)

🧠 Why I Choose LONG

• +42% breakout → strong momentum regime
• Whale accumulation at $0.0083 → smart money deeply in profit
• 102 short whales underwater → squeeze fuel still present
• Long/Short ratio flipped (0.17 → 0.52) → sentiment regime change
• MACD strongly positive → trend not exhausted yet
• Capital inflows support move, not just thin liquidity
• Binance listings + promotions → liquidity + visibility boost

📌 Overbought RSI does NOT kill squeezes — it only increases volatility

$ANIME
#ANİME #Anime
🚨 TRADERS — FOCUS UP 👀 EPIC just experienced a textbook short squeeze, but at current price $0.706, the easy upside has already been printed. This is now a decision zone, not a chase zone. 📉 EPIC SHORT SETUP (Post–Squeeze Mean Reversion) Bias: SHORT (after squeeze exhaustion) Entry Zone: • $0.715 – $0.735 (retest of highs / upper Bollinger rejection) Targets: • TP1: $0.670 (EMA cluster / minor support) • TP2: $0.640 (key structure + whale avg entry) • TP3: $0.600 (pre-squeeze base) Stop Loss: • $0.765 (clean breakout & continuation invalidation) 🧠 Why I Choose SHORT • RSI 82–96 → extreme overbought across timeframes • Price rejected at upper Bollinger Band ($0.732) → exhaustion signal • Parabolic +24.7% move → unsustainable without consolidation • Long/Short ratio collapsed → squeeze largely played out • Short whales already capitulating → fuel drying up • Profit-taking visible (L/S ratio dropped from 6.0 → 1.68) • MACD bullish but lagging → momentum often tops before MACD flips 📌 Shorting here is not fading strength blindly — it’s trading post-squeeze statistics. 📈 Bullish Continuation Scenario (Invalidates Short) If $0.735 breaks & holds with strong volume: ➡️ Shorts invalidated ➡️ Squeeze extends ➡️ Next upside targets: • $0.760 • $0.784 Only long after pullback + base, not on green candles $EPIC {future}(EPICUSDT)
🚨 TRADERS — FOCUS UP 👀
EPIC just experienced a textbook short squeeze, but at current price $0.706, the easy upside has already been printed. This is now a decision zone, not a chase zone.

📉 EPIC SHORT SETUP (Post–Squeeze Mean Reversion)

Bias: SHORT (after squeeze exhaustion)

Entry Zone:
• $0.715 – $0.735
(retest of highs / upper Bollinger rejection)

Targets:
• TP1: $0.670 (EMA cluster / minor support)
• TP2: $0.640 (key structure + whale avg entry)
• TP3: $0.600 (pre-squeeze base)

Stop Loss:
• $0.765 (clean breakout & continuation invalidation)

🧠 Why I Choose SHORT

• RSI 82–96 → extreme overbought across timeframes
• Price rejected at upper Bollinger Band ($0.732) → exhaustion signal
• Parabolic +24.7% move → unsustainable without consolidation
• Long/Short ratio collapsed → squeeze largely played out
• Short whales already capitulating → fuel drying up
• Profit-taking visible (L/S ratio dropped from 6.0 → 1.68)
• MACD bullish but lagging → momentum often tops before MACD flips

📌 Shorting here is not fading strength blindly — it’s trading post-squeeze statistics.

📈 Bullish Continuation Scenario (Invalidates Short)

If $0.735 breaks & holds with strong volume:

➡️ Shorts invalidated
➡️ Squeeze extends
➡️ Next upside targets:
• $0.760
• $0.784

Only long after pullback + base, not on green candles
$EPIC
--
Bearish
🚨 TRADERS — PAY CLOSE ATTENTION 👀 $POLYX just delivered an explosive breakout, but right now risk > reward for fresh longs. After a +31% rally to $0.0658, price is showing clear exhaustion signals despite whale activity. At current price $0.0636, this is no longer a chase zone. 📉 POLYX SHORT SETUP (High-Probability After Spike) Bias: SHORT (mean reversion / post–squeeze fade) Entry Zone: • $0.0645 – $0.0665 (upper wick / liquidity grab / failed continuation) Targets: • TP1: $0.0600 (mid-range support) • TP2: $0.0575 (breakout retest zone) • TP3: $0.0530 (prior accumulation base) Stop Loss: • $0.0695 (clean invalidation above squeeze high) 🧠 Why I Choose SHORT • RSI at 88.4 (Hourly) → extreme overbought, historically unsustainable • Price outside upper Bollinger Band → high probability of snap-back • +31% vertical move → no healthy pullbacks = exhaustion risk • Mixed capital flows → rally lacks consistent institutional follow-through • “Surge & fall back” volatility pattern already flagged • Whale-driven squeeze likely near completion → whales profit after retail FOMO • Current price ($0.0636) already below highs → momentum slowing ⚠️ Shorting is NOT against whales — it’s after the squeeze pressure peaks. 🔄 Alternative Bullish Scenario (Only If This Happens) If $0.0680 breaks and holds with volume: 📈 Invalidates short thesis ➡️ Shorts get trapped ➡️ Fast squeeze toward $0.072 – $0.075 Until then: fading strength > chasing pumps 🧠 Trade Like a Pro • Small size • Respect stop-loss • Don’t marry bias • Let price confirm Parabolic moves reward patience, not FOMO. Trade safe 🔥📉 {future}(POLYXUSDT)
🚨 TRADERS — PAY CLOSE ATTENTION 👀
$POLYX just delivered an explosive breakout, but right now risk > reward for fresh longs.
After a +31% rally to $0.0658, price is showing clear exhaustion signals despite whale activity.

At current price $0.0636, this is no longer a chase zone.

📉 POLYX SHORT SETUP (High-Probability After Spike)

Bias: SHORT (mean reversion / post–squeeze fade)

Entry Zone:
• $0.0645 – $0.0665
(upper wick / liquidity grab / failed continuation)

Targets:
• TP1: $0.0600 (mid-range support)
• TP2: $0.0575 (breakout retest zone)
• TP3: $0.0530 (prior accumulation base)

Stop Loss:
• $0.0695 (clean invalidation above squeeze high)

🧠 Why I Choose SHORT

• RSI at 88.4 (Hourly) → extreme overbought, historically unsustainable
• Price outside upper Bollinger Band → high probability of snap-back
• +31% vertical move → no healthy pullbacks = exhaustion risk
• Mixed capital flows → rally lacks consistent institutional follow-through
• “Surge & fall back” volatility pattern already flagged
• Whale-driven squeeze likely near completion → whales profit after retail FOMO
• Current price ($0.0636) already below highs → momentum slowing

⚠️ Shorting is NOT against whales — it’s after the squeeze pressure peaks.

🔄 Alternative Bullish Scenario (Only If This Happens)

If $0.0680 breaks and holds with volume:

📈 Invalidates short thesis
➡️ Shorts get trapped
➡️ Fast squeeze toward $0.072 – $0.075

Until then: fading strength > chasing pumps

🧠 Trade Like a Pro

• Small size
• Respect stop-loss
• Don’t marry bias
• Let price confirm

Parabolic moves reward patience, not FOMO.
Trade safe 🔥📉
December is worst month
December is worst month
Kripto Kurdu
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$SOL Decision Point!

The downtrend channel on the SOL side is clear.
The 126–130 range is currently the equilibrium zone.

I won't consider the upward movement a trend until there is sustained activity above this zone.

Upward attempts are currently just reactions.
• 140
• 126
• 110–105: main support area

Volume + closing price will determine the outcome here. It's not a prediction; the level speaks for itself.
don't be fear
don't be fear
Deadman-_-
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Big mistake 😔 look at the funding fee 😵‍💫
ICT or powerful Mind set strategy
ICT or powerful Mind set strategy
Crypto BigBull
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MY STRATEGY IS BEST STRATEGY OF THE WORLD IT’S WORK ALWAYS NO LOSS🤑🤑💸
$PIPPIN
{future}(PIPPINUSDT)
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