Binance Square
VIKAS JANGRA
4.8k Posts

VIKAS JANGRA

Square Verified+
Markets Play with Mass Psychology. I Decode the Crowd Mindset. Helping Followers Think Clearly. | Binance Square KOL | X: @VikasjangraX
DeFi Challenge Participant
DeFi Challenge Participant
High-Frequency Trader
5.3 Years
70 Following
89.2K+ Followers
60.5K+ Liked
1 Badges
Posts
PINNED
·
--
Bullish
PINNED
·
--
Bullish
𝗔𝗦𝗧𝗘𝗥 𝗵𝗮𝘀 𝘀𝘁𝗮𝗿𝘁𝗲𝗱 𝗺𝗼𝘃𝗶𝗻𝗴 𝘁𝗼𝘄𝗮𝗿𝗱 𝗼𝘂𝗿 𝘁𝗮𝗿𝗴𝗲𝘁𝘀. We already shared this LONG setup around 0.6830–0.6900, with TP1 at 0.7200, TP2 at 0.7660 and TP3 at 0.8036. Now price is moving back toward the first target. 𝗜 𝗵𝗼𝗽𝗲 𝘁𝗵𝗼𝘀𝗲 𝘄𝗵𝗼 𝘁𝗼𝗼𝗸 𝘁𝗵𝗲 𝘀𝗲𝘁𝘂𝗽 𝗮𝗿𝗲 𝗲𝗻𝗷𝗼𝘆𝗶𝗻𝗴 𝘁𝗵𝗲 𝗺𝗼𝘃𝗲. If you missed the entry, there may still be a small window — but I wouldn't chase blindly after the move. Setup is already live. Now let the chart do the work. $ASTER {future}(ASTERUSDT)
𝗔𝗦𝗧𝗘𝗥 𝗵𝗮𝘀 𝘀𝘁𝗮𝗿𝘁𝗲𝗱 𝗺𝗼𝘃𝗶𝗻𝗴 𝘁𝗼𝘄𝗮𝗿𝗱 𝗼𝘂𝗿 𝘁𝗮𝗿𝗴𝗲𝘁𝘀.

We already shared this LONG setup around 0.6830–0.6900, with TP1 at 0.7200, TP2 at 0.7660 and TP3 at 0.8036.

Now price is moving back toward the first target.

𝗜 𝗵𝗼𝗽𝗲 𝘁𝗵𝗼𝘀𝗲 𝘄𝗵𝗼 𝘁𝗼𝗼𝗸 𝘁𝗵𝗲 𝘀𝗲𝘁𝘂𝗽 𝗮𝗿𝗲 𝗲𝗻𝗷𝗼𝘆𝗶𝗻𝗴 𝘁𝗵𝗲 𝗺𝗼𝘃𝗲.

If you missed the entry, there may still be a small window — but I wouldn't chase blindly after the move.

Setup is already live. Now let the chart do the work.

$ASTER
·
--
Bullish
DEX Buyback Power: $ASTER Breakout \rightarrow Long Entry: 0.6520 – 0.6720 TP1: 0.7450 TP2: 0.8200 TP3: 0.9800 SL: 0.6080 $ASTER {future}(ASTERUSDT)
DEX Buyback Power: $ASTER Breakout \rightarrow Long
Entry: 0.6520 – 0.6720
TP1: 0.7450
TP2: 0.8200
TP3: 0.9800
SL: 0.6080

$ASTER
·
--
Bullish
$SPK | 1D Breakout + 4H Momentum Long Setup Live Entry: $0.02150 – $0.02175 (CMP) TP1: $0.02350 TP2: $0.02720 TP3: $0.03350 SL: $0.02050 $SPK {future}(SPKUSDT)
$SPK | 1D Breakout + 4H Momentum Long Setup
Live Entry: $0.02150 – $0.02175 (CMP)
TP1: $0.02350
TP2: $0.02720
TP3: $0.03350
SL: $0.02050

$SPK
·
--
Bullish
$WLD | 1D Trendline Breakout + 4H $0.365 Reclaim \rightarrow Long Setup Live Entry Zone: $0.3800 – $0.3950 (Enter at Live CMP) TP1: $0.4450 (+14.1% Quick Scalp / Immediate 4H Resistance) TP2: $0.5100 (+30.7% Major Daily Supply) TP3: $0.6400 (+64.1% Macro Swing Target) SL: $0.3520 (Strict Stop below 4H base | Risk: ~8.5% | RR: 1 : 3.8) $WLD {future}(WLDUSDT)
$WLD | 1D Trendline Breakout + 4H $0.365 Reclaim \rightarrow Long Setup
Live Entry Zone: $0.3800 – $0.3950 (Enter at Live CMP)
TP1: $0.4450 (+14.1% Quick Scalp / Immediate 4H Resistance)
TP2: $0.5100 (+30.7% Major Daily Supply)
TP3: $0.6400 (+64.1% Macro Swing Target)
SL: $0.3520 (Strict Stop below 4H base | Risk: ~8.5% | RR: 1 : 3.8)

$WLD
·
--
Bullish
$TRUMP | Daily Wedge Breakout + $2.48 Pivot Reclaimed \rightarrow Long Setup Live Entry Zone: $2.68 – $2.75 (Enter at Live CMP) TP1: $3.20 (+17.2% Quick Scalp / Immediate Resistance) TP2: $3.60 (+31.8% Major Daily Supply) TP3: $4.30 (+57.5% Macro Expansion Target) SL: $2.48 (Tight SL below breakout base | Risk: ~8.5% | RR: 1 : 3.7 $TRUMP {future}(TRUMPUSDT)
$TRUMP | Daily Wedge Breakout + $2.48 Pivot Reclaimed \rightarrow Long Setup
Live Entry Zone: $2.68 – $2.75 (Enter at Live CMP)
TP1: $3.20 (+17.2% Quick Scalp / Immediate Resistance)
TP2: $3.60 (+31.8% Major Daily Supply)
TP3: $4.30 (+57.5% Macro Expansion Target)
SL: $2.48 (Tight SL below breakout base | Risk: ~8.5% | RR: 1 : 3.7
$TRUMP
​$AAVE | 1D Structure Breakout + 4H $128 Resistance Reclaim \rightarrow Long Setup Entry Zone: $135.50 – $137.50 TP1: $143.50 TP2: $155.00 TP3: $170.00 (Macro Swing Expansion) SL: $119.50 (Risk: ~6.2% | Target Gain: ~33% | RR: 1 : 4.5) $AAVE {future}(AAVEUSDT) $𝗔𝗔𝗩𝗘 𝗣𝘂𝘀𝗵𝗲𝘀 𝗣𝗮𝘀𝘁 $𝟭𝟯𝟱.𝟬𝟬. 𝗜𝘀 𝗮 $𝟭𝟳𝟬.𝟬𝟬+ 𝗗𝗲𝗙𝗶 𝗥𝘂𝗻 𝗟𝗼𝗮𝗱𝗶𝗻𝗴? Look at the massive relative strength on Aave right now. While most altcoins are chopping around in uncertain ranges, $AAVE just printed a vertical expansion from its $99.03 bottom, gaining over +55% in the last 7 days and pushing straight into fresh 24h highs at $135.08. This isn't just speculative hype: The fundamental driver is real capital flowing into Aave V4 deposits (crossing $750M+), which triggered a decisive breakout above the $128 daily resistance block. Here’s the reality check: We are currently pressing right into the $135–$137 local ceiling. Buying market orders at $135 after a +7.6% intraday surge is asking to get shaken out on the first 1H cool-off. The high-probability execution is waiting for price to test whether the broken $126.50–$129.50 resistance holds as new support. Personally, I'm waiting for the pullback. My limit bids are set in the $126.50–$129.50 demand pocket with a stop loss resting below $119.50. If confirmed, the path to $143.50 and $170.00 is wide open. Are you bidding the 128 retest, or do you thinkAAVE pushes straight through $145 without looking back?
$AAVE | 1D Structure Breakout + 4H $128 Resistance Reclaim \rightarrow Long Setup
Entry Zone: $135.50 – $137.50
TP1: $143.50
TP2: $155.00
TP3: $170.00 (Macro Swing Expansion)
SL: $119.50 (Risk: ~6.2% | Target Gain: ~33% | RR: 1 : 4.5)

$AAVE

$𝗔𝗔𝗩𝗘 𝗣𝘂𝘀𝗵𝗲𝘀 𝗣𝗮𝘀𝘁 $𝟭𝟯𝟱.𝟬𝟬. 𝗜𝘀 𝗮 $𝟭𝟳𝟬.𝟬𝟬+ 𝗗𝗲𝗙𝗶 𝗥𝘂𝗻 𝗟𝗼𝗮𝗱𝗶𝗻𝗴?
Look at the massive relative strength on Aave right now.
While most altcoins are chopping around in uncertain ranges, $AAVE just printed a vertical expansion from its $99.03 bottom, gaining over +55% in the last 7 days and pushing straight into fresh 24h highs at $135.08.
This isn't just speculative hype:
The fundamental driver is real capital flowing into Aave V4 deposits (crossing $750M+), which triggered a decisive breakout above the $128 daily resistance block.
Here’s the reality check:
We are currently pressing right into the $135–$137 local ceiling.
Buying market orders at $135 after a +7.6% intraday surge is asking to get shaken out on the first 1H cool-off. The high-probability execution is waiting for price to test whether the broken $126.50–$129.50 resistance holds as new support.
Personally, I'm waiting for the pullback. My limit bids are set in the $126.50–$129.50 demand pocket with a stop loss resting below $119.50. If confirmed, the path to $143.50 and $170.00 is wide open.
Are you bidding the 128 retest, or do you thinkAAVE pushes straight through $145 without looking back?
·
--
Bullish
$GIGGLE | 1D Structure Breakout + $33.50 Pivot Reclaim \rightarrow Long Setup Entry Zone: $32.50 – $35.00 TP1: $41.89 TP2: $48.50 TP3: $62.00 (Macro Expansion Target) SL: $29.40 (Risk: ~11.5% | Target Gain: ~80% | RR: 1 : 4.1) $GIGGLE {future}(GIGGLEUSDT) $𝗚𝗜𝗚𝗚𝗟𝗘 𝗥𝗲𝗰𝗹𝗮𝗶𝗺𝘀 $𝟯𝟯.𝟱𝟬. 𝗜𝘀 𝗮 $𝟲𝟬.𝟬𝟬+ 𝗘𝘅𝗽𝗮𝗻𝘀𝗶𝗼𝗻 𝗟𝗼𝗮𝗱𝗶𝗻𝗴? Look at the supply dynamics on $GIGGLE right now. With a circulating supply of under 1M tokens, this chart doesn't need billions in volume to make explosive moves. The moment price reclaimed the $33.50 daily pivot, the market structure flipped decisively bullish. We just saw a fast expansion to $41.89, and now price is compressing around $37.20. Retail is making the classic mistake of market-buying green candles into $38+. But professional execution is about patience. When low-supply tokens break out, you wait for the liquidity sweep back into prior resistance-turned-support ($32.50–$35.00). Personally, I'm not chasing at $37+. My limit orders are sitting in the $32.50–$35.00 demand pocket with a strict invalidation below $29.40. If filled, the path toward $48.50 and $62.00 is wide open. Are you bidding the $33–35 pullback, or do you thinkGIGGLE flies straight past $45 without a retest?
$GIGGLE | 1D Structure Breakout + $33.50 Pivot Reclaim \rightarrow Long Setup
Entry Zone: $32.50 – $35.00
TP1: $41.89
TP2: $48.50
TP3: $62.00 (Macro Expansion Target)
SL: $29.40 (Risk: ~11.5% | Target Gain: ~80% | RR: 1 : 4.1)

$GIGGLE
$𝗚𝗜𝗚𝗚𝗟𝗘 𝗥𝗲𝗰𝗹𝗮𝗶𝗺𝘀 $𝟯𝟯.𝟱𝟬. 𝗜𝘀 𝗮 $𝟲𝟬.𝟬𝟬+ 𝗘𝘅𝗽𝗮𝗻𝘀𝗶𝗼𝗻 𝗟𝗼𝗮𝗱𝗶𝗻𝗴?
Look at the supply dynamics on $GIGGLE right now.
With a circulating supply of under 1M tokens, this chart doesn't need billions in volume to make explosive moves. The moment price reclaimed the $33.50 daily pivot, the market structure flipped decisively bullish.
We just saw a fast expansion to $41.89, and now price is compressing around $37.20.
Retail is making the classic mistake of market-buying green candles into $38+. But professional execution is about patience. When low-supply tokens break out, you wait for the liquidity sweep back into prior resistance-turned-support ($32.50–$35.00).
Personally, I'm not chasing at $37+. My limit orders are sitting in the $32.50–$35.00 demand pocket with a strict invalidation below $29.40. If filled, the path toward $48.50 and $62.00 is wide open.
Are you bidding the $33–35 pullback, or do you thinkGIGGLE flies straight past $45 without a retest?
$TUT | 4H Post-Crash Base Reversal + $0.052 Pivot Reclaim \rightarrow Long Setup Entry Zone: $0.0520 – $0.0560 TP1: $0.0720 TP2: $0.0850 TP3: $0.1100 (50% Macro Relief Target) SL: $0.0440 (Risk: ~14% | Target Gain: ~96% | RR: 1 : 4.2) $TUT {future}(TUTUSDT) 𝗧𝗨𝗧 𝗕𝗼𝘂𝗻𝗰𝗲𝘀 +𝟳𝟬% 𝗢𝗳𝗳 𝗧𝗵𝗲 𝗟𝗼𝘄𝘀. 𝗜𝘀 𝗮 𝗦𝗲𝗰𝗼𝗻𝗱 𝗥𝗲𝗹𝗶𝗲𝗳 𝗪𝗮𝘃𝗲 𝗟𝗼𝗮𝗱𝗶𝗻𝗴? After that insane run to 0.24 and the brutal 85\% flush that followed, everyone wroteTUT off as dead. Look at what happened at the $0.035–$0.038 floor. Over $200M in 24h trading volume stepped in, printing aggressive absorption candles and reclaiming the key 4H pivot at $0.0520. That signals the initial flush is over and smart money is positioning for a secondary relief leg. We are currently testing local resistance around $0.062–$0.065. Chasing this volatility right into overhead resistance is amateur trading. The smart entry is waiting for price to cool off and retest the $0.0520–$0.0560 breakout zone. Personally, I'm not touching market buys at $0.062. My limit bids are placed in the $0.052–$0.056 retest pocket with an invalidation strictly under $0.044. If filled, the liquidity targets sit at $0.085 and $0.110. Are you bidding the 0.052 pullback, or do you thinkTUT dumps straight back to $0.035 $TUT
$TUT | 4H Post-Crash Base Reversal + $0.052 Pivot Reclaim \rightarrow Long Setup
Entry Zone: $0.0520 – $0.0560
TP1: $0.0720
TP2: $0.0850
TP3: $0.1100 (50% Macro Relief Target)
SL: $0.0440 (Risk: ~14% | Target Gain: ~96% | RR: 1 : 4.2)

$TUT
𝗧𝗨𝗧 𝗕𝗼𝘂𝗻𝗰𝗲𝘀 +𝟳𝟬% 𝗢𝗳𝗳 𝗧𝗵𝗲 𝗟𝗼𝘄𝘀. 𝗜𝘀 𝗮 𝗦𝗲𝗰𝗼𝗻𝗱 𝗥𝗲𝗹𝗶𝗲𝗳 𝗪𝗮𝘃𝗲 𝗟𝗼𝗮𝗱𝗶𝗻𝗴?
After that insane run to 0.24 and the brutal 85\% flush that followed, everyone wroteTUT off as dead.
Look at what happened at the $0.035–$0.038 floor.
Over $200M in 24h trading volume stepped in, printing aggressive absorption candles and reclaiming the key 4H pivot at $0.0520. That signals the initial flush is over and smart money is positioning for a secondary relief leg.
We are currently testing local resistance around $0.062–$0.065.
Chasing this volatility right into overhead resistance is amateur trading. The smart entry is waiting for price to cool off and retest the $0.0520–$0.0560 breakout zone.
Personally, I'm not touching market buys at $0.062. My limit bids are placed in the $0.052–$0.056 retest pocket with an invalidation strictly under $0.044. If filled, the liquidity targets sit at $0.085 and $0.110.
Are you bidding the 0.052 pullback, or do you thinkTUT dumps straight back to $0.035

$TUT
𝗧𝗵𝗲 𝗹𝗮𝗿𝗴𝗲𝘀𝘁 𝗹𝗼𝗻𝗴 𝗹𝗶𝗾𝘂𝗶𝗱𝗮𝘁𝗶𝗼𝗻 𝘀𝘁𝗮𝗿𝘁𝗲𝗱 𝘁𝗵𝗶𝘀 𝗯𝗲𝗮𝗿 𝗺𝗮𝗿𝗸𝗲𝘁. 𝗪𝗵𝗮𝘁 𝗶𝗳 𝘁𝗵𝗶𝘀 𝘀𝗵𝗼𝗿𝘁 𝘀𝗾𝘂𝗲𝗲𝘇𝗲 𝗲𝗻𝗱𝘀 𝗶𝘁? Look back at the October crash. $16.78 Billion in overleveraged longs got completely wiped out at the top, and that single cascade kicked off the entire bleed down to $60k. Now look at what just happened on the right side of the chart. Bears got way too comfortable shorting every weak bounce near $60k-$62k thinking we were going straight into the grave. Then boom. A massive $5 Billion short squeeze straight into $77,280. Markets rarely reverse because of sudden good news. They reverse when extreme positioning gets trapped. When everyone leans to one side, market makers use that leverage as rocket fuel to rip the chart the opposite way. Personally im not fading this move. This doesnt look like just another dead cat bounce, this is forced buying from trapped shorts fueling a structural shift. Did you get caught in that $5B wipeout, or are you already positioned for a push toward $80k? #BTC #bitcoin #cryptotrading $ETH $BNB {future}(BNBUSDT) {future}(ETHUSDT) {future}(BTCUSDT)
𝗧𝗵𝗲 𝗹𝗮𝗿𝗴𝗲𝘀𝘁 𝗹𝗼𝗻𝗴 𝗹𝗶𝗾𝘂𝗶𝗱𝗮𝘁𝗶𝗼𝗻 𝘀𝘁𝗮𝗿𝘁𝗲𝗱 𝘁𝗵𝗶𝘀 𝗯𝗲𝗮𝗿 𝗺𝗮𝗿𝗸𝗲𝘁. 𝗪𝗵𝗮𝘁 𝗶𝗳 𝘁𝗵𝗶𝘀 𝘀𝗵𝗼𝗿𝘁 𝘀𝗾𝘂𝗲𝗲𝘇𝗲 𝗲𝗻𝗱𝘀 𝗶𝘁?
Look back at the October crash. $16.78 Billion in overleveraged longs got completely wiped out at the top, and that single cascade kicked off the entire bleed down to $60k.
Now look at what just happened on the right side of the chart.
Bears got way too comfortable shorting every weak bounce near $60k-$62k thinking we were going straight into the grave. Then boom. A massive $5 Billion short squeeze straight into $77,280.
Markets rarely reverse because of sudden good news. They reverse when extreme positioning gets trapped. When everyone leans to one side, market makers use that leverage as rocket fuel to rip the chart the opposite way.
Personally im not fading this move. This doesnt look like just another dead cat bounce, this is forced buying from trapped shorts fueling a structural shift.
Did you get caught in that $5B wipeout, or are you already positioned for a push toward $80k?
#BTC #bitcoin #cryptotrading

$ETH $BNB
·
--
Bullish
$ADA | 1D Structure Break + 4H $0.20 Pivot Reclaim \rightarrow Long Setup Entry Zone: $0.1950 – $0.2050 TP1: $0.2350 TP2: $0.2500 TP3: $0.2850 SL: $0.1820 (Risk: ~6.8% | RR: 1 : 3.6) $ADA {future}(ADAUSDT) 𝗖𝗮𝗿𝗱𝗮𝗻𝗼 𝗥𝗲𝗰𝗹𝗮𝗶𝗺𝘀 $𝟬.𝟮𝟬. 𝗜𝘀 𝗮 $𝟬.𝟮𝟱𝟬 𝗥𝘂𝗻 𝗟𝗼𝗮𝗱𝗶𝗻𝗴 𝗙𝗼𝗿 $𝗔𝗗𝗔? Look at the structural shift happening on Cardano right now. For months, $ADA was stuck in a brutal grind near its cycle lows, boring everyone out of the market. But the moment it reclaimed the $0.2000 pivot level with expanding volume, the daily market structure flipped bullish. Here’s the interesting part: While price was pushing from $0.18 to $0.22, active on-chain addresses surged past 32k. We are seeing genuine spot absorption absorbing the sell orders rather than an overcrowded leverage pump. The immediate obstacle right now is the $0.225–$0.230 zone. Chasing here after a fast run isn't smart risk management. The real trade is waiting for the market to test whether the $0.1950–$0.2050 breakout area can hold as solid new support. Personally, I'm letting the breakout breathe. I have my bids lined up in the $0.1950–$0.2050 pocket with my stop loss locked below $0.1820. If that base confirms, the path toward the $0.2500 daily supply cluster opens up fast. Are you placing bids on the 0.20 retest, or do you thinkADA gets rejected back below $0.18?
$ADA | 1D Structure Break + 4H $0.20 Pivot Reclaim \rightarrow Long Setup
Entry Zone: $0.1950 – $0.2050
TP1: $0.2350
TP2: $0.2500
TP3: $0.2850
SL: $0.1820 (Risk: ~6.8% | RR: 1 : 3.6)
$ADA
𝗖𝗮𝗿𝗱𝗮𝗻𝗼 𝗥𝗲𝗰𝗹𝗮𝗶𝗺𝘀 $𝟬.𝟮𝟬. 𝗜𝘀 𝗮 $𝟬.𝟮𝟱𝟬 𝗥𝘂𝗻 𝗟𝗼𝗮𝗱𝗶𝗻𝗴 𝗙𝗼𝗿 $𝗔𝗗𝗔?
Look at the structural shift happening on Cardano right now.
For months, $ADA was stuck in a brutal grind near its cycle lows, boring everyone out of the market. But the moment it reclaimed the $0.2000 pivot level with expanding volume, the daily market structure flipped bullish.
Here’s the interesting part:
While price was pushing from $0.18 to $0.22, active on-chain addresses surged past 32k. We are seeing genuine spot absorption absorbing the sell orders rather than an overcrowded leverage pump.
The immediate obstacle right now is the $0.225–$0.230 zone.
Chasing here after a fast run isn't smart risk management. The real trade is waiting for the market to test whether the $0.1950–$0.2050 breakout area can hold as solid new support.
Personally, I'm letting the breakout breathe. I have my bids lined up in the $0.1950–$0.2050 pocket with my stop loss locked below $0.1820. If that base confirms, the path toward the $0.2500 daily supply cluster opens up fast.
Are you placing bids on the 0.20 retest, or do you thinkADA gets rejected back below $0.18?
·
--
Bullish
​$ZRO | 4H Breakout + 15M Demand Retest \rightarrow Long Setup Entry Zone: $1.1000 – $1.1450 TP1: $1.2200 TP2: $1.3000 TP3: $1.4000 SL: $1.0450 $ZRO {future}(ZROUSDT) ZRO is up +18.8% in the last 24 hours, printing highs right near $1.1965. Everyone is watching this breakout, but chasing green candles at $1.18 is how retail gets caught holding the bag on the first pullback. Look at the higher timeframe structure: $ZRO spent weeks building a tight base around the $0.965 mark. Today’s expansion with $76M+ volume confirms real buyer interest, but we are running straight into the $1.20–$1.25 overhead supply cluster. If this move is genuine, we don't need to chase it here. The high-probability play is waiting for price to retest the prior resistance-turned-support zone between $1.1000 and $1.1350. That's where trapped early shorts cover and fresh swing buyers step in. Personally, I'm sitting on my hands at $1.18. My bids are resting in the $1.10–$1.13 demand pocket with a strict invalidation below $1.045. If filled, my eyes are set on $1.30 and $1.40 for macro targets. Are you bidding the $1.10–1.13 retest, or do you thinkZRO rips straight through $1.25 without looking back?
$ZRO | 4H Breakout + 15M Demand Retest \rightarrow Long Setup
Entry Zone: $1.1000 – $1.1450
TP1: $1.2200
TP2: $1.3000
TP3: $1.4000
SL: $1.0450
$ZRO

ZRO is up +18.8% in the last 24 hours, printing highs right near $1.1965.
Everyone is watching this breakout, but chasing green candles at $1.18 is how retail gets caught holding the bag on the first pullback.
Look at the higher timeframe structure:
$ZRO spent weeks building a tight base around the $0.965 mark. Today’s expansion with $76M+ volume confirms real buyer interest, but we are running straight into the $1.20–$1.25 overhead supply cluster.
If this move is genuine, we don't need to chase it here.
The high-probability play is waiting for price to retest the prior resistance-turned-support zone between $1.1000 and $1.1350. That's where trapped early shorts cover and fresh swing buyers step in.
Personally, I'm sitting on my hands at $1.18. My bids are resting in the $1.10–$1.13 demand pocket with a strict invalidation below $1.045. If filled, my eyes are set on $1.30 and $1.40 for macro targets.
Are you bidding the $1.10–1.13 retest, or do you thinkZRO rips straight through $1.25 without looking back?
·
--
Bearish
$BOME — SHORT Trade Plan: Entry: 0.00115 – 0.00122 SL: 0.00130 TP1: 0.00105 TP2: 0.00096 TP3: 0.00088 $BOME {future}(BOMEUSDT)
$BOME — SHORT
Trade Plan:
Entry: 0.00115 – 0.00122
SL: 0.00130
TP1: 0.00105
TP2: 0.00096
TP3: 0.00088
$BOME
·
--
Bullish
$PUMP — LONG Trade Plan: Entry: 0.00455 – 0.00475 SL: 0.00395 TP1: 0.00515 TP2: 0.00580 TP3: 0.00650 $PUMP {future}(PUMPUSDT)
$PUMP — LONG
Trade Plan:
Entry: 0.00455 – 0.00475
SL: 0.00395
TP1: 0.00515
TP2: 0.00580
TP3: 0.00650
$PUMP
🔥 I think a lot of people are still sleeping on Binance Web3… I’ve been checking the Web3 side lately and there’s way more happening there than just “another wallet”. Trending tokens, on-chain plays, wallet tracking, Meme Rush, Binance Alpha… some of the stuff is actually worth exploring before everyone starts talking about it. [Web3💕](https://web3.binance.com/referral?ref=OCFPJLOT) If you’re already using Binance, you might as well see what’s sitting on the other side. Who’s actually using Binance Web3 right now? 👀 $BNB {future}(BNBUSDT)
🔥 I think a lot of people are still sleeping on Binance Web3…

I’ve been checking the Web3 side lately and there’s way more happening there than just “another wallet”.

Trending tokens, on-chain plays, wallet tracking, Meme Rush, Binance Alpha… some of the stuff is actually worth exploring before everyone starts talking about it.

Web3💕

If you’re already using Binance, you might as well see what’s sitting on the other side.

Who’s actually using Binance Web3 right now? 👀
$BNB
·
--
Bullish
The market doesn’t give these opportunities every day. Sometimes a clean setup appears — you just need to know how to identify it, execute it properly, and most importantly, manage the risk. These results are not about chasing every move. It’s about being ready when the right setup comes. Good setup + disciplined execution + proper risk management = that’s the game. $AAVE {future}(AAVEUSDT) $AVAX {future}(AVAXUSDT) $AR {future}(ARUSDT)
The market doesn’t give these opportunities every day.
Sometimes a clean setup appears — you just need to know how to identify it, execute it properly, and most importantly, manage the risk.
These results are not about chasing every move.
It’s about being ready when the right setup comes.
Good setup + disciplined execution + proper risk management = that’s the game.

$AAVE
$AVAX
$AR
·
--
Bullish
ONDO/USDT Trade Setup Entry: 0.395 – 0.410 Stop Loss: 0.345 TP1: 0.450 TP2: 0.485 TP3: 0.530 $ONDO {future}(ONDOUSDT)
ONDO/USDT Trade Setup
Entry: 0.395 – 0.410
Stop Loss: 0.345
TP1: 0.450
TP2: 0.485
TP3: 0.530

$ONDO
·
--
Bullish
ENS/USDT — LONG Setup Entry Zone: $5.70 – $5.95 Confirmation: 1H/4H Stop Loss: $5.20 TP1: $6.60 TP2: $7.40 TP3: $8.10 TP4: $9.20 $ENS {future}(ENSUSDT)
ENS/USDT — LONG Setup
Entry Zone: $5.70 – $5.95
Confirmation: 1H/4H
Stop Loss: $5.20
TP1: $6.60
TP2: $7.40
TP3: $8.10
TP4: $9.20
$ENS
·
--
Bullish
MANTA/USDT — LONG SWING SETUP Entry Zone: $0.0605 – $0.0630 Confirmation: 1H/4H hold above $0.0647 Stop Loss: $0.0525 TP1: $0.0715 TP2: $0.0800 TP3: $0.0945 $MANTA {future}(MANTAUSDT)
MANTA/USDT — LONG SWING SETUP
Entry Zone: $0.0605 – $0.0630
Confirmation: 1H/4H hold above $0.0647
Stop Loss: $0.0525
TP1: $0.0715
TP2: $0.0800
TP3: $0.0945

$MANTA
Log in to explore more content
Join global crypto users on Binance Square
⚡️ Get latest and useful information about crypto.
💬 Trusted by the world’s largest crypto exchange.
👍 Discover real insights from verified creators.
Email / Phone number
Sitemap
Cookie Preferences
Platform T&Cs