If 0.0869 was the exhaustion leg, this becomes base formation. If it breaks, continuation toward 0.075 opens.
Right now we are sitting inside a decision pocket.
Early positioning happens here. Confirmation happens above 0.105.
The crowd waits for certainty. Operators position near invalidation.
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Are you buying fear compression…
Or waiting for breakout comfort?
(For clarity — this is a decision zone, not a signal. I’m focused on confirmation vs failure and risk control. Curious what levels others are watching.)#DYDX #StrategyBTCPurchase
IF 4H closes strong above 5,260 THEN continuation expansion likely
Entry Zone: 5,265–5,285 (on confirmation, not wick) Stop Loss: 5,195 (back inside range = failed breakout)
Take Profit Targets: TP1: 5,320 TP2: 5,380 TP3: 5,450
Gold outperforming Bitcoin?
That’s what they want you focused on.
While attention rotates to metals… crypto liquidity is quietly resetting.
Here’s what most traders are missing:
When mainstream headlines start highlighting gold strength and Bitcoin weakness, it usually happens after a sharp displacement. Not before expansion — after compression.
$BTC already swept sub-74K liquidity. It already flushed emotional longs. Now price is rotating inside structure.
This isn’t random weakness. It’s positioning.
Capital rotation into gold tells you one thing: Risk is being repriced — not eliminated.
And historically? When volatility compresses after fear spikes, crypto doesn’t die. It re-accumulates.
We’re currently sitting in a sentiment imbalance: • Media pushing defensive narrative • Retail emotionally defensive • Structure not fully broken
That divergence matters.
If $BTC reclaims internal range highs and holds acceptance, gold outperformance headlines will age fast.
Liquidity always moves where attention isn’t.
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Trade Thought / Decision Framework
I’m watching for acceptance back above reclaimed structure vs failure below the recent sweep lows. Continuation requires sustained bids — not wicks. Failure means range expansion lower before real accumulation. Risk management > opinion.
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Are you reacting to headlines… or positioning around structure?
(For clarity — this is a decision zone, not a signal. I’m focused on confirmation vs failure and risk control. Curious what levels others are watching.)#XAU #StrategyBTCPurchase
$POWER just printed a parabolic expansion to 3.15… and immediately gave back more than 50%. That’s not healthy continuation. That’s distribution behavior.
Stoch RSI is overheated. Momentum is cooling. And price is now sitting under the rejection wick zone.
Add geopolitical tension headlines into the mix — liquidity hunts get sharper, not cleaner.
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🔻 $POWER Bearish Setup (4H Structure)
Bias: Bearish below 1.52–1.55 supply
🟥 Short Entry: 1.44 – 1.50 🔴 Stop Loss: 1.62 (above local rejection & momentum flip)
🎯 TP1: 1.28 🎯 TP2: 1.12 🎯 TP3: 0.95
If 1.28 cracks with momentum → unwind accelerates. If 1.62 reclaims and holds → bearish thesis invalid.
🟢 الدخول: 2,155–2,180 🔴 وقف الخسارة: 2,020 🎯 الهدف 1: 2,300 🎯 الهدف 2: 2,450 🎯 الهدف 3: 2,610
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أنت ترى اللون الأحمر.
أنا أرى ضغطًا وتجميعًا.
$ETH يتداول قرب 2,011 بعد رفض عند 2,148. الجميع يسمي ذلك ضعفًا.
لكن انظر إلى الصورة الأكبر.
هيكل 4 ساعات: • 1,800 = منطقة سيولة مؤكدة بعد كنس القاع • MA(25) تم استعادته والثبات فوق 1,950 • تكوّن قاع أعلى فوق منطقة 1,935 • التراجع منظم وليس اندفاعيًا
هذا ليس سلوك انهيار. هذا هدوء سعري تحت منطقة عرض سابقة.
2,080–2,150 هي سقف الضغط الحالي. فوقها — يبدأ التوسع.
إذا تم قبول السعر فوق 2,150، فهناك فراغ هيكلي حتى 2,400+. وفوق ذلك… تصبح 2,610 منطقة جذب سيولة.
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منهجية التداول / إطار القرار
أنا لا أشتري لأن الشمعة خضراء. أنا أراقب القبول فوق 2,150.
الثبات فوق الاختراق = استمرار الاتجاه. العودة والإغلاق تحت 1,950 = ضرر في الهيكل.
التحيز: صعودي طالما السعر فوق 1,935–1,950. الإبطال: قبول واضح على 4 ساعات أسفل تلك المنطقة.
معظم المتداولين ينتظرون التأكيد عند 2,400. المحترفون يتمركزون أثناء الضغط.