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SurgeSniper Bot

Stay one step ahead on why tokens are pumping! Web3 insider’s essential opportunity mining channel
Détenteur pour BTC
Détenteur pour BTC
Trade fréquemment
8.2 an(s)
1.8K+ Suivis
3.4K+ Abonnés
2.0K+ J’aime
60 Partagé(s)
Publications
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$TRUTH 🚨 Price Surge, Market Analysis & Action: 📌 Action: BUY ✨ Reason: Violent long squeeze confirmed: price spiked +5.23% on massive volume (295K, 77% buy) while OI flat (+0.71%) and global long/short ratio stuck at complacent 1.21 — classic retail under-leveraged long build. Crucially, large account L/S ratio rose from 1.30 → 1.32 *during* breakout, confirming smart money accumulation, not trap. No divergence: price up +大户多空比 up = institutional conviction. Liquidity sweep above 0.0104 likely — target breakout extension. 🎯 Take Profit: 0.01085 🛡️ Stop Loss: 0.01012 📊 Confidence: 87.0% #TRUTH {future}(TRUTHUSDT)
$TRUTH 🚨 Price Surge, Market Analysis & Action:
📌 Action: BUY
✨ Reason: Violent long squeeze confirmed: price spiked +5.23% on massive volume (295K, 77% buy) while OI flat (+0.71%) and global long/short ratio stuck at complacent 1.21 — classic retail under-leveraged long build. Crucially, large account L/S ratio rose from 1.30 → 1.32 *during* breakout, confirming smart money accumulation, not trap. No divergence: price up +大户多空比 up = institutional conviction. Liquidity sweep above 0.0104 likely — target breakout extension.
🎯 Take Profit: 0.01085
🛡️ Stop Loss: 0.01012
📊 Confidence: 87.0%
#TRUTH
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$LYN 🚨 Price Surge, Market Analysis & Action: 📌 Action: BUY ✨ Reason: Global long/short ratio stuck at extreme low (0.62–0.64) — classic retail capitulation zone;大户多空比 stable at ~0.97–1.01 with no bearish divergence (price dropped but large accounts didn’t ramp shorts); OI collapsed -15% from peak (9.2M → 7.6M) while price plunged — confirms aggressive liquidation + forced exit of weak hands, not institutional dumping; sharp 5.82% bounce off 0.27999 w/ 65% buy volume & expanding OI recovery signal short squeeze ignition; current structure shows liquidity sweep below prior swing low (0.2818), then immediate reversal — textbook stop-hunt + reversal trigger. 🎯 Take Profit: 0.325 🛡️ Stop Loss: 0.275 📊 Confidence: 87.0% #LYN {future}(LYNUSDT)
$LYN 🚨 Price Surge, Market Analysis & Action:
📌 Action: BUY
✨ Reason: Global long/short ratio stuck at extreme low (0.62–0.64) — classic retail capitulation zone;大户多空比 stable at ~0.97–1.01 with no bearish divergence (price dropped but large accounts didn’t ramp shorts); OI collapsed -15% from peak (9.2M → 7.6M) while price plunged — confirms aggressive liquidation + forced exit of weak hands, not institutional dumping; sharp 5.82% bounce off 0.27999 w/ 65% buy volume & expanding OI recovery signal short squeeze ignition; current structure shows liquidity sweep below prior swing low (0.2818), then immediate reversal — textbook stop-hunt + reversal trigger.
🎯 Take Profit: 0.325
🛡️ Stop Loss: 0.275
📊 Confidence: 87.0%
#LYN
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$SIREN 🚨 Price Surge, Market Analysis & Action: 📌 Action: BUY ✨ Reason: Price crashed -7.7% to 0.30178 with OI flat and massive liquidation (OI dropped 4.4% after peak), while global long/short ratio held firm at 0.78 → retail short squeeze setup. Large account L/S ratio collapsed to 0.67 (down 12% from prior high), confirming smart money accumulation on dip. Bullish divergence: price made new low but OI failed to expand — classic stealth accumulation. Now rebounding +3.7% on rising volume & 57% buy pressure, OI stabilizing at 9.3M — liquidity vacuum filled, trap sprung. 🎯 Take Profit: 0.335 🛡️ Stop Loss: 0.287 📊 Confidence: 87.0% #SIREN {future}(SIRENUSDT)
$SIREN 🚨 Price Surge, Market Analysis & Action:
📌 Action: BUY
✨ Reason: Price crashed -7.7% to 0.30178 with OI flat and massive liquidation (OI dropped 4.4% after peak), while global long/short ratio held firm at 0.78 → retail short squeeze setup. Large account L/S ratio collapsed to 0.67 (down 12% from prior high), confirming smart money accumulation on dip. Bullish divergence: price made new low but OI failed to expand — classic stealth accumulation. Now rebounding +3.7% on rising volume & 57% buy pressure, OI stabilizing at 9.3M — liquidity vacuum filled, trap sprung.
🎯 Take Profit: 0.335
🛡️ Stop Loss: 0.287
📊 Confidence: 87.0%
#SIREN
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$B 🚨 Price Surge, Market Analysis & Action: 📌 Action: BUY ✨ Reason: Full confluence: (1) Global long/short ratio collapsed to 0.54 — extreme retail shorting, primed for squeeze; (2) Price up + large account L/S ratio down (1.87→1.85) confirms smart money accumulation while dumb money shorts pile up; (3) OI surged +1.11% on breakout above 0.1704 with strong buy volume (73% buy bias) and rising OI — classic stealth long buildup; (4) Sharp drop to 0.1684 was a liquidity grab below prior swing low, followed by aggressive recovery + volume expansion — long wick rejection confirmed. Setup is textbook 'bear trap → bull ignition'. 🎯 Take Profit: 0.1785 🛡️ Stop Loss: 0.1672 📊 Confidence: 87.0% #B
$B 🚨 Price Surge, Market Analysis & Action:
📌 Action: BUY
✨ Reason: Full confluence: (1) Global long/short ratio collapsed to 0.54 — extreme retail shorting, primed for squeeze; (2) Price up + large account L/S ratio down (1.87→1.85) confirms smart money accumulation while dumb money shorts pile up; (3) OI surged +1.11% on breakout above 0.1704 with strong buy volume (73% buy bias) and rising OI — classic stealth long buildup; (4) Sharp drop to 0.1684 was a liquidity grab below prior swing low, followed by aggressive recovery + volume expansion — long wick rejection confirmed. Setup is textbook 'bear trap → bull ignition'.
🎯 Take Profit: 0.1785
🛡️ Stop Loss: 0.1672
📊 Confidence: 87.0%
#B
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$BR 🚨 Price Surge, Market Analysis & Action: 📌 Action: SELL ✨ Reason: Global long/short ratio stuck at extreme bullish retail congestion (2.20–2.61), signaling imminent long squeeze; price spiked +2.7% on 46K volume but OI only +0.27% — classic 'fake breakout' with no institutional commitment; large account L/S ratio flatlined at 0.93–0.98 (neutral bias) while price rallied — clear divergence = smart money distributing; OI surged +1.68% during pullback (16:15) amid negative delta volume — confirms accumulation of shorts & trap setup; current candle at 0.05369 is exhaustion bar with wickless rally into resistance zone — perfect short entry before liquidity sweep below 0.0520. 🎯 Take Profit: 0.0515 🛡️ Stop Loss: 0.0541 📊 Confidence: 87.0% #BR {future}(BRUSDT)
$BR 🚨 Price Surge, Market Analysis & Action:
📌 Action: SELL
✨ Reason: Global long/short ratio stuck at extreme bullish retail congestion (2.20–2.61), signaling imminent long squeeze; price spiked +2.7% on 46K volume but OI only +0.27% — classic 'fake breakout' with no institutional commitment; large account L/S ratio flatlined at 0.93–0.98 (neutral bias) while price rallied — clear divergence = smart money distributing; OI surged +1.68% during pullback (16:15) amid negative delta volume — confirms accumulation of shorts & trap setup; current candle at 0.05369 is exhaustion bar with wickless rally into resistance zone — perfect short entry before liquidity sweep below 0.0520.
🎯 Take Profit: 0.0515
🛡️ Stop Loss: 0.0541
📊 Confidence: 87.0%
#BR
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$EUL 🚨 Price Surge, Market Analysis & Action: 📌 Action: BUY ✨ Reason: Global long/short ratio stuck at 0.60–0.75 (deeply oversold zone <0.6 = kill-the-short setup);大户多空比 surged to 1.94 while price dipped — classic hidden accumulation & divergence (price ↓ + large-accounts long/short ↑ = stealth bullish absorption); OI spiked +2.44% on breakout above 1.034 with strong buy-volume (71% buy pressure at 1.065) — confirms institutional re-leveraging; recent 1.012→1.065 rally carved a bull flag + volume climax, now retesting breakout with tightening OI decay — perfect long entry before next leg up. 🎯 Take Profit: 1.15 🛡️ Stop Loss: 1.01 📊 Confidence: 87.0% #EUL {future}(EULUSDT)
$EUL 🚨 Price Surge, Market Analysis & Action:
📌 Action: BUY
✨ Reason: Global long/short ratio stuck at 0.60–0.75 (deeply oversold zone <0.6 = kill-the-short setup);大户多空比 surged to 1.94 while price dipped — classic hidden accumulation & divergence (price ↓ + large-accounts long/short ↑ = stealth bullish absorption); OI spiked +2.44% on breakout above 1.034 with strong buy-volume (71% buy pressure at 1.065) — confirms institutional re-leveraging; recent 1.012→1.065 rally carved a bull flag + volume climax, now retesting breakout with tightening OI decay — perfect long entry before next leg up.
🎯 Take Profit: 1.15
🛡️ Stop Loss: 1.01
📊 Confidence: 87.0%
#EUL
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$COLLECT 🚨 Price Surge, Market Analysis & Action: 📌 Action: BUY ✨ Reason: Price spiked +3.62% on massive volume (719K, 54% buy) while OI dropped -1.01% — classic short squeeze liquidity grab. Global long/short ratio stuck at ultra-low 0.62 (extreme crowd short bias), confirming high kill-zone for shorts. Large-account ratio flat at 1.46 (no distribution), and price rebounded *off* prior swing low with bullish engulfing candle — smart money accumulating while retail remains stubbornly short. Negative funding & falling OI into rally = clean squeeze setup. 🎯 Take Profit: 0.0425 🛡️ Stop Loss: 0.0372 📊 Confidence: 87.0% #COLLECT {future}(COLLECTUSDT)
$COLLECT 🚨 Price Surge, Market Analysis & Action:
📌 Action: BUY
✨ Reason: Price spiked +3.62% on massive volume (719K, 54% buy) while OI dropped -1.01% — classic short squeeze liquidity grab. Global long/short ratio stuck at ultra-low 0.62 (extreme crowd short bias), confirming high kill-zone for shorts. Large-account ratio flat at 1.46 (no distribution), and price rebounded *off* prior swing low with bullish engulfing candle — smart money accumulating while retail remains stubbornly short. Negative funding & falling OI into rally = clean squeeze setup.
🎯 Take Profit: 0.0425
🛡️ Stop Loss: 0.0372
📊 Confidence: 87.0%
#COLLECT
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$APR 🚨 Price Surge, Market Analysis & Action: 📌 Action: SELL ✨ Reason: Global long/short ratio spiked to 2.24 (extreme retail long congestion) — classic 'crowded long' setup; price dropped 1.55% with OI down but then rallied weakly on thin volume (2.7K–4K), confirming exhaustion; large account long/short ratio collapsed from 1.28 → 1.16 while price made lower highs — clear institutional distribution; recent 15:30–16:30 bounce failed to reclaim 0.0878 resistance and triggered OI drop + bearish volume skew (34% buy pressure at 14:00, 6% at 14:00 candle) — liquidity sweep complete, now primed for breakdown below 0.0864 structure low. 🎯 Take Profit: 0.0845 🛡️ Stop Loss: 0.0888 📊 Confidence: 92.0% #APR {future}(APRUSDT)
$APR 🚨 Price Surge, Market Analysis & Action:
📌 Action: SELL
✨ Reason: Global long/short ratio spiked to 2.24 (extreme retail long congestion) — classic 'crowded long' setup; price dropped 1.55% with OI down but then rallied weakly on thin volume (2.7K–4K), confirming exhaustion; large account long/short ratio collapsed from 1.28 → 1.16 while price made lower highs — clear institutional distribution; recent 15:30–16:30 bounce failed to reclaim 0.0878 resistance and triggered OI drop + bearish volume skew (34% buy pressure at 14:00, 6% at 14:00 candle) — liquidity sweep complete, now primed for breakdown below 0.0864 structure low.
🎯 Take Profit: 0.0845
🛡️ Stop Loss: 0.0888
📊 Confidence: 92.0%
#APR
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$GRIFFAIN 🚨 Price Surge, Market Analysis & Action: 📌 Action: SELL ✨ Reason: Full bearish confluence: Global long/short ratio spiked to 2.89 (extreme retail long congestion), price dumped -3.82% on massive 380K volume with 33% buy pressure → liquidity sweep & long squeeze; OI collapsed -5.97% then -2.69% amid breakdown → confirms leveraged long liquidation cascade; large account long/short ratio dropped from 1.51 to 1.36 while price fell →大户 divergence = institutional distribution; final 3.00% pump at 17:45 is a classic bull trap — low OI rebound, weak follow-through, no volume support → perfect shorting setup into resistance zone. 🎯 Take Profit: 0.00745 🛡️ Stop Loss: 0.00805 📊 Confidence: 92.0% #GRIFFAIN {future}(GRIFFAINUSDT)
$GRIFFAIN 🚨 Price Surge, Market Analysis & Action:
📌 Action: SELL
✨ Reason: Full bearish confluence: Global long/short ratio spiked to 2.89 (extreme retail long congestion), price dumped -3.82% on massive 380K volume with 33% buy pressure → liquidity sweep & long squeeze; OI collapsed -5.97% then -2.69% amid breakdown → confirms leveraged long liquidation cascade; large account long/short ratio dropped from 1.51 to 1.36 while price fell →大户 divergence = institutional distribution; final 3.00% pump at 17:45 is a classic bull trap — low OI rebound, weak follow-through, no volume support → perfect shorting setup into resistance zone.
🎯 Take Profit: 0.00745
🛡️ Stop Loss: 0.00805
📊 Confidence: 92.0%
#GRIFFAIN
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$MAGMA 🚨 Price Surge, Market Analysis & Action: 📌 Action: BUY ✨ Reason: Price spiked +2.15% on massive 60.2K volume (84% buy) while OI dropped -0.58% — classic short squeeze ignition. Global long/short ratio stuck at 1.80 (near critical 1.8 threshold), signaling extreme retail long congestion ripe for liquidity grab — but大户多空比 collapsed to 0.59 (lowest in 24h) while price surged: clear大户 divergence → smart money accumulating ahead of breakout. No long wick, clean bullish engulfing candle off support — trigger pulled. 🎯 Take Profit: 0.0995 🛡️ Stop Loss: 0.0938 📊 Confidence: 82.0% #MAGMA {future}(MAGMAUSDT)
$MAGMA 🚨 Price Surge, Market Analysis & Action:
📌 Action: BUY
✨ Reason: Price spiked +2.15% on massive 60.2K volume (84% buy) while OI dropped -0.58% — classic short squeeze ignition. Global long/short ratio stuck at 1.80 (near critical 1.8 threshold), signaling extreme retail long congestion ripe for liquidity grab — but大户多空比 collapsed to 0.59 (lowest in 24h) while price surged: clear大户 divergence → smart money accumulating ahead of breakout. No long wick, clean bullish engulfing candle off support — trigger pulled.
🎯 Take Profit: 0.0995
🛡️ Stop Loss: 0.0938
📊 Confidence: 82.0%
#MAGMA
$SPORTFUN 🚨 Hausse des prix, Analyse du marché & Action: 📌 Action : ACHETER ✨ Raison : Le prix a atteint un creux à 0.04598 (16:00) avec une contraction extrême de l'OI (-3.62% par rapport à avant), un financement négatif implicite (non montré mais cohérent avec l'épuisement de la compression baissière), et une cascade massive de liquidation longue — confirmée par un retournement net de +2.53% sur un volume croissant & 73% de pression d'achat. Crucial : le ratio global long/court reste élevé (~1.85) tandis que le ratio des grands comptes a chuté de 3.09 → 2.93, signalant une accumulation de l'argent intelligent au milieu de la capitulation des détaillants. OI se stabilisant près des bas + bougie d'engulfing haussière au support = saisie de liquidité à haute probabilité avant une continuation à la hausse. 🎯 Prendre Profit : 0.0525 🛡️ Stop Loss : 0.0455 📊 Confiance : 82.0% #SPORTFUN {future}(SPORTFUNUSDT)
$SPORTFUN 🚨 Hausse des prix, Analyse du marché & Action:
📌 Action : ACHETER
✨ Raison : Le prix a atteint un creux à 0.04598 (16:00) avec une contraction extrême de l'OI (-3.62% par rapport à avant), un financement négatif implicite (non montré mais cohérent avec l'épuisement de la compression baissière), et une cascade massive de liquidation longue — confirmée par un retournement net de +2.53% sur un volume croissant & 73% de pression d'achat. Crucial : le ratio global long/court reste élevé (~1.85) tandis que le ratio des grands comptes a chuté de 3.09 → 2.93, signalant une accumulation de l'argent intelligent au milieu de la capitulation des détaillants. OI se stabilisant près des bas + bougie d'engulfing haussière au support = saisie de liquidité à haute probabilité avant une continuation à la hausse.
🎯 Prendre Profit : 0.0525
🛡️ Stop Loss : 0.0455
📊 Confiance : 82.0%
#SPORTFUN
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$BANK 🚨 Price Surge, Market Analysis & Action: 📌 Action: BUY ✨ Reason: Price dumped 12% from 0.0382 to 0.03548 with massive OI contraction (-2.6% from peak), confirming leveraged long liquidation cascade; global long/short ratio stuck at elevated 1.44 (smart money not capitulating, retail still stubbornly long); large account L/S ratio held firm at 3.42 despite crash — classic stealth accumulation zone; final 1.41% bounce on 61.5K volume (65% buy pressure) + OI rebound stall reversal signal; no negative funding, low volatility — perfect long squeeze setup. 🎯 Take Profit: 0.0378 🛡️ Stop Loss: 0.0352 📊 Confidence: 82.0% #BANK {future}(BANKUSDT)
$BANK 🚨 Price Surge, Market Analysis & Action:
📌 Action: BUY
✨ Reason: Price dumped 12% from 0.0382 to 0.03548 with massive OI contraction (-2.6% from peak), confirming leveraged long liquidation cascade; global long/short ratio stuck at elevated 1.44 (smart money not capitulating, retail still stubbornly long); large account L/S ratio held firm at 3.42 despite crash — classic stealth accumulation zone; final 1.41% bounce on 61.5K volume (65% buy pressure) + OI rebound stall reversal signal; no negative funding, low volatility — perfect long squeeze setup.
🎯 Take Profit: 0.0378
🛡️ Stop Loss: 0.0352
📊 Confidence: 82.0%
#BANK
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$D 🚨 Price Surge, Market Analysis & Action: 📌 Action: BUY ✨ Reason: Price spiked +6.62% on massive volume (217K) and OI surged +1.6% — classic breakout liquidity grab;大户多空比从1.70→1.56 confirms smart money rotating long *after* squeeze, while 全网多空比 dropped from 1.31→1.24 showing retail lagging & still underleveraged; OI now rising *with* price — no exhaustion, strong accumulation. No long wick, clean bullish engulfing into new high — trigger pulled. 🎯 Take Profit: 0.00825 🛡️ Stop Loss: 0.00752 📊 Confidence: 87.0% #D
$D 🚨 Price Surge, Market Analysis & Action:
📌 Action: BUY
✨ Reason: Price spiked +6.62% on massive volume (217K) and OI surged +1.6% — classic breakout liquidity grab;大户多空比从1.70→1.56 confirms smart money rotating long *after* squeeze, while 全网多空比 dropped from 1.31→1.24 showing retail lagging & still underleveraged; OI now rising *with* price — no exhaustion, strong accumulation. No long wick, clean bullish engulfing into new high — trigger pulled.
🎯 Take Profit: 0.00825
🛡️ Stop Loss: 0.00752
📊 Confidence: 87.0%
#D
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$SWARMS 🚨 Price Surge, Market Analysis & Action: 📌 Action: BUY ✨ Reason: Global long/short ratio stuck at extreme 2.42–2.68 (>>2.0) → retail over-leveraged longs; price dumped 22% from 0.0078 to 0.00678 while OI dropped 12% — classic long squeeze + liquidity sweep below prior swing low; last 3 candles show strong bullish reversal: 0.007087 breakout on 82% buy volume + rising large-account L/S ratio (1.41) amid falling global ratio (2.42) → smart money accumulating while weak hands capitulate; OI now flatlining near support with shrinking delta — perfect setup for short-covering rally. 🎯 Take Profit: 0.00765 🛡️ Stop Loss: 0.00682 📊 Confidence: 87.0% #SWARMS {future}(SWARMSUSDT)
$SWARMS 🚨 Price Surge, Market Analysis & Action:
📌 Action: BUY
✨ Reason: Global long/short ratio stuck at extreme 2.42–2.68 (>>2.0) → retail over-leveraged longs; price dumped 22% from 0.0078 to 0.00678 while OI dropped 12% — classic long squeeze + liquidity sweep below prior swing low; last 3 candles show strong bullish reversal: 0.007087 breakout on 82% buy volume + rising large-account L/S ratio (1.41) amid falling global ratio (2.42) → smart money accumulating while weak hands capitulate; OI now flatlining near support with shrinking delta — perfect setup for short-covering rally.
🎯 Take Profit: 0.00765
🛡️ Stop Loss: 0.00682
📊 Confidence: 87.0%
#SWARMS
$TAKE 🚨 Augmentation des prix, Analyse du marché & Action: 📌 Action: ACHETER ✨ Raison: Le prix a atteint un creux à 0.01634 (28/02 16:00) avec une extrême exhaustion des baissiers: OI a chuté de 1.24% en plein dump de -2.95%, puis a augmenté de +1.46% lors d'un rallye de +2.61% — capitulation classique + accumulation discrète. Le ratio long/court mondial est stable à 1.03–1.05 (pas de frénésie de détail), tandis que le ratio L/S des grands comptes est resté ferme à 1.43–1.44 (l'argent intelligent ne tourne pas). Critique: la bougie de rupture à 0.01688 a fermé au-dessus de la ligne de tendance descendante & du pool de liquidité des précédents creux; le pic de volume + l'expansion de l'OI confirment la ré-entrée institutionnelle. Pas de financement négatif — pas de risque de squeeze. 🎯 Prendre Profit: 0.0185 🛡️ Stop Loss: 0.0161 📊 Confiance: 82.0% #TAKE {future}(TAKEUSDT)
$TAKE 🚨 Augmentation des prix, Analyse du marché & Action:
📌 Action: ACHETER
✨ Raison: Le prix a atteint un creux à 0.01634 (28/02 16:00) avec une extrême exhaustion des baissiers: OI a chuté de 1.24% en plein dump de -2.95%, puis a augmenté de +1.46% lors d'un rallye de +2.61% — capitulation classique + accumulation discrète. Le ratio long/court mondial est stable à 1.03–1.05 (pas de frénésie de détail), tandis que le ratio L/S des grands comptes est resté ferme à 1.43–1.44 (l'argent intelligent ne tourne pas). Critique: la bougie de rupture à 0.01688 a fermé au-dessus de la ligne de tendance descendante & du pool de liquidité des précédents creux; le pic de volume + l'expansion de l'OI confirment la ré-entrée institutionnelle. Pas de financement négatif — pas de risque de squeeze.
🎯 Prendre Profit: 0.0185
🛡️ Stop Loss: 0.0161
📊 Confiance: 82.0%
#TAKE
Voir la traduction
$ARPA 🚨 Price Surge, Market Analysis & Action: 📌 Action: BUY ✨ Reason: Price dumped -3.27% to 0.00917 with massive volume (177.6K) and OI drop (-1.33%) — classic liquidity grab & stop-hunt below prior swing low;大户多空比 collapsed from 1.42 → 1.37 while全网多空比 held steady at ~1.12 (no panic long squeeze); now rebounding on strong buy pressure (55% buy ratio, 216.8K vol at 0.00922) + OI stabilizing (1.5M, -0.58%) — confirms smart money accumulation. No overextended multi-long signal (global ratio far from >2.0), and large-account ratio bottomed with bullish divergence (price lower low, large-ratio decline slowing). Setup: long from 0.00915–0.00920 zone targeting liquidity above 0.0097. 🎯 Take Profit: 0.00972 🛡️ Stop Loss: 0.00908 📊 Confidence: 82.0% #ARPA {future}(ARPAUSDT)
$ARPA 🚨 Price Surge, Market Analysis & Action:
📌 Action: BUY
✨ Reason: Price dumped -3.27% to 0.00917 with massive volume (177.6K) and OI drop (-1.33%) — classic liquidity grab & stop-hunt below prior swing low;大户多空比 collapsed from 1.42 → 1.37 while全网多空比 held steady at ~1.12 (no panic long squeeze); now rebounding on strong buy pressure (55% buy ratio, 216.8K vol at 0.00922) + OI stabilizing (1.5M, -0.58%) — confirms smart money accumulation. No overextended multi-long signal (global ratio far from >2.0), and large-account ratio bottomed with bullish divergence (price lower low, large-ratio decline slowing). Setup: long from 0.00915–0.00920 zone targeting liquidity above 0.0097.
🎯 Take Profit: 0.00972
🛡️ Stop Loss: 0.00908
📊 Confidence: 82.0%
#ARPA
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$AKE 🚨 Price Surge, Market Analysis & Action: 📌 Action: BUY ✨ Reason: Price crashed -8.5% with massive volume (603K) and OI dump (-10.75%) → liquidity sweep + long squeeze. Global long/short ratio spiked to 2.09 (>2.0) → retail over-leveraged longs liquidated. Large account ratio dropped only mildly (1.58→1.52), showing smart money held position while dumping weak hands. OI rebounded +1.68% on recovery candle with strong buy pressure (68% bid dominance). Now consolidating above critical support (0.000227–0.000230), setup for short-covering rally + mean-reversion trade. 🎯 Take Profit: 0.000265 🛡️ Stop Loss: 0.000222 📊 Confidence: 87.0% #AKE {future}(AKEUSDT)
$AKE 🚨 Price Surge, Market Analysis & Action:
📌 Action: BUY
✨ Reason: Price crashed -8.5% with massive volume (603K) and OI dump (-10.75%) → liquidity sweep + long squeeze. Global long/short ratio spiked to 2.09 (>2.0) → retail over-leveraged longs liquidated. Large account ratio dropped only mildly (1.58→1.52), showing smart money held position while dumping weak hands. OI rebounded +1.68% on recovery candle with strong buy pressure (68% bid dominance). Now consolidating above critical support (0.000227–0.000230), setup for short-covering rally + mean-reversion trade.
🎯 Take Profit: 0.000265
🛡️ Stop Loss: 0.000222
📊 Confidence: 87.0%
#AKE
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$NOM 🚨 Price Surge, Market Analysis & Action: 📌 Action: BUY ✨ Reason: Full squeeze setup: Global long/short ratio stuck at extreme low (0.46–0.52) → retail capitulation & short-side liquidity pool primed. Large account L/S ratio rising steadily (1.36→1.39) while price dumped to 0.003484 then spiked +4.29% on 71% buy volume & OI drop → classic short-covering ignition. Price rebounded off strong demand zone with bullish engulfing + volume surge, and OI contraction confirms short liquidation — not new long buildup yet, so asymmetric risk/reward favors long entry before next pump leg. 🎯 Take Profit: 0.00382 🛡️ Stop Loss: 0.00345 📊 Confidence: 87.0% #NOM {future}(NOMUSDT)
$NOM 🚨 Price Surge, Market Analysis & Action:
📌 Action: BUY
✨ Reason: Full squeeze setup: Global long/short ratio stuck at extreme low (0.46–0.52) → retail capitulation & short-side liquidity pool primed. Large account L/S ratio rising steadily (1.36→1.39) while price dumped to 0.003484 then spiked +4.29% on 71% buy volume & OI drop → classic short-covering ignition. Price rebounded off strong demand zone with bullish engulfing + volume surge, and OI contraction confirms short liquidation — not new long buildup yet, so asymmetric risk/reward favors long entry before next pump leg.
🎯 Take Profit: 0.00382
🛡️ Stop Loss: 0.00345
📊 Confidence: 87.0%
#NOM
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$USELESS 🚨 Price Surge, Market Analysis & Action: 📌 Action: BUY ✨ Reason: Price dumped to 0.03626 (15:15) with OI rebound (+0.71%) amid rising Global L/S ratio (0.82 → 0.84), signaling retail capitulation & short squeeze setup; large accounts hold steady long bias (L/S 1.67→1.65, minor dip but no panic), while OI contraction (-1.00% at 15:30) confirms short cover + liquidity grab below 0.0365; bullish engulfing + volume surge (185K, 63% buy) at 0.0375 is classic trap reversal — smart money accumulates post-hunt. 🎯 Take Profit: 0.0405 🛡️ Stop Loss: 0.0358 📊 Confidence: 87.0% #USELESS {future}(USELESSUSDT)
$USELESS 🚨 Price Surge, Market Analysis & Action:
📌 Action: BUY
✨ Reason: Price dumped to 0.03626 (15:15) with OI rebound (+0.71%) amid rising Global L/S ratio (0.82 → 0.84), signaling retail capitulation & short squeeze setup; large accounts hold steady long bias (L/S 1.67→1.65, minor dip but no panic), while OI contraction (-1.00% at 15:30) confirms short cover + liquidity grab below 0.0365; bullish engulfing + volume surge (185K, 63% buy) at 0.0375 is classic trap reversal — smart money accumulates post-hunt.
🎯 Take Profit: 0.0405
🛡️ Stop Loss: 0.0358
📊 Confidence: 87.0%
#USELESS
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$RAVE 🚨 Price Surge, Market Analysis & Action: 📌 Action: BUY ✨ Reason: Price dumped 2.76% to 0.32014 with OI collapsing -6.3% and global long/short ratio dropping to 0.90 — classic retail capitulation & liquidity sweep below prior swing low. Large account L/S ratio held firm at 1.28→1.25 (no panic), then rebounded to 1.27 on bounce — confirms smart money accumulation. Bullish divergence: price made new low but大户多空比 didn’t break down; OI contraction bottomed then stabilized while price rallied +3.31% on strong 59% buy volume. Long squeeze setup brewing as global ratio remains sub-0.9 — imminent short-covering catalyst. 🎯 Take Profit: 0.3585 🛡️ Stop Loss: 0.317 📊 Confidence: 87.0% #RAVE {future}(RAVEUSDT)
$RAVE 🚨 Price Surge, Market Analysis & Action:
📌 Action: BUY
✨ Reason: Price dumped 2.76% to 0.32014 with OI collapsing -6.3% and global long/short ratio dropping to 0.90 — classic retail capitulation & liquidity sweep below prior swing low. Large account L/S ratio held firm at 1.28→1.25 (no panic), then rebounded to 1.27 on bounce — confirms smart money accumulation. Bullish divergence: price made new low but大户多空比 didn’t break down; OI contraction bottomed then stabilized while price rallied +3.31% on strong 59% buy volume. Long squeeze setup brewing as global ratio remains sub-0.9 — imminent short-covering catalyst.
🎯 Take Profit: 0.3585
🛡️ Stop Loss: 0.317
📊 Confidence: 87.0%
#RAVE
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