Short sellers were squeezed as SQD pushed above the $0.065 resistance zone with steady buying pressure. The move triggered clustered short stop losses, forcing fast covers and lifting price cleanly through the level. Buyers absorbed liquidity and kept control after the breakout.
Entry (EP): $0.06440
Take Profit (TP): $0.07020
Stop Loss (SL): $0.06210
Market Outlook: $SQD is showing short-term bullish continuation after clearing this liquidation pocket. As long as price holds above the breakout level, further upside toward higher resistance remains likely. Volatility is active trade patiently and manage risk with strict discipline.
Short sellers were squeezed as DOLO pushed above the $0.0439 resistance zone with firm buying continuation. The move ran through a dense short cluster, triggering stop losses and forcing rapid covers. Price acceptance above the level shows buyers absorbed liquidity and kept control.
Entry (EP): $0.04340
Take Profit (TP): $0.04780
Stop Loss (SL): $0.04190
Market Outlook: $DOLO is showing short-term bullish momentum after clearing this liquidation pocket. As long as price holds above the breakout area, continuation toward higher resistance remains likely. Volatility is active trade patiently and manage risk with strict discipline.
I venditori allo scoperto sono stati schiacciati mentre LINK ha superato nettamente la zona di resistenza di $12.31 con una forte continuazione degli acquisti. Il movimento ha incontrato un pesante cluster di short, attivando stop loss e costringendo coperture rapide. Il prezzo è rimasto sopra il livello, mostrando che gli acquirenti hanno assorbito liquidità e sono rimasti in controllo.
Entrata (EP): $12.26
Prendi Profitto (TP): $13.10
Stop Loss (SL): $11.88
Prospettiva di Mercato: $LINK sta mostrando un slancio rialzista a breve termine dopo aver superato questa tasca di liquidazione. Finché il prezzo rimane sopra il livello di breakout, è probabile che ci sia un ulteriore aumento verso resistenze più elevate. La volatilità è attiva, commercia pazientemente e gestisci il rischio con disciplina rigorosa.
Long positions were taken out as CRV failed to hold above the $0.395 support zone. The breakdown triggered nearby stop losses, forcing longs to exit and pushing price lower with steady selling pressure. Bears maintained control through the move, showing weakness at this level.
Entry (EP): $0.397
Take Profit (TP): $0.382
Stop Loss (SL): $0.404
Market Outlook: $CRV is showing short-term bearish structure after losing this support area. As long as price remains below the liquidation level, further downside or consolidation is likely. A bullish reversal would require a strong reclaim above resistance. Volatility remains active manage risk carefully and trade with discipline
Short sellers were aggressively squeezed as DOT broke above the $1.84 resistance zone with strong buying continuation. The move ran through a heavy cluster of short stops, forcing rapid covers and accelerating price higher. Liquidity was taken cleanly, confirming buyers were firmly in control at this level.
Entry (EP): $1.825
Take Profit (TP): $1.98
Stop Loss (SL): $1.76
Market Outlook: $DOT is showing clear short-term bullish momentum after clearing this major liquidation pocket. As long as price holds above the breakout zone, continuation toward higher resistance remains likely. Volatility is elevated stay patient, follow structure, and manage risk with strict discipline.
Long traders were flushed as 1000PEPE failed to hold the $0.0041 support zone. The breakdown triggered tight stop losses below the level, forcing longs to exit and accelerating the move lower. Selling pressure stayed steady, showing bears had clear control during this drop.
Entry (EP): $0.00412
Take Profit (TP): $0.00385
Stop Loss (SL): $0.00428
Market Outlook: $1000PEPE is showing short-term bearish structure after losing this key support. As long as price remains below the liquidation level, further downside or sideways consolidation is likely. Any recovery would require a strong reclaim above resistance manage risk carefully as volatility remains elevated.
Le posizioni long sono state costrette a uscire mentre DYDX non riusciva a mantenere la zona di supporto di $0.171. Il rifiuto ha attivato le stop loss vicine, accelerando il ribasso mentre i long uscivano sotto pressione. Le vendite sono rimaste controllate ma persistenti, confermando la dominanza ribassista a questo livello.
Entrata (EP): $0.1718
Prendi Profitto (TP): $0.1642
Stop Loss (SL): $0.1761
Prospettive di Mercato: $DYDX mostra una struttura ribassista a breve termine dopo aver perso questo supporto. Finché il prezzo rimane al di sotto del livello di liquidazione, è probabile un ulteriore ribasso o consolidamento. Qualsiasi cambiamento rialzista richiederebbe un forte recupero al di sopra della resistenza. La volatilità rimane attiva, gestisci il rischio con attenzione e fai trading con disciplina.
Short sellers were squeezed as NTRN pushed back above the $0.029 area with strong follow-through buying. The move ran into a dense short zone, triggering stop losses and forcing rapid covers. Price reclaimed the level cleanly, showing buyers stepped in with control and absorbed liquidity efficiently.
Entry (EP): $0.02890
Take Profit (TP): $0.03240
Stop Loss (SL): $0.02780
Market Outlook: $NTRN is showing short-term bullish reversal momentum after reclaiming this liquidation level. As long as price holds above the breakout zone, continuation toward higher resistance remains likely. Volatility is active stay patient and manage risk with strict discipline.
Short sellers were caught again as ZEC pushed through the $520 area with firm buying pressure. The move swept remaining short liquidity around this level, triggering stop losses and forcing quick covers. Price acceptance above the zone shows buyers stayed in control and demand remained strong.
Entry (EP): $518.60
Take Profit (TP): $534.80
Stop Loss (SL): $510.90
Market Outlook: $ZEC continues to show short-term bullish strength with repeated short liquidations above key levels. As long as price holds above the breakout zone, further upside toward higher resistance remains likely. Volatility is elevated trade patiently and manage risk with strict discipline.
Short sellers were forced to cover as TON pushed firmly above the $1.61 resistance zone with strong buying continuation. The breakout swept through a dense cluster of short positions, triggering stop losses and accelerating the upside move. Liquidity was taken cleanly, confirming buyers had clear control at this level.
Entry (EP): $1.6040
Take Profit (TP): $1.6850
Stop Loss (SL): $1.5650
Market Outlook: $TON is showing short-term bullish momentum after clearing this short liquidation pocket. As long as price holds above the breakout level, further upside continuation toward higher resistance remains likely. Volatility is active trade patiently and manage risk with strict discipline.
Short sellers were squeezed as CC pushed above the $0.1107 resistance zone with steady buying pressure. The move ran through nearby short stops, forcing quick covers and lifting price cleanly. Buyers absorbed liquidity and maintained control through the breakout.
Entry (EP): $0.11010
Take Profit (TP): $0.11680
Stop Loss (SL): $0.10720
Market Outlook: $CC is showing short-term bullish momentum after clearing this liquidation pocket. As long as price holds above the breakout level, continuation toward higher resistance remains likely. Volatility is active trade patiently and manage risk with strict discipline.
Long traders were flushed as ARC failed to hold the $0.0457 support area. The breakdown triggered a cluster of stop losses below the level, forcing longs to exit and accelerating the downside move. Selling pressure stayed steady, confirming bears were in control through this drop.
Entry (EP): $0.04610
Take Profit (TP): $0.04280
Stop Loss (SL): $0.04760
Market Outlook: $ARC is showing short-term bearish structure after losing this key support. As long as price remains below the liquidation level, further downside or consolidation is likely. A bullish shift would require a strong reclaim above resistance trade cautiously and manage risk with discipline.
Long positions were wiped as MEME failed to hold the $0.001 support level. The breakdown triggered tight stop losses below the zone, forcing longs to exit quickly and accelerating the move lower. Selling pressure stayed consistent, showing bears had control during this drop.
Entry (EP): $0.00101
Take Profit (TP): $0.00094
Stop Loss (SL): $0.00105
Market Outlook: $MEME is showing short-term bearish structure after losing this key psychological level. As long as price remains below the liquidation zone, further downside or sideways consolidation is likely. Any bounce would need a strong reclaim above resistance manage risk carefully as volatility remains high.
Short sellers were squeezed as ZEC reclaimed the $518 zone with strong buying momentum. The push ran through a heavy short cluster, triggering stop losses and forcing rapid covers. Liquidity was taken cleanly, showing buyers stepped in with clear control at this level.
Entry (EP): $516.90
Take Profit (TP): $532.00
Stop Loss (SL): $509.80
Market Outlook: $ZEC is showing renewed short-term bullish strength after clearing this liquidation pocket. As long as price holds above the breakout area, continuation toward higher resistance remains likely. Volatility is active trade patiently and manage risk with strict discipline.
I trader long sono stati sorpresi poiché PIEVERSE non è riuscito a mantenersi sopra la zona di supporto di $0.491. Il crollo ha attivato stop loss accumulati al di sotto del livello, costringendo i long a uscire e accelerando il movimento verso il basso. La pressione di vendita è rimasta costante, mostrando che gli orsi erano al comando durante questa spinta.
Entrata (EP): $0.49240
Prendi Profitto (TP): $0.46850
Stop Loss (SL): $0.50320
Prospettiva di Mercato: $PIEVERSE mostra una struttura ribassista a breve termine dopo aver perso questo supporto chiave. Finché il prezzo rimane al di sotto del livello di liquidazione, è probabile un ulteriore ribasso o una consolidazione. Qualsiasi inversione rialzista richiederebbe un forte recupero sopra la resistenza, gestire i rischi con attenzione poiché la volatilità rimane elevata.
I venditori allo scoperto sono stati costretti a uscire mentre LYN superava nettamente la zona di resistenza di $0.134 con una forte continuazione degli acquisti. Il movimento ha spazzato via un denso gruppo di stop corti, innescando coperture rapide e accelerando il rialzo. La liquidità è stata assorbita in modo efficiente, confermando che gli acquirenti avevano il controllo a questo livello.
Entrata (EP): $0.13360
Prendi Profitto (TP): $0.14580
Stop Loss (SL): $0.12990
Prospettiva di Mercato: $LYN mostra un momento rialzista a breve termine dopo aver superato questa tasca di liquidazione. Finché il prezzo rimane sopra il livello di breakout, è probabile una continuazione verso resistenze più alte. La volatilità è attiva, rimani paziente e gestisci il rischio con disciplina rigorosa.
Short sellers were squeezed as BEAT pushed above the $2.17 resistance zone with steady buying pressure. The breakout ran through clustered short stops, forcing quick covers and extending the move higher. Price held above the level, showing buyers absorbed liquidity and kept control.
Entry (EP): $2.1580
Take Profit (TP): $2.2950
Stop Loss (SL): $2.0950
Market Outlook: $BEAT is showing short-term bullish continuation after clearing this liquidation pocket. As long as price holds above the breakout level, further upside toward higher resistance remains likely. Volatility is active trade patiently and manage risk with strict discipline.
Short sellers were squeezed as DASH broke above the $45.30 resistance zone with strong follow-through buying. The push ran into a cluster of short stops, forcing quick covers and driving price higher. Liquidity was taken cleanly, showing buyers had clear control through this level.
Entry (EP): $45.05
Take Profit (TP): $47.80
Stop Loss (SL): $44.10
Market Outlook: $DASH is showing short-term bullish momentum after clearing this liquidation pocket. As long as price holds above the breakout level, further upside toward higher resistance remains likely. Volatility is active stay patient and manage risk with strict discipline.
Le posizioni long sono state liquidate poiché STBL non è riuscito a mantenere la zona di supporto a $0.049. Il crollo ha attivato stop loss vicini, costringendo i long a uscire e accelerando il movimento al ribasso. La pressione di vendita è rimasta costante, dimostrando che i ribassisti avevano il controllo durante questa spinta verso il basso.
Ingresso (EP): $0.04960
Prendi Profitto (TP): $0.04680
Stop Loss (SL): $0.05090
Prospettiva di Mercato: $STBL sta mostrando una struttura ribassista a breve termine dopo aver perso questo supporto chiave. Finché il prezzo rimane al di sotto del livello di liquidazione, è probabile un ulteriore ribasso o consolidamento. Qualsiasi recupero richiederebbe un forte recupero sopra la resistenza gestire il rischio con attenzione poiché la volatilità rimane elevata.
Short sellers were squeezed as STABLE pushed above the $0.0138 resistance zone with steady buying pressure. The move triggered clustered short stop losses, forcing rapid covers and lifting price cleanly through the level. Liquidity was taken efficiently, confirming buyers had control during this push.
Entry (EP): $0.01370
Take Profit (TP): $0.01520
Stop Loss (SL): $0.01310
Market Outlook: $STABLE is showing short-term bullish momentum after clearing this liquidation pocket. As long as price holds above the breakout level, further upside continuation toward higher resistance remains likely. Volatility is active trade patiently and manage risk with strict discipline.