DASH remains heavy after a sharp 24H selloff, with regulatory fears and aggressive supply keeping price pinned near lows. Structure favors continuation unless support reclaims.
Market Structure Price has printed consecutive lower highs and lower lows, confirming a clear downside trend. Every bounce is getting sold into, showing distribution rather than recovery. The recent flush toward 41.2 marked fresh lows, with only weak relief buying so far.
Key Levels • Resistance: 48.5 – 50.0 (prior breakdown zone) • Major Resistance: 56+ supply area • Support: 41.2 current floor • Loss of 41 → opens air pocket lower
Volume & Flow • Persistent sell-side pressure • Large short positions taking profits into weakness • Net capital outflows dominating • Intermittent dip buying, but not strong enough to flip control
Context India’s privacy coin ban adds uncertainty and delisting risk, keeping traders defensive. Sentiment split, but flows still favor sellers.
Outlook Bias stays bearish while below 50. Relief rallies likely fade unless strong demand steps in. Only a reclaim of broken structure shifts momentum.
🚨#Pi Network: Why THESE supply zones keep PI bulls in check Pi Network [PI] has rallied 2.03% in 24 hours, with a commensurate increase in daily trading volume to start the weekend. The team also released a technical update, allowing millions of their users, called “Pioneers”, to complete the mainnet migration.
The post also noted that Pi Network was testing palm print authentication as a beta feature. The Validator Rewards distribution was progressing as per the timeline released in December 2025 These developments did little to affect PI positively. An AMBCrypto report from November highlighted that the token faced bearish pressure. To this day, sellers continue to dominate the higher timeframes.
The CMF was at -0.06, and has not climbed above +0.05 since early December. This showed that selling pressure has been predominant, and sizable capital flow out of the PI market was the norm.
The MACD formed a bearish crossover nearly two weeks ago on this timeframe, signaling another bearish impulse move. As things stand, the momentum remains firmly bearish.
Using the drop from $0.216 to $0.150 in January, a set of Fibonacci retracement levels was plotted. They showed that there was a chance of a price bounce toward $0.19-$0.20, where the 61.8% and 78.6% Fibonacci retracement levels were.
⚡Final Thoughts
Pi bounced to the $0.17 supply zone on Friday and the early hours of Saturday before witnessing a rejection. The higher timeframe bias remained firmly biased, and a price bounce toward $0.20 would likely be sold off.
$UAI ⚡ UAIUSDT Smart money loading shorts while the range looks “safe”
Retail sees consolidation. Order flow says distribution. Price keeps stalling near range highs, and sellers are stepping in early — positioning for a sweep back to the lows.
🛑💥PAXGUSDT: Bears Control Structure as Gold Volatility Pressures Price
PAXG remains under pressure after a sharp rejection from highs, with sellers dominating flows and price structure tilting bearish in the short term.
Market Structure Price formed a clear lower-high near 5,650 followed by aggressive downside continuation. The breakdown below 5,100 flipped structure bearish and triggered a cascade move toward 4,750. Current action shows weak bounces, signaling distribution rather than accumulation.
Key Levels • Resistance: 5,000 – 5,100 (breakdown zone) • Major Resistance: 5,300 – 5,500 supply • Support: 4,750 local low • Next Support: 4,700 → 4,650 if sell pressure continues
Volume & Flow • Heavy sell-side activity on the drop • ~17M USDT net outflows showing capital rotation away • Declining participation on bounces = weak demand • Order book skewed but lacks aggressive buyers
Context Despite long-term gold demand from central banks, short-term sentiment stays cautious. Community remains risk-off, and volatility in gold markets is keeping traders defensive.
Outlook Bias stays bearish below 5,100. Relief rallies likely sold into unless strong inflows return. Break of 4,750 opens room for another leg lower.
CZ Reveals to teach about Crypto what's on your mind !! which is the "Safest Asstet" in the world ? Gold, Crypto, Real-estate, Shares, Bonds $BNB #MarketCorrection
🔻TIA Sub Presiune: Cumpărătorii Se Retrag Pe Măsură Ce Prețul Scade
#TIA /USDT se confruntă cu o puternică presiune descendentă pe măsură ce prețul continuă să scadă.
Preț Curent: ~$0.369
Maxim 24H: ~$0.418
Minim 24H: ~$0.367
Schimbare 24H: ~-6% până la -9%
Prețul a scăzut brusc din zona de $0.47–$0.45, rupând mai multe suporturi pe termen scurt și imprimând noi minime aproape de $0.36. Momentumul de vânzare rămâne dominant, cu un răspuns limitat din partea cumpărătorilor la nivelurile actuale.
⚠️ Observație Cheie: Atâta timp cât TIA rămâne sub $0.40, riscul descendent rămâne ridicat. Cumpărătorii au nevoie de o menținere puternică deasupra $0.36 pentru a evita o slăbire suplimentară.
📌 Previziune: Sentimentul pe termen scurt rămâne precaut. O revenire este posibilă de la nivelurile actuale, dar este nevoie de o confirmare înainte de a aștepta o recuperare susținută. $TIA #CryptoNewss
$RIVER 👀🛑 RIVER sell-off deepens – Will prices dip further as liquidity drains? River had previously occupied the bullish side of the market, supported by an extended period of strong capital inflows.
However, recent data shows that nearly half of its earlier 200% rally has been erased, reinforcing the impact of the latest sell-off.
Beyond profit-taking, more specific catalysts appear to be driving this decline, as market sentiment and consensus shift decisively to the downside.
Investor positioning around RIVER has turned clearly bearish, based on reactions captured by the CoinMarketCap Community Sentiment data.
Community Sentiment measures the prevailing outlook among traders and often mirrors broader investor conviction around an asset. In RIVER’s case, sentiment has fallen sharply.
At press time, RIVER’s Community Sentiment stood at roughly 32%, one of its lowest readings to date. This bearish tilt has built steadily over the past four days, down from a recent high of 56%.
Final Thoughts RIVER’s bullish sentiment has dropped to 32% as top traders appear to exit positions. Capital flight, rising bearish dominance, and technical indicators all point to a continued downtrend. #RIVER #MarketCorrection
Everyone’s focused on the breakout… but ARCUSDT is quietly building a short trap. Here is the short Trade setup , Trade Plan: Entry: 0.041318 – 0.041911 SL: 0.043093 TP1: 0.039500 TP2: 0.038114 TP3: 0.035956
4H setup is ARMED for a SHORT. RSI is neutral at 49.87, showing no bullish momentum to fight the move. Price is in a 1D range, offering a clean rejection from the top. Key level to watch is the entry zone around 0.0415. Debate: Is this the start of the range breakdown, or will it fake us out first?
Gold has seen a sharp sell-off followed by tight consolidation near the lows, hinting at seller exhaustion. Price is holding above the panic wick zone (~4740) and forming a base on the 1H chart. This structure often precedes a relief bounce if buyers step in.
📊 Technical Snapshot
Strong rejection from the lows → downside momentum slowing
Sideways price action = accumulation zone
Mean reversion play toward previous supply levels
🧾 Trade Setup
Entry: 4890 – 4920
Stop Loss: 4840
Target 1: 5045
Target 2: 5115
💡 Bias: Intraday to short-term bullish recovery ⚠️ Note: Best taken with confirmation near entry zone; manage risk strictly. $XAU #XAUUSDT #GoldTrade #ForexSetup #BinancePerp #PriceAction
$PEPE 🔻🐋 Pepe Decoding impact of $3M whale dump on memecoin’s price
Pepe has traded within a descending channel since it faced rejection at $0.00000688 two weeks ago.
Excerbitated by the recent market crash, the memecoin dropped to a low of $0.0000044. At the time of writing, PEPE traded at $0.000004541, down 5.56%, extending its week-long downtrend.
Whale dumps $3.88M worth of PEPE With PEPE under intense bearish pressure, a long-term whale returned to the market and cashed out. After holding 1.7 trillion PEPE tokens since October, a whale offloaded 858 billion tokens worth $3.88 million.
This whale started accumulating PEPE in 2023 and has not made any sales. Even after this sale, the whale still holds 842 billion tokens, valued at $3.82 million, according to Arkham data.
Is the memecoin on the verge of more losses? As the market crashed, PEPE whales panicked and sold, further exacerbating the downside pressure. For that reason, PEPE’s Stochastic RSI made a bearish crossover and dropped to 13.5, at press time, further falling deeper into oversold territory.
As these momentum indicators continued to slip, they suggested intense downward momentum and a high likelihood of its persistence.
Therefore, if sellers, especially whales, continue to dominate the market, PEPE is likely to incur further losses and decline to $0.0000043.
Final Thoughts Pepe dropped to a low of $0.0000044, then rebounded slightly to $0.0000045 following the market crash. A PEPE whale offloaded 858 billion tokens worth $3.88 million
Prețul continuă să tranzacționeze sub rezistența cheie, cu maxime mai joase formându-se pe structura de 1H–4H, semnalizând un moment bullish slab. Retragerile recente sunt vândute, sugerând că vânzătorii rămân în control.
Plan de Tranzacționare
Intrare: 0.008721 – 0.008793
SL: 0.008973
TP1: 0.008541
TP2: 0.008469
TP3: 0.008325
Tendința rămâne bearish atâta timp cât prețul rămâne sub 0.0090. Gestionează riscul și urmărește după TP1.
#AVAX #AVAXUSDT🚀 Avalanche RWA TVL hits $1.3B – Is AVAX next to rally? Avalanche’s [AVAX] RWA TVL reached $1.3 billion, at press time, reflecting years of steady infrastructure-led growth.
AVAX benefited from its subnet architecture, which improved performance by isolating workloads, lowering latency, and scaling throughput without congestion. Avalanche’s position in the emerging on-chain RWA market Avalanche positions itself ahead of rival chains by optimizing for institutional durability, not retail speculation.
Its subnet and Evergreen framework allow for private chains that follow rules and regulations, making them a good fit for traditional finance RWAs.
Performance reinforces this edge. Avalanche delivers sub-second finality, high TPS, EVM compatibility, and consistently low fees, reducing operational risk at scale. Stablecoin growth reflects institutional settlement demand Avalanche’s stablecoin dynamics increasingly reflect institutional usage rather than speculative rotation.
Total supply ranges between $1.63 billion and $2.19 billion, yet both estimates confirm meaningful scale.
USDT dominates with roughly $796 million–$1.52 billion, accounting for 49–55% of the market share.
Final Thoughts Avalanche is compounding institutional credibility, with RWAs, stablecoins, and transaction activity reinforcing a shift toward regulated, high-value on-chain settlement rather than speculative flow.
Infrastructure strength, not fee extraction, underpins its lead, as subnets, compliance alignment, and performance convert capital inflows into durable usage across RWAs, payments, and enterprise activity. $AVAX
#NEAR Analiza 🔍 $NEAR la Suport Cheie — Inovație Puternică, Structură Încă Slabă
Protocolul NEAR se tranzacționează în prezent aproape de 1,32 USD, după o vânzare constantă din regiunea de peste 1,50 USD. Deși fundamentalele proiectului rămân convingătoare, acțiunea prețului continuă să reflecte slăbiciune pe termen scurt și participare prudentă pe piață.
Structura Pieței📊 NEAR rămâne într-o tendință descendentă clară pe termen scurt, imprimând maxime și minime mai joase pe intervalul de timp intraday. Mișcarea recentă în zona 1,28–1,32 USD sugerează că vânzătorii își pierd momentumul, dar nu există încă o inversare a tendinței confirmată. Prețul încearcă să se stabilizeze după o mișcare impulsivă descendentă, indicând consolidare mai degrabă decât forță.
Niveluri Cheie⚡
Suport Imediat: 1,28–1,30 USD (minimul recent și zona de cerere)
Suport Major: 1,18–1,26 USD (interval istoric de acumulare)
Rezistență: 1,46 USD, apoi 1,54–1,60 USD (niveluri precedente de scădere)
O menținere susținută peste 1,30 USD este esențială pentru a preveni continuarea spre suporturi mai joase.
Analiza Volumului Presiunea de vânzare a fost însoțită de un volum ridicat în timpul căderii, validând mișcarea bearish. Luminile recente arată un volum în scădere, semnalând o agresiune de vânzare redusă și o posibilă pauză în tendință. Totuși, cumpărătorii nu au arătat încă o convingere puternică.
Concluzia Traderului📈 NEAR este structural bearish, dar se apropie de o zonă critică de suport. Aceasta este o piață în care așteptăm confirmarea — fie o reacție puternică de cerere pentru setările de inversare, fie o continuare a scăderii dacă suportul eșuează. Managementul riscurilor este esențial la aceste niveluri.
Cum pot transforma capitalul meu de 2 cifre în 4 cifre Ca acestea ....🚀 cu analiză adecvată & management al riscurilor $ARPA 753% $THE 1988% $AIA 1600%
#INITUSDT Outlook ⚡ INIT Holds Strength After Sharp Breakout — Momentum vs Pullback Zone
INIT delivered a strong upside move, gaining over 21% in the last 24 hours and confirming a short-term bullish shift in market structure. Price has broken out from its prior consolidation range and is now forming higher highs and higher lows, signaling buyers are in control for now.
Market Structure The structure has flipped bullish on the intraday timeframe, with a strong impulsive leg followed by a shallow pullback. This suggests continuation is possible, but price is currently in a decision zone after an extended move.
Key Levels📝
Resistance: 0.1120–0.1150 (recent high / supply zone)
Support: 0.1000 psychological level, followed by 0.0930–0.0950 (previous base)
A clean hold above 0.10 keeps the bullish structure intact. Loss of this level could trigger a deeper retrace.
Volume Analysis The breakout was supported by a clear volume expansion, validating the move. However, recent candles show cooling volume, hinting at short-term exhaustion and the possibility of consolidation or a pullback before the next leg.
Trader Takeaway INIT remains strong structurally, but after a fast rally, patience is key. Continuation needs acceptance above resistance, while pullbacks into support could offer better risk-managed entries.
ENSO has captured market attention with a sharp price rally, driven by renewed interest and fresh developments around the project. A newly launched high-APY staking program and a recent exchange listing have boosted visibility and participation, pushing prices higher in a short span of time.
However, with rapid gains comes increased risk. ENSO is experiencing heightened volatility, growing holder concentration, and signs of aggressive profit-taking after the surge. While the momentum is strong, the current environment suggests traders should stay alert for sudden pullbacks.
Bottom line: ENSO is in a powerful growth phase fueled by strong narrative and demand, but elevated volatility means smart risk management is essential.
Cine alimentează creșterea economică globală în 2026? #MarketCorrection Vezi vizualizări ca aceasta de la mulți alți creatori de date pe aplicația noastră Voronoi. Descarcă-o gratuit pe iOS sau Android și descoperă grafice incredibile bazate pe date dintr-o varietate de surse de încredere.
Concluzii cheie Se preconizează că creșterea PIB-ului real global va ajunge la 3,1% în 2026. China și India împreună reprezintă 43,6% din creșterea PIB-ului real global în 2026. Asia-Pacific contribuie cu aproape 60% la creșterea totală a PIB-ului global. Se așteaptă ca creșterea economică globală să rămână rezistentă în 2026, cu un PIB real proiectat să crească cu 3,1%, chiar și în condițiile în care economiile avansate încetinesc, iar piețele emergente joacă un rol mai mare.
Această vizualizare detaliază cota fiecărei țări și regiuni în creșterea PIB-ului real global în 2026, pe baza datelor prognozate de Fondul Monetar Internațional $SYN $TIA
#MarketCorrection 💥 Crypto a fost lovit cu 1,8 miliarde de dolari în lichidări – repetare în octombrie sau resetare sănătoasă? Ianuarie se încheie cu o verificare a realității pentru 2026. După opt săptămâni de fluctuații laterale, o scădere de 7% a întors abrupt sentimentul, ștergând miliarde din capitalizarea TOTAL a pieței și readucând condițiile în zona de risc.
Detaliind, în mai puțin de 48 de ore, piața cripto a pierdut aproximativ 200 de miliarde de dolari, declanșând cea mai mare cascada de lichidări a anului 2026 de până acum, totalizând aproximativ 1,8 miliarde de dolari, cu 95% din lichidări provenind din lungi.
Cu toate acestea, nu doar piața cripto simțea durerea. Întreaga piață din SUA a fost afectată, cu peste 5 trilioane de dolari șterse din metale, cripto și acțiuni, într-o situație pe care analiștii o numesc o „dată la un deceniu” schimbare.
Revenind la octombrie: După șapte săptămâni consecutive de scădere, piața totală cripto a pierdut 1 trilion de dolari în capitalizarea pieței. În aceeași perioadă, Aurul (XAU) a crescut cu 7%, terminând T4 cu o creștere de 12%, în timp ce cripto a scăzut cu 23,8%.
În timpul acelui ciclu, speculațiile privind excluderea Strategiei [MSTR] din indicele MSCI au declanșat o prăbușire rapidă condusă de cripto. Avansând spre astăzi, nu doar cripto sângerează. În schimb, întreaga piață din SUA este afectată.
În mod natural, întrebarea acum este: A fost aceasta doar o „întâmplare” sau o scădere „coordonată” concepută pentru a elimina mâinile slabe? Privind la configurația macro, curățarea pe piață nu pare a fi vânzare aleatoare. $XAU , $BTC