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ScalpingX TG Channel
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ScalpingX TG Channel

1 scalper with unconventional mindset, loves big risks with big profits. Don't ask about the leverage I use, it's always maximum!
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См. перевод
$CAP - Mcap 124.01M$ - 24h Sentiment +4.00 Bullish SC02 M1 - pending Long order. Entry contains POC + not affected by any weak zone, the current support zone is approximately 1.42% wide. The uptrend has lasted 6 hours 13 minutes, with a maximum recorded price increase of 12.12%. If price loses this support zone, the trend is highly likely to reverse downward.
$CAP - Mcap 124.01M$ - 24h Sentiment +4.00 Bullish SC02 M1 - pending Long order. Entry contains POC + not affected by any weak zone, the current support zone is approximately 1.42% wide. The uptrend has lasted 6 hours 13 minutes, with a maximum recorded price increase of 12.12%. If price loses this support zone, the trend is highly likely to reverse downward.
См. перевод
$MAGIC - Mcap 42.48M$ - 24h Sentiment +4.65 Bullish SC02 M1 - pending Long order. Entry lies within HVN + not affected by any weak zone, the current support zone is approximately 3.28% wide. The uptrend has lasted 7 hours 44 minutes, with a maximum recorded price increase of 66.03%. If price loses this support zone, the trend is highly likely to reverse downward.
$MAGIC - Mcap 42.48M$ - 24h Sentiment +4.65 Bullish SC02 M1 - pending Long order. Entry lies within HVN + not affected by any weak zone, the current support zone is approximately 3.28% wide. The uptrend has lasted 7 hours 44 minutes, with a maximum recorded price increase of 66.03%. If price loses this support zone, the trend is highly likely to reverse downward.
См. перевод
Hurricane Isaias Shuts In Nearly 72% of Gulf of Mexico Oil Production 🌀 Hurricane Isaias has strengthened to Category 3, forcing operators in the Gulf of Mexico to shut in approximately 1.46 million barrels of oil per day, equivalent to 71.51% of regional production, up from 63% the previous day. Natural gas disruptions have also reached 58.84%. 🛢️ Personnel have been evacuated from around 129 offshore platforms, while Shell, Chevron, and BP have suspended operations at multiple facilities. The storm is expected to make landfall along the Florida Panhandle on the evening of October 9, US time. 📉 However, estimated cumulative oil production losses have been revised down from approximately 9.55 million to 7.23 million barrels as the storm's eastward shift moves it away from major offshore production clusters near Louisiana. 📊 Despite substantial supply disruptions, Brent crude remains under downward pressure as Middle East developments dominate market sentiment. The storm's longer-term impact will depend on actual infrastructure damage and the pace of production recovery. #OilMarket $CL $NATGAS
Hurricane Isaias Shuts In Nearly 72% of Gulf of Mexico Oil Production

🌀 Hurricane Isaias has strengthened to Category 3, forcing operators in the Gulf of Mexico to shut in approximately 1.46 million barrels of oil per day, equivalent to 71.51% of regional production, up from 63% the previous day. Natural gas disruptions have also reached 58.84%.

🛢️ Personnel have been evacuated from around 129 offshore platforms, while Shell, Chevron, and BP have suspended operations at multiple facilities. The storm is expected to make landfall along the Florida Panhandle on the evening of October 9, US time.

📉 However, estimated cumulative oil production losses have been revised down from approximately 9.55 million to 7.23 million barrels as the storm's eastward shift moves it away from major offshore production clusters near Louisiana.

📊 Despite substantial supply disruptions, Brent crude remains under downward pressure as Middle East developments dominate market sentiment. The storm's longer-term impact will depend on actual infrastructure damage and the pace of production recovery.

#OilMarket $CL $NATGAS
См. перевод
$WLD – Liquidation Map (7 Days) – Current Price 0.496 🔎 The 7-day liquidation map shows roughly 36–37 million USD in short liquidations above the current price, clearly exceeding approximately 14–15 million USD in long liquidations below. The liquidity structure therefore carries a strong upside tilt, with around 2.5 times more cumulative liquidity above the market. 📉 Below the market, long-liquidation liquidity is concentrated mainly across 0.468–0.489. Notable clusters sit around 0.470–0.472 and 0.480–0.488, with the largest bar near 0.487 reaching roughly 1 million USD. Losing 0.488–0.484 would shift attention toward 0.480–0.476 and then 0.472–0.468. 📈 Above the market, short-liquidation liquidity becomes noticeably denser from 0.504 and is concentrated heavily across 0.506–0.512 and 0.534–0.548. The strongest cluster sits around 0.536–0.540 with a bar near 2.2–2.4 million USD, while 0.506–0.509 also contains a bar above 2 million USD. Further out, 0.554–0.556 forms another major cluster. 🧭 The broader setup strongly favors the upside because short-liquidation exposure above clearly dominates. Breaking above 0.504–0.508 would expose 0.512–0.520, followed by the major 0.534–0.548 liquidity zone. Losing 0.488–0.484 would instead increase the probability of a sweep toward 0.480–0.476. #LiquidationMap
$WLD – Liquidation Map (7 Days) – Current Price 0.496 🔎 The 7-day liquidation map shows roughly 36–37 million USD in short liquidations above the current price, clearly exceeding approximately 14–15 million USD in long liquidations below. The liquidity structure therefore carries a strong upside tilt, with around 2.5 times more cumulative liquidity above the market. 📉 Below the market, long-liquidation liquidity is concentrated mainly across 0.468–0.489. Notable clusters sit around 0.470–0.472 and 0.480–0.488, with the largest bar near 0.487 reaching roughly 1 million USD. Losing 0.488–0.484 would shift attention toward 0.480–0.476 and then 0.472–0.468. 📈 Above the market, short-liquidation liquidity becomes noticeably denser from 0.504 and is concentrated heavily across 0.506–0.512 and 0.534–0.548. The strongest cluster sits around 0.536–0.540 with a bar near 2.2–2.4 million USD, while 0.506–0.509 also contains a bar above 2 million USD. Further out, 0.554–0.556 forms another major cluster. 🧭 The broader setup strongly favors the upside because short-liquidation exposure above clearly dominates. Breaking above 0.504–0.508 would expose 0.512–0.520, followed by the major 0.534–0.548 liquidity zone. Losing 0.488–0.484 would instead increase the probability of a sweep toward 0.480–0.476. #LiquidationMap
См. перевод
$PIXEL - Mcap 22.85M$ - 24h Sentiment Neutral SC02 M1 - pending Long order. Entry lies within LVN + not affected by any weak zone, the current support zone is approximately 2.10% wide. The uptrend has lasted 3 hours 40 minutes, with a maximum recorded price increase of 14.70%. If price loses this support zone, the trend is highly likely to reverse downward.
$PIXEL - Mcap 22.85M$ - 24h Sentiment Neutral SC02 M1 - pending Long order. Entry lies within LVN + not affected by any weak zone, the current support zone is approximately 2.10% wide. The uptrend has lasted 3 hours 40 minutes, with a maximum recorded price increase of 14.70%. If price loses this support zone, the trend is highly likely to reverse downward.
См. перевод
$LPT - Mcap 89.26M$ - 24h Sentiment Neutral SC02 M1 - pending Long order. Entry lies within LVN + not affected by any weak zone, the current support zone is approximately 1.10% wide. The uptrend has lasted 2 hours 51 minutes, with a maximum recorded price increase of 7.61%. If price loses this support zone, the trend is highly likely to reverse downward.
$LPT - Mcap 89.26M$ - 24h Sentiment Neutral SC02 M1 - pending Long order. Entry lies within LVN + not affected by any weak zone, the current support zone is approximately 1.10% wide. The uptrend has lasted 2 hours 51 minutes, with a maximum recorded price increase of 7.61%. If price loses this support zone, the trend is highly likely to reverse downward.
См. перевод
Delta Cuts 2026 Profit Outlook by Nearly 24% as Fuel Costs Surge 📉 Delta Air Lines (DAL) lowered its 2026 adjusted EPS guidance from $6.50–$7.50 to $5.10–$5.60, representing a nearly 24% reduction at the midpoint. ⛽ Third-quarter fuel expenses surged 62% to $4.1 billion. Delta estimates its full-year fuel bill will increase by approximately $6 billion, putting significant pressure on profit margins. 📊 Third-quarter adjusted EPS came in at $1.72, below market expectations. Adjusted revenue reached $17.59 billion, while the adjusted operating margin declined from 11.1% to 9.4%. ✈️ Travel demand remains resilient, with premium revenue rising 18% and fourth-quarter revenue projected to grow approximately 20%. However, fuel costs are increasing faster than the airline can offset through higher fares, keeping profitability across the airline industry under pressure. #Airlines $DAL $MINA
Delta Cuts 2026 Profit Outlook by Nearly 24% as Fuel Costs Surge

📉 Delta Air Lines (DAL) lowered its 2026 adjusted EPS guidance from $6.50–$7.50 to $5.10–$5.60, representing a nearly 24% reduction at the midpoint.

⛽ Third-quarter fuel expenses surged 62% to $4.1 billion. Delta estimates its full-year fuel bill will increase by approximately $6 billion, putting significant pressure on profit margins.

📊 Third-quarter adjusted EPS came in at $1.72, below market expectations. Adjusted revenue reached $17.59 billion, while the adjusted operating margin declined from 11.1% to 9.4%.

✈️ Travel demand remains resilient, with premium revenue rising 18% and fourth-quarter revenue projected to grow approximately 20%. However, fuel costs are increasing faster than the airline can offset through higher fares, keeping profitability across the airline industry under pressure.

#Airlines $DAL $MINA
См. перевод
$AAVE – Liquidation Map (7 Days) – Current Price 168.8 🔎 The 7-day liquidation map shows roughly 28–29 million USD in short liquidations above the current price, more than three times the approximately 8–9 million USD in long liquidations below. The liquidity structure therefore carries a strong upside tilt. 📉 Below the market, long-liquidation liquidity is concentrated mainly across 161.4–164.5. The strongest cluster sits around 162–163 with the largest bar near 0.8 million USD, while 163.5–164.5 also holds several bars around 0.4–0.6 million USD. Losing 166.8–164.5 would shift attention toward 163–161.5. 📈 Above the market, short-liquidation liquidity increases sharply from 174.5 upward and is densest across 175–178. The strongest cluster sits around 176.3–177.8 with several bars near 1.3–2 million USD, with the largest peak around 177.5. Further out, 179–181 and 183–187 continue to hold notable liquidity layers. 🧭 The broader setup strongly favors the upside because short-liquidation exposure above clearly dominates. Breaking above 170.5–172 would expose 174.5–175.5, followed by the major 176.3–177.8 liquidity zone. Losing 166.8–164.5 would instead increase the probability of a sweep toward 163–161.5. #LiquidationMap
$AAVE – Liquidation Map (7 Days) – Current Price 168.8 🔎 The 7-day liquidation map shows roughly 28–29 million USD in short liquidations above the current price, more than three times the approximately 8–9 million USD in long liquidations below. The liquidity structure therefore carries a strong upside tilt. 📉 Below the market, long-liquidation liquidity is concentrated mainly across 161.4–164.5. The strongest cluster sits around 162–163 with the largest bar near 0.8 million USD, while 163.5–164.5 also holds several bars around 0.4–0.6 million USD. Losing 166.8–164.5 would shift attention toward 163–161.5. 📈 Above the market, short-liquidation liquidity increases sharply from 174.5 upward and is densest across 175–178. The strongest cluster sits around 176.3–177.8 with several bars near 1.3–2 million USD, with the largest peak around 177.5. Further out, 179–181 and 183–187 continue to hold notable liquidity layers. 🧭 The broader setup strongly favors the upside because short-liquidation exposure above clearly dominates. Breaking above 170.5–172 would expose 174.5–175.5, followed by the major 176.3–177.8 liquidity zone. Losing 166.8–164.5 would instead increase the probability of a sweep toward 163–161.5. #LiquidationMap
См. перевод
$KAIA - Mcap 365.08M$ - 24h Sentiment +3.41 Bullish SC02 M1 - Long order has been triggered, no meaningful profit yet. Entry lies within HVN + not affected by any weak zone, the current support zone is 5.04% wide. The uptrend has lasted 4 hours 28 minutes, with a maximum recorded price increase of 63.96%. If price loses this support zone, the trend is highly likely to reverse downward.
$KAIA - Mcap 365.08M$ - 24h Sentiment +3.41 Bullish SC02 M1 - Long order has been triggered, no meaningful profit yet. Entry lies within HVN + not affected by any weak zone, the current support zone is 5.04% wide. The uptrend has lasted 4 hours 28 minutes, with a maximum recorded price increase of 63.96%. If price loses this support zone, the trend is highly likely to reverse downward.
См. перевод
$CYBER - Mcap 27.21M$ - 24h Sentiment +2.00 Bullish SC02 M1 - pending Long order. Entry lies within HVN + not affected by any weak zone, the current support zone is approximately 1.49% wide. The uptrend has lasted 5 hours 26 minutes, with a maximum recorded price increase of 11.11%. If price loses this support zone, the trend is highly likely to reverse downward.
$CYBER - Mcap 27.21M$ - 24h Sentiment +2.00 Bullish SC02 M1 - pending Long order. Entry lies within HVN + not affected by any weak zone, the current support zone is approximately 1.49% wide. The uptrend has lasted 5 hours 26 minutes, with a maximum recorded price increase of 11.11%. If price loses this support zone, the trend is highly likely to reverse downward.
SpaceX расширяет планы в сфере мобильной связи на фоне падения акций крупнейших операторов США 📡 По данным The Wall Street Journal, SpaceX заключила соглашение о покупке всего портфеля спектра в диапазоне 800 МГц, принадлежащего Grain Management. Как сообщается, сумма сделки составит около 8 млрд долларов наличными. Компании не раскрыли официальную стоимость сделки. 🛰️ Покупка позволит расширить зону покрытия Starlink Mobile, особенно в отдалённых районах и внутри зданий. SpaceX планирует объединить спутниковую связь с наземной инфраструктурой, чтобы расширить свои мобильные услуги по всей территории США. 📉 Акции AT&T, Verizon и T-Mobile упали примерно на 6% на внебиржевых торгах, что отражает обеспокоенность инвесторов возможным усилением конкурентного давления. ⚖️ Однако сделка всё ещё требует одобрения FCC. Одно лишь владение спектром не позволит немедленно запустить мобильную сеть по всей стране, а у действующих операторов сохраняются значительные преимущества благодаря инфраструктуре и клиентской базе. #Телеком $SPCX
SpaceX расширяет планы в сфере мобильной связи на фоне падения акций крупнейших операторов США

📡 По данным The Wall Street Journal, SpaceX заключила соглашение о покупке всего портфеля спектра в диапазоне 800 МГц, принадлежащего Grain Management. Как сообщается, сумма сделки составит около 8 млрд долларов наличными. Компании не раскрыли официальную стоимость сделки.

🛰️ Покупка позволит расширить зону покрытия Starlink Mobile, особенно в отдалённых районах и внутри зданий. SpaceX планирует объединить спутниковую связь с наземной инфраструктурой, чтобы расширить свои мобильные услуги по всей территории США.

📉 Акции AT&T, Verizon и T-Mobile упали примерно на 6% на внебиржевых торгах, что отражает обеспокоенность инвесторов возможным усилением конкурентного давления.

⚖️ Однако сделка всё ещё требует одобрения FCC. Одно лишь владение спектром не позволит немедленно запустить мобильную сеть по всей стране, а у действующих операторов сохраняются значительные преимущества благодаря инфраструктуре и клиентской базе.

#Телеком $SPCX
См. перевод
Firmus Cancels $5 Billion IPO Amid AI Infrastructure Valuation Concerns 📉 Firmus, an Nvidia-backed AI infrastructure company, has canceled its planned Australian IPO, which aimed to raise approximately $5 billion, after investor demand fell short of expectations. 📊 The offering valued Firmus at around $30.6 billion, nearly triple its $10.5 billion valuation in an August 2026 funding round. Investors raised concerns over the high valuation, substantial capital requirements, and execution risks surrounding AI infrastructure projects. 🏗️ Pressure intensified after partner CDC Data Centres withdrew from a major development agreement, while the IPO structure could have allowed a significant portion of existing shares to be sold shortly after listing. 🔎 Firmus is now considering private fundraising and a potential Nasdaq listing. The development suggests investors remain interested in AI infrastructure but are becoming more selective about high valuations that lack corresponding cash flow. #AIInfrastructure $API3
Firmus Cancels $5 Billion IPO Amid AI Infrastructure Valuation Concerns

📉 Firmus, an Nvidia-backed AI infrastructure company, has canceled its planned Australian IPO, which aimed to raise approximately $5 billion, after investor demand fell short of expectations.

📊 The offering valued Firmus at around $30.6 billion, nearly triple its $10.5 billion valuation in an August 2026 funding round. Investors raised concerns over the high valuation, substantial capital requirements, and execution risks surrounding AI infrastructure projects.

🏗️ Pressure intensified after partner CDC Data Centres withdrew from a major development agreement, while the IPO structure could have allowed a significant portion of existing shares to be sold shortly after listing.

🔎 Firmus is now considering private fundraising and a potential Nasdaq listing. The development suggests investors remain interested in AI infrastructure but are becoming more selective about high valuations that lack corresponding cash flow.

#AIInfrastructure $API3
См. перевод
$NVDA – Liquidation Map (7 Days) – Current Price 234.2 🔎 The 7-day liquidation map shows roughly 28–29 million USD in short liquidations above the current price, exceeding approximately 19–20 million USD in long liquidations below. The liquidity structure therefore carries a fairly clear upside tilt, with around 1.4–1.5 times more cumulative liquidity above the market. 📉 Below the market, long-liquidation liquidity is concentrated heavily across 227.5–230.5, especially around 228.5–229.5 with several bars near 0.8–1.3 million USD. The most notable feature is the cluster very close to price around 233.8–234.1, with a bar approaching 1.9 million USD. Losing 233.5–232.5 would shift attention toward 230.5–228.0. 📈 Above the market, short-liquidation liquidity becomes much denser from 238 upward. The strongest cluster sits around 243–245 with the largest bar near 2.4 million USD, while 246–248 continues to hold several bars around 1–1.5 million USD. Further out, 248–250 still contains additional notable liquidity layers. 🧭 The broader setup favors the upside because short-liquidation exposure above is larger. Breaking above 238–240 would expose 243–245, followed by 246–248. Losing 233.5–232.5 would instead increase the probability of a sweep toward 230.5–228.0. #LiquidationMap
$NVDA – Liquidation Map (7 Days) – Current Price 234.2 🔎 The 7-day liquidation map shows roughly 28–29 million USD in short liquidations above the current price, exceeding approximately 19–20 million USD in long liquidations below. The liquidity structure therefore carries a fairly clear upside tilt, with around 1.4–1.5 times more cumulative liquidity above the market. 📉 Below the market, long-liquidation liquidity is concentrated heavily across 227.5–230.5, especially around 228.5–229.5 with several bars near 0.8–1.3 million USD. The most notable feature is the cluster very close to price around 233.8–234.1, with a bar approaching 1.9 million USD. Losing 233.5–232.5 would shift attention toward 230.5–228.0. 📈 Above the market, short-liquidation liquidity becomes much denser from 238 upward. The strongest cluster sits around 243–245 with the largest bar near 2.4 million USD, while 246–248 continues to hold several bars around 1–1.5 million USD. Further out, 248–250 still contains additional notable liquidity layers. 🧭 The broader setup favors the upside because short-liquidation exposure above is larger. Breaking above 238–240 would expose 243–245, followed by 246–248. Losing 233.5–232.5 would instead increase the probability of a sweep toward 230.5–228.0. #LiquidationMap
См. перевод
$MERL - Mcap 43.5M$ - 24h Sentiment +6.00 Bullish SC02 M5 - pending Long order. Entry lies within LVN + not affected by any weak zone, the current support zone is approximately 1.65% wide. The uptrend has lasted 11 hours, with a maximum recorded price increase of 11.46%. If price loses this support zone, the trend is highly likely to reverse downward.
$MERL - Mcap 43.5M$ - 24h Sentiment +6.00 Bullish SC02 M5 - pending Long order. Entry lies within LVN + not affected by any weak zone, the current support zone is approximately 1.65% wide. The uptrend has lasted 11 hours, with a maximum recorded price increase of 11.46%. If price loses this support zone, the trend is highly likely to reverse downward.
См. перевод
$BP - Mcap 295.26M$ - 24h Sentiment +4.80 Bullish SC02 M5 - pending Long order. Entry lies within LVN + not affected by any weak zone, the current support zone is approximately 1.94% wide. The uptrend has lasted 11 hours 40 minutes, with a maximum recorded price increase of 13.96%. If price loses this support zone, the trend is highly likely to reverse downward.
$BP - Mcap 295.26M$ - 24h Sentiment +4.80 Bullish SC02 M5 - pending Long order. Entry lies within LVN + not affected by any weak zone, the current support zone is approximately 1.94% wide. The uptrend has lasted 11 hours 40 minutes, with a maximum recorded price increase of 13.96%. If price loses this support zone, the trend is highly likely to reverse downward.
См. перевод
$SKHY – Liquidation Map (7 Days) – Current Price 174 🔎 The 7-day liquidation map shows roughly 30 million USD in short liquidations above the current price, nearly three times the approximately 10–11 million USD in long liquidations below. The liquidity structure therefore carries a strong upside tilt. 📉 Below the market, long-liquidation liquidity is concentrated mainly across 161–173. Notable clusters sit around 165–166 with a bar near 0.7–0.8 million USD and 171–172.5 with a larger bar close to 1 million USD. Losing 172–170 would shift attention toward 166–165 and then 162–161. 📈 Above the market, short-liquidation liquidity becomes much denser from 180 upward. A notable cluster sits around 182–185 with several bars near 0.5–0.7 million USD, while 186.5–188 is the strongest zone with multiple bars around 1.2–1.6 million USD. Further out, 189–191 continues to hold smaller liquidity layers. 🧭 The broader setup strongly favors the upside because short-liquidation exposure above clearly dominates. Breaking above 178–180 would expose 182–185, followed by the major 186.5–188 liquidity zone. Losing 172–170 would instead increase the probability of a sweep toward 166–165. #LiquidationMap
$SKHY – Liquidation Map (7 Days) – Current Price 174 🔎 The 7-day liquidation map shows roughly 30 million USD in short liquidations above the current price, nearly three times the approximately 10–11 million USD in long liquidations below. The liquidity structure therefore carries a strong upside tilt. 📉 Below the market, long-liquidation liquidity is concentrated mainly across 161–173. Notable clusters sit around 165–166 with a bar near 0.7–0.8 million USD and 171–172.5 with a larger bar close to 1 million USD. Losing 172–170 would shift attention toward 166–165 and then 162–161. 📈 Above the market, short-liquidation liquidity becomes much denser from 180 upward. A notable cluster sits around 182–185 with several bars near 0.5–0.7 million USD, while 186.5–188 is the strongest zone with multiple bars around 1.2–1.6 million USD. Further out, 189–191 continues to hold smaller liquidity layers. 🧭 The broader setup strongly favors the upside because short-liquidation exposure above clearly dominates. Breaking above 178–180 would expose 182–185, followed by the major 186.5–188 liquidity zone. Losing 172–170 would instead increase the probability of a sweep toward 166–165. #LiquidationMap
$BAT — капитализация 168.53M$ - 24-часовые настроения: нейтральные. SC02 M1 — ожидающий ордер на лонг. Точка входа находится в пределах HVN и не затрагивается ни одной слабой зоной; текущая зона поддержки имеет ширину примерно 1,77%. Восходящий тренд длится 3 часа 9 минут, максимальный зафиксированный рост цены составил 11,22%. Если цена пробьёт эту зону поддержки вниз, тренд с высокой вероятностью развернётся.
$BAT — капитализация 168.53M$ - 24-часовые настроения: нейтральные. SC02 M1 — ожидающий ордер на лонг. Точка входа находится в пределах HVN и не затрагивается ни одной слабой зоной; текущая зона поддержки имеет ширину примерно 1,77%. Восходящий тренд длится 3 часа 9 минут, максимальный зафиксированный рост цены составил 11,22%. Если цена пробьёт эту зону поддержки вниз, тренд с высокой вероятностью развернётся.
$JCT — капитализация 27.11M$ — настроения за 24 ч: +3.63, бычьи. SC02 M5 — отложенный ордер на покупку. Точка входа находится в зоне LVN и не затронута слабыми зонами; текущая зона поддержки составляет примерно 9.11%. Восходящий тренд длится 10 часов 45 минут, максимальный зафиксированный рост цены — 78.95%. Если цена потеряет эту зону поддержки, высока вероятность разворота тренда вниз.
$JCT — капитализация 27.11M$ — настроения за 24 ч: +3.63, бычьи. SC02 M5 — отложенный ордер на покупку. Точка входа находится в зоне LVN и не затронута слабыми зонами; текущая зона поддержки составляет примерно 9.11%. Восходящий тренд длится 10 часов 45 минут, максимальный зафиксированный рост цены — 78.95%. Если цена потеряет эту зону поддержки, высока вероятность разворота тренда вниз.
BTC отскочил до $82 000 после ликвидаций на сумму свыше $1,1 млрд 📈 Биткоин восстановился до диапазона $82 000–$82 400 после падения к отметке $80 300. Это стало отскоком после резкой распродажи на криптовалютном рынке. 💥 По данным CoinGlass, за 24 часа было ликвидировано позиций примерно на $1,12 млрд, причем почти 93% пришлось на длинные позиции. Объем ликвидаций по ETH оказался выше, чем по BTC, что указывает на значительное давление из-за высокого кредитного плеча на рынке. 🌍 Заявление президента Трампа об исключении ударов по Ирану до 3 ноября помогло ослабить геополитические опасения. Однако напряженность вокруг Ормузского пролива и высокие цены на нефть продолжают давить на рисковые активы. 📊 Восстановление пока не подтверждает разворот тренда: приток средств в американские спотовые биткоин-ETF остается слабым. Чтобы нацелиться на отметку $83 300, BTC необходимо удержаться выше $82 000, а зона $80 300–$80 400 остается важной областью поддержки. #Bitcoin $BTC $ETH $TRUMP
BTC отскочил до $82 000 после ликвидаций на сумму свыше $1,1 млрд

📈 Биткоин восстановился до диапазона $82 000–$82 400 после падения к отметке $80 300. Это стало отскоком после резкой распродажи на криптовалютном рынке.

💥 По данным CoinGlass, за 24 часа было ликвидировано позиций примерно на $1,12 млрд, причем почти 93% пришлось на длинные позиции. Объем ликвидаций по ETH оказался выше, чем по BTC, что указывает на значительное давление из-за высокого кредитного плеча на рынке.

🌍 Заявление президента Трампа об исключении ударов по Ирану до 3 ноября помогло ослабить геополитические опасения. Однако напряженность вокруг Ормузского пролива и высокие цены на нефть продолжают давить на рисковые активы.

📊 Восстановление пока не подтверждает разворот тренда: приток средств в американские спотовые биткоин-ETF остается слабым. Чтобы нацелиться на отметку $83 300, BTC необходимо удержаться выше $82 000, а зона $80 300–$80 400 остается важной областью поддержки.

#Bitcoin $BTC $ETH $TRUMP
$BCH – Карта ликвидаций (7 дней) – Текущая цена 279.1 🔎 На 7-дневной карте ликвидаций видно около 10 миллионов долларов ликвидаций шортов выше текущей цены — значительно больше, чем примерно 2,3–2,5 миллиона долларов ликвидаций лонгов ниже неё. Таким образом, структура ликвидности имеет выраженный уклон в сторону роста: совокупной ликвидности выше рынка примерно в четыре раза больше. 📉 Ниже рынка ликвидность ликвидаций лонгов в основном сосредоточена в диапазонах 265–269 и 271–276. Самый заметный кластер находится в районе 266–268: столбец достигает примерно 0,15–0,20 миллиона долларов. В диапазоне 272–275 также есть несколько столбцов на уровне около 0,08–0,12 миллиона долларов. Потеря уровней 276–274 сместит внимание к 268–266, а затем к 263–261. 📈 Выше рынка ликвидность ликвидаций шортов становится плотной начиная с 282. Первый крупный кластер расположен в районе 284–291, особенно в диапазоне 288–291, где несколько столбцов достигают примерно 0,25–0,33 миллиона долларов. Дальше ликвидность продолжает накапливаться в диапазоне 299–304, а зона 306–313 — самая сильная: столбец около 306,5 превышает 0,4 миллиона долларов, а несколько столбцов в районе 311–313 достигают примерно 0,25–0,37 миллиона долларов. 🧭 Общая картина явно благоприятствует росту, поскольку объём позиций шортов, подверженных ликвидации выше рынка, заметно преобладает. Пробой выше 282–285 откроет путь к 288–291, затем к 299–304 и крупной зоне ликвидности 306–313. Потеря уровней 276–274, напротив, повысит вероятность движения к 268–266 для сбора ликвидности. #LiquidationMap
$BCH – Карта ликвидаций (7 дней) – Текущая цена 279.1 🔎 На 7-дневной карте ликвидаций видно около 10 миллионов долларов ликвидаций шортов выше текущей цены — значительно больше, чем примерно 2,3–2,5 миллиона долларов ликвидаций лонгов ниже неё. Таким образом, структура ликвидности имеет выраженный уклон в сторону роста: совокупной ликвидности выше рынка примерно в четыре раза больше. 📉 Ниже рынка ликвидность ликвидаций лонгов в основном сосредоточена в диапазонах 265–269 и 271–276. Самый заметный кластер находится в районе 266–268: столбец достигает примерно 0,15–0,20 миллиона долларов. В диапазоне 272–275 также есть несколько столбцов на уровне около 0,08–0,12 миллиона долларов. Потеря уровней 276–274 сместит внимание к 268–266, а затем к 263–261. 📈 Выше рынка ликвидность ликвидаций шортов становится плотной начиная с 282. Первый крупный кластер расположен в районе 284–291, особенно в диапазоне 288–291, где несколько столбцов достигают примерно 0,25–0,33 миллиона долларов. Дальше ликвидность продолжает накапливаться в диапазоне 299–304, а зона 306–313 — самая сильная: столбец около 306,5 превышает 0,4 миллиона долларов, а несколько столбцов в районе 311–313 достигают примерно 0,25–0,37 миллиона долларов. 🧭 Общая картина явно благоприятствует росту, поскольку объём позиций шортов, подверженных ликвидации выше рынка, заметно преобладает. Пробой выше 282–285 откроет путь к 288–291, затем к 299–304 и крупной зоне ликвидности 306–313. Потеря уровней 276–274, напротив, повысит вероятность движения к 268–266 для сбора ликвидности. #LiquidationMap
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