$BNB 📈 **Technical Analysis of BNB on Daily Chart**
**Current Price:** $660.40 (variation +0.59% in 24h).
**Volume:** 1.47B (slight increase vs. average, indicating interest at current levels).
🔍 **Keys to Daily Analysis**
1. **Supports and Resistances:**
- **Immediate Support:** $657.66 (Fibonacci) and $650.50 (recent low).
- **Key Resistance:** $662.33 (R1 pivot) and $685.15 (weekly high).
- *Potential Bounce:* Zone $657-660 is critical; if it holds, it could drive a short rally.
2. **Technical Indicators:**
- **RSI (14):** 62.85 (bullish, no overbought).
- **MACD:** Recent bullish crossover, reinforcing positive momentum.
- **Moving Averages:** EMA 5/10/20 days in bullish alignment, but EMA 100/200 press as resistance ($662-670).
3. **Volume:**
- Accumulation on declines (e.g.: +14.54M volume on 29/05), suggesting support at $650-655.
- Decreasing volume on rises: caution against false bounces.
**Entry Strategy and Risk Management**
✅ **Possible Entries:**
- **Scenario 1 (Conservative):** Bounce at $657.66 (Fibonacci support) with increasing volume.
- **Scenario 2 (Aggressive):** Confirmed breakout of $662.33 (R1 pivot) with volume >1.5B.
- **Scenario 3 (Deep Bounce):** Approach to $650.50 (strong support).
⚠️ **Stop Loss (SL):**
- Locate at **$645** (below the key support) for entries at $657-660.
- If entry at $650, adjust SL to **$640** (controlled risk <2%).
🎯 **Take Profit (TP):**
1. **TP1:** $675 (next resistance + quick profit).
2. **TP2:** $700 (psychological target + EMA 200).
3. **TP3:** $730 (conservative projection 2025).
*Minimum Risk-Reward Ratio:* 1:2 (e.g.: SL $645 → TP1 $675).
📊 **Additional Factors to Monitor**
- **Fear-Greed Index:** 55 (neutral), but sensitive to regulatory news.
- **Key Events:** Possible BNB ETF (institutional momentum).
- **Monthly Historical:** June tends to be bearish (6/9 years); watch for breakout of supports.
💡 **Conclusion:**
BNB shows **short-term bullish bias**, but with resistance at $662-685. An entry on a bounce near $657-660, with SL at $645 and staggered TP up to $730, maximizes risk-reward. Monitor volume on breakouts and news of institutional adoption to adjust targets.