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kryptomind

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**BERKSHIRE HATHAWAY (BRK.A) ANALYSIS:** The 1-hour chart of Berkshire Hathaway (BRK.A) shows a double bottom pattern around the key support level of $487.60. The Relative Strength Index (RSI) is showing a bullish divergence, while the MACD indicator has crossed upwards, suggesting a possible reversal of the recent downtrend and imminent buying momentum. **TRADE SIGNAL:** BUY **SUGGESTED ENTRY:** $487.60 - $490.00 **SUGGESTED STOP-LOSS:** $486.00 **TAKE-PROFIT (TP1):** $495.00 **TAKE-PROFIT (TP2):** $500.00 **Financial Quote:** "Patience and discipline are the keys to success in the financial markets."
**BERKSHIRE HATHAWAY (BRK.A) ANALYSIS:**

The 1-hour chart of Berkshire Hathaway (BRK.A) shows a double bottom pattern around the key support level of $487.60. The Relative Strength Index (RSI) is showing a bullish divergence, while the MACD indicator has crossed upwards, suggesting a possible reversal of the recent downtrend and imminent buying momentum.

**TRADE SIGNAL:** BUY

**SUGGESTED ENTRY:** $487.60 - $490.00

**SUGGESTED STOP-LOSS:** $486.00

**TAKE-PROFIT (TP1):** $495.00
**TAKE-PROFIT (TP2):** $500.00

**Financial Quote:** "Patience and discipline are the keys to success in the financial markets."
See original
### **Technical Analysis of #WCT /#USDT (LONG with 10x Leverage)** --- #### **📊 Key Data** - **Entry Zone:** **$0.3807 - $0.3925** (average: ~$0.3866). - **Take-Profit (TP):** - **TP1:** $0.3948 (+2.1% from average entry). - **TP2:** $0.4030 (+4.2%). - **TP3:** $0.4112 (+6.4%). - **TP4:** $0.4194 (+8.5%). - **Stop-Loss (SL):** **$0.3678** (-4.9% from average entry). - **Leverage:** 10x (isolated). - **Risk-Reward Ratio (TP4 vs SL):** **1:1.7** (favorable). --- ### **📈 Technical Context** 1. **Market Structure:** - **Key Support** at $0.3800-$0.3850 (historical accumulation zone). - **Resistances:** - $0.3950 (TP1, local resistance). - $0.4194 (TP4, recent high). 2. **Key Indicators:** - **RSI (14):** ~45 (not oversold, room to rise). - **Volume:** Increase in green candles would confirm momentum. 3. **Scenarios:** - **Bullish:** Break of $0.3950 could accelerate towards $0.4194. - **Bearish:** If it loses $0.3678, next support at $0.3500. --- ### **⚡ Risk Management** 1. **Optimal Entry:** - 60% at $0.3807, 40% at $0.3925 (improved average). 2. **Staggered Take-Profit:** - 30% at TP1, 30% at TP2, 20% at TP3, 20% at TP4. 3. **Dynamic Stop-Loss:** - Move SL to **$0.3780** upon reaching TP2 (protects profits). --- ### **⚠️ Warnings** - **Low Market Cap Altcoin:** High volatility and risk of slippage. - **10x Leverage:** A 10% move against the position will liquidate the capital. - **News:** Monitor updates from the WCT project. --- ### **🎯 Recommended Strategy** 1. **Confirm bounce:** Green candles with volume at $0.3800-$0.3925. 2. **Use limit orders** for better prices (e.g., $0.3820-$0.3900). 3. **Close 60% at TP2** and let 40% run with SL adjusted to $0.3880. --- **🔴 Final Note:** - **Theoretical maximum profit:** ~8.5% (without leverage) or **+85% with 10x**.
### **Technical Analysis of #WCT /#USDT (LONG with 10x Leverage)**

---

#### **📊 Key Data**
- **Entry Zone:** **$0.3807 - $0.3925** (average: ~$0.3866).
- **Take-Profit (TP):**
- **TP1:** $0.3948 (+2.1% from average entry).
- **TP2:** $0.4030 (+4.2%).
- **TP3:** $0.4112 (+6.4%).
- **TP4:** $0.4194 (+8.5%).
- **Stop-Loss (SL):** **$0.3678** (-4.9% from average entry).
- **Leverage:** 10x (isolated).
- **Risk-Reward Ratio (TP4 vs SL):** **1:1.7** (favorable).

---

### **📈 Technical Context**
1. **Market Structure:**
- **Key Support** at $0.3800-$0.3850 (historical accumulation zone).
- **Resistances:**
- $0.3950 (TP1, local resistance).
- $0.4194 (TP4, recent high).

2. **Key Indicators:**
- **RSI (14):** ~45 (not oversold, room to rise).
- **Volume:** Increase in green candles would confirm momentum.

3. **Scenarios:**
- **Bullish:** Break of $0.3950 could accelerate towards $0.4194.
- **Bearish:** If it loses $0.3678, next support at $0.3500.

---

### **⚡ Risk Management**
1. **Optimal Entry:**
- 60% at $0.3807, 40% at $0.3925 (improved average).
2. **Staggered Take-Profit:**
- 30% at TP1, 30% at TP2, 20% at TP3, 20% at TP4.
3. **Dynamic Stop-Loss:**
- Move SL to **$0.3780** upon reaching TP2 (protects profits).

---

### **⚠️ Warnings**
- **Low Market Cap Altcoin:** High volatility and risk of slippage.
- **10x Leverage:** A 10% move against the position will liquidate the capital.
- **News:** Monitor updates from the WCT project.

---

### **🎯 Recommended Strategy**
1. **Confirm bounce:** Green candles with volume at $0.3800-$0.3925.
2. **Use limit orders** for better prices (e.g., $0.3820-$0.3900).
3. **Close 60% at TP2** and let 40% run with SL adjusted to $0.3880.

---

**🔴 Final Note:**
- **Theoretical maximum profit:** ~8.5% (without leverage) or **+85% with 10x**.
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#IsraelIranConflict #analisis from #conflicto #IranIsraelConflict ## Impact on the Crypto Market - If an open war breaks out between Israel and Iran, the crypto market will initially experience a "red shock" due to uncertainty. - However, if the conflict prolongs or affects the traditional financial system, we may see an accelerated recovery of the crypto market. - Bitcoin (BTC) is shaping up as a geopolitical hedge, as it often finds its own narrative amid chaos. ## Movements in Traditional Assets - Gold, the dollar, and other movements towards BTC will be closely monitored as a hedge against instability. - We are likely to see volatility in oil prices, as the Middle Eastern region is key for the production and distribution of this commodity. In summary, an open conflict between Israel and Iran would initially generate uncertainty in the markets, but could also drive interest in assets like gold, the dollar, and Bitcoin as safe havens. The crypto market, particularly Bitcoin, could find its own narrative amid chaos.
#IsraelIranConflict
#analisis from #conflicto #IranIsraelConflict

## Impact on the Crypto Market
- If an open war breaks out between Israel and Iran, the crypto market will initially experience a "red shock" due to uncertainty.
- However, if the conflict prolongs or affects the traditional financial system, we may see an accelerated recovery of the crypto market.
- Bitcoin (BTC) is shaping up as a geopolitical hedge, as it often finds its own narrative amid chaos.

## Movements in Traditional Assets
- Gold, the dollar, and other movements towards BTC will be closely monitored as a hedge against instability.
- We are likely to see volatility in oil prices, as the Middle Eastern region is key for the production and distribution of this commodity.

In summary, an open conflict between Israel and Iran would initially generate uncertainty in the markets, but could also drive interest in assets like gold, the dollar, and Bitcoin as safe havens. The crypto market, particularly Bitcoin, could find its own narrative amid chaos.
See original
### **Technical Analysis of #SOL / #USDT (SHORT with 18x Leverage)** #### **📊 Key Data** - **Entry:** **$144.8** (Market Order). - **Take-Profit ( #TP ):** - **TP1:** $143.3 (-1.0%) - **TP2:** $141.2 (-2.5%) - **TP3:** $139.8 (-3.5%) - **Stop-Loss ( #SL ):** **$153.7** (+6.1%). - **Leverage:** 18x (high risk). - **Maximum Profit (TP3):** **+80%** (with 18x). - **Risk-Reward Ratio (TP3 vs SL):** **1:0.57** (risk > reward).
### **Technical Analysis of #SOL / #USDT (SHORT with 18x Leverage)**
#### **📊 Key Data**
- **Entry:** **$144.8** (Market Order).
- **Take-Profit ( #TP ):**
- **TP1:** $143.3 (-1.0%)
- **TP2:** $141.2 (-2.5%)
- **TP3:** $139.8 (-3.5%)
- **Stop-Loss ( #SL ):** **$153.7** (+6.1%).
- **Leverage:** 18x (high risk).
- **Maximum Profit (TP3):** **+80%** (with 18x).
- **Risk-Reward Ratio (TP3 vs SL):** **1:0.57** (risk > reward).
See original
### **Technical Analysis of #SOL / #USDT (SHORT with 18x Leverage)** --- #### **📊 Key Data** - **Entry:** **$144.8** (Market Order). - **Take-Profit (TP):** - **TP1:** $143.3 (-1.0%) - **TP2:** $141.2 (-2.5%) - **TP3:** $139.8 (-3.5%) - **Stop-Loss (SL):** **$153.7** (+6.1%). - **Leverage:** 18x (high risk). - **Maximum Profit (TP3):** **+80%** (with 18x). - **Risk-Reward Ratio (TP3 vs SL):** **1:0.57** (risk > reward). --- ### **📉 Market Context** 1. **Current Structure:** - SOL shows weakness below key resistance at **$150**. - Important support at **$140** (TP3). If broken, next target $135. - SL at **$153.7** (strong supply zone). 2. **Key Indicators:** - **RSI (14):** ~60 (not overbought, but with bearish momentum). - **Volume:** Increase in red candles would confirm selling pressure. 3. **Scenarios:** - **Bearish:** Stay below $145 and break $140. - **Bullish:** If it exceeds $153.7, it invalidates the short. --- ### **⚡ Risk Management (Critical with 18x)** 1. **Positioning:** - Invest only **1-2% of capital** (high liquidation risk). 2. **Tiered Take-Profit:** - **40% at TP1**, **30% at TP2**, **30% at TP3**. 3. **Dynamic Stop-Loss:** - Move SL to **$149.0** upon reaching TP1 (reduces exposure). --- ### **⚠️ Key Warnings** - **18x Leverage:** A movement of **5.5%** against the position can liquidate you. - **SOL is highly volatile:** Sensitive to Solana news (e.g., outages, updates). - **Wide SL (+6.1%):** Consider adjusting if the market does not confirm the drop. --- ### **🎯 Recommended Strategy** 1. **Confirm entry:** Red candles with volume at $144.8. 2. **Use limit orders** (e.g., $144.5-$145.0) for better execution. 3. **Close 70% at TP2** and leave 30% running with SL adjusted to $146.5. --- **🔴 Final Note:** - **+80% profit** is theoretical. In practice, taking partial profits is key.
### **Technical Analysis of #SOL / #USDT (SHORT with 18x Leverage)**

---

#### **📊 Key Data**
- **Entry:** **$144.8** (Market Order).
- **Take-Profit (TP):**
- **TP1:** $143.3 (-1.0%)
- **TP2:** $141.2 (-2.5%)
- **TP3:** $139.8 (-3.5%)
- **Stop-Loss (SL):** **$153.7** (+6.1%).
- **Leverage:** 18x (high risk).
- **Maximum Profit (TP3):** **+80%** (with 18x).
- **Risk-Reward Ratio (TP3 vs SL):** **1:0.57** (risk > reward).

---

### **📉 Market Context**
1. **Current Structure:**
- SOL shows weakness below key resistance at **$150**.
- Important support at **$140** (TP3). If broken, next target $135.
- SL at **$153.7** (strong supply zone).

2. **Key Indicators:**
- **RSI (14):** ~60 (not overbought, but with bearish momentum).
- **Volume:** Increase in red candles would confirm selling pressure.

3. **Scenarios:**
- **Bearish:** Stay below $145 and break $140.
- **Bullish:** If it exceeds $153.7, it invalidates the short.

---

### **⚡ Risk Management (Critical with 18x)**
1. **Positioning:**
- Invest only **1-2% of capital** (high liquidation risk).
2. **Tiered Take-Profit:**
- **40% at TP1**, **30% at TP2**, **30% at TP3**.
3. **Dynamic Stop-Loss:**
- Move SL to **$149.0** upon reaching TP1 (reduces exposure).

---

### **⚠️ Key Warnings**
- **18x Leverage:** A movement of **5.5%** against the position can liquidate you.
- **SOL is highly volatile:** Sensitive to Solana news (e.g., outages, updates).
- **Wide SL (+6.1%):** Consider adjusting if the market does not confirm the drop.

---

### **🎯 Recommended Strategy**
1. **Confirm entry:** Red candles with volume at $144.8.
2. **Use limit orders** (e.g., $144.5-$145.0) for better execution.
3. **Close 70% at TP2** and leave 30% running with SL adjusted to $146.5.

---

**🔴 Final Note:**
- **+80% profit** is theoretical. In practice, taking partial profits is key.
See original
### **Technical Analysis of #BNB / #USDT (Futures with 29x Leverage) - LONG Operation** #### **📊 Key Data** - **Entry:** **$665** (Market Order). - **Take-Profit (TP):** - **TP1:** $675 (+1.5%). - **TP2:** $685 (+3.0%). - **TP3:** $691 (+3.9%). - **Stop-Loss (SL):** **$620** (-6.8%). - **Leverage:** 29x (extremely high). - **Maximum Profit (TP3):** **+82%** (with leverage). - **Risk-Reward Ratio (TP3 vs SL):** **1:0.57** (risk > reward). --- ### **📈 Technical Context** 1. **Market Structure:** - BNB is in a **key support zone** ($650-$660). - Immediate resistance at **$691** (TP3). A breakout could extend the movement to $700. - SL at **$620** (critical support; losing this level would indicate weakness). 2. **Key Indicators:** - **RSI (14):** ~50 (neutral, no overbought). - **Volume:** Must increase on the rise to confirm bullish strength. 3. **Scenarios:** - **Bullish:** Stay above $665 and break $691. - **Bearish:** If it loses $620, next support at $600. --- ### **⚡ Risk Management (Critical with 29x)** 1. **Positioning:** - Invest only **0.5-1% of total capital** (high risk of liquidation). 2. **Scaled Take-Profit:** - **40% at TP1**, **30% at TP2**, **30% at TP3**. 3. **Dynamic Stop-Loss:** - Move SL to **$655** upon reaching TP1 (protects profits). --- ### **⚠️ Key Warnings** - **29x Leverage:** A move of **3.4%** against the position can liquidate you. **🔴 Final Note:** - **+82% profit** is theoretical (assumes full position at TP3 with 29x). In practice, taking partial profits is **essential**. - **Source:** Signal from #ElFather Do you need to adjust levels or analyze another timeframe? Let me know! 🚀 --- *⚠️ WARNING: Trading with 29x leverage is high risk. For experienced traders only.*
### **Technical Analysis of #BNB / #USDT (Futures with 29x Leverage) - LONG Operation**

#### **📊 Key Data**
- **Entry:** **$665** (Market Order).
- **Take-Profit (TP):**
- **TP1:** $675 (+1.5%).
- **TP2:** $685 (+3.0%).
- **TP3:** $691 (+3.9%).
- **Stop-Loss (SL):** **$620** (-6.8%).
- **Leverage:** 29x (extremely high).
- **Maximum Profit (TP3):** **+82%** (with leverage).
- **Risk-Reward Ratio (TP3 vs SL):** **1:0.57** (risk > reward).

---

### **📈 Technical Context**
1. **Market Structure:**
- BNB is in a **key support zone** ($650-$660).
- Immediate resistance at **$691** (TP3). A breakout could extend the movement to $700.
- SL at **$620** (critical support; losing this level would indicate weakness).

2. **Key Indicators:**
- **RSI (14):** ~50 (neutral, no overbought).
- **Volume:** Must increase on the rise to confirm bullish strength.

3. **Scenarios:**
- **Bullish:** Stay above $665 and break $691.
- **Bearish:** If it loses $620, next support at $600.

---

### **⚡ Risk Management (Critical with 29x)**
1. **Positioning:**
- Invest only **0.5-1% of total capital** (high risk of liquidation).
2. **Scaled Take-Profit:**
- **40% at TP1**, **30% at TP2**, **30% at TP3**.
3. **Dynamic Stop-Loss:**
- Move SL to **$655** upon reaching TP1 (protects profits).

---

### **⚠️ Key Warnings**
- **29x Leverage:** A move of **3.4%** against the position can liquidate you.

**🔴 Final Note:**
- **+82% profit** is theoretical (assumes full position at TP3 with 29x). In practice, taking partial profits is **essential**.
- **Source:** Signal from #ElFather

Do you need to adjust levels or analyze another timeframe? Let me know! 🚀

---
*⚠️ WARNING: Trading with 29x leverage is high risk. For experienced traders only.*
See original
#TrumpTariffs ### **Impact of #TrumpTariffs on Markets** #### **🔍 Context** Trump will impose unilateral tariffs on trading partners (China, EU, Mexico), accelerating the initial deadline (8/Jul). Strategy: "accept or reject". --- ### **📊 Key Effects** 1. **Stocks:** - **Negative:** Tech (#Apple), automotive (Tesla), and agriculture (Deere) due to rising costs. - **Opportunity:** Defensive sectors (health, utilities). 2. **Currencies:** - **#USD ** Strong initially, but at risk if there are retaliations. - **CNY:** Possible devaluation (like in 2019). 3. **Commodities:** - **#oro (↑):** Safe haven amid uncertainty. - **Oil (↓):** Lower global demand. 4. **Cryptos:** - **#BTC ** Possible inflation hedge, but volatile. --- ### **⚡ Strategies** - **Short term:** Sell tech, buy gold and bonds. - **Long term:** Invest in companies with local supply chains (Walmart). --- ### **⚠️ Risks** - Retaliations from China (e.g., rare earths). - Inflation ↑ due to imported costs. **Conclusion:** Guaranteed volatility; adjust to defensive assets. *Sources: USTR, Bloomberg. Neutral analysis.*
#TrumpTariffs
### **Impact of #TrumpTariffs on Markets**

#### **🔍 Context**
Trump will impose unilateral tariffs on trading partners (China, EU, Mexico), accelerating the initial deadline (8/Jul). Strategy: "accept or reject".

---

### **📊 Key Effects**
1. **Stocks:**
- **Negative:** Tech (#Apple), automotive (Tesla), and agriculture (Deere) due to rising costs.
- **Opportunity:** Defensive sectors (health, utilities).

2. **Currencies:**
- **#USD ** Strong initially, but at risk if there are retaliations.
- **CNY:** Possible devaluation (like in 2019).

3. **Commodities:**
- **#oro (↑):** Safe haven amid uncertainty.
- **Oil (↓):** Lower global demand.

4. **Cryptos:**
- **#BTC ** Possible inflation hedge, but volatile.

---

### **⚡ Strategies**
- **Short term:** Sell tech, buy gold and bonds.
- **Long term:** Invest in companies with local supply chains (Walmart).

---

### **⚠️ Risks**
- Retaliations from China (e.g., rare earths).
- Inflation ↑ due to imported costs.

**Conclusion:** Guaranteed volatility; adjust to defensive assets.

*Sources: USTR, Bloomberg. Neutral analysis.*
See original
### **Technical Analysis of #Chainlink LINK /#USDT - #1h - #Binance **Updated:** 12/Jun/2025 09:05 UTC-4 --- #### **📊 Key Data** - **Current Price:** **$14.25** (-0.35% in 1h). - **Hourly Range:** $14.17 (L) - $14.26 (H). - **Immediate Supports:** $14.17 → $14.00 (psychological). - **Resistances:** $14.50 → $15.00 → $15.50. --- ### **📈 Technical Signals** 1. **Market Structure:** - **Short-term Bearish Trend** within a downward channel. - Possible formation of a **double bottom** at $14.17 if it bounces. - Break of $14.50 could invalidate the bearish trend. 2. **Key Indicators:** - **RSI (14):** ~45 (neutral with bearish bias). - **Volume:** Low on the drop (-0.35%), lack of aggressive selling interest. 3. **Possible Scenarios:** - **Bullish Bounce:** If it holds $14.17, target $14.50 - $15.00. - **Bearish Continuation:** If it loses $14.00, next support at $13.50. --- ### **⚡ Recommended Strategy** #### **🟢 Long (Buy)** - **Ideal Entry:** $14.10 - $14.20 (confirming bounce with volume). - **TP1:** $14.50 (+2.1%). - **TP2:** $15.00 (+5.6%). - **SL:** $13.90 (-2.5%). #### **🔴 Short (Sell)** - **Only if:** Closes below $14.00 (1h). - **Target:** $13.50 (-3.5%). - **SL:** $14.30 (+2.1%). --- ### **🔍 Key Observations** - **Critical Levels:** - $14.50 is a key resistance (MA50 on 1h). - $14.00 is a psychological support (last bounce on 11/Jun). - **Moderate Volatility:** LINK tends to have rapid movements on oracle news. **⚠️ Risk:** Altcoin with high correlation to BTC. Monitor the general market. --- **🎯 Capital Management:** - Maximum **5x leverage** (in futures). - Invest only **1-2% of capital** per trade. *Source: TradingView #ElFather Educational analysis. Not financial advice.* Do you need to adjust levels or delve into another indicator? I'm here! 🚀
### **Technical Analysis of #Chainlink LINK /#USDT - #1h - #Binance
**Updated:** 12/Jun/2025 09:05 UTC-4

---

#### **📊 Key Data**
- **Current Price:** **$14.25** (-0.35% in 1h).
- **Hourly Range:** $14.17 (L) - $14.26 (H).
- **Immediate Supports:** $14.17 → $14.00 (psychological).
- **Resistances:** $14.50 → $15.00 → $15.50.

---

### **📈 Technical Signals**
1. **Market Structure:**
- **Short-term Bearish Trend** within a downward channel.
- Possible formation of a **double bottom** at $14.17 if it bounces.
- Break of $14.50 could invalidate the bearish trend.

2. **Key Indicators:**
- **RSI (14):** ~45 (neutral with bearish bias).
- **Volume:** Low on the drop (-0.35%), lack of aggressive selling interest.

3. **Possible Scenarios:**
- **Bullish Bounce:** If it holds $14.17, target $14.50 - $15.00.
- **Bearish Continuation:** If it loses $14.00, next support at $13.50.

---

### **⚡ Recommended Strategy**
#### **🟢 Long (Buy)**
- **Ideal Entry:** $14.10 - $14.20 (confirming bounce with volume).
- **TP1:** $14.50 (+2.1%).
- **TP2:** $15.00 (+5.6%).
- **SL:** $13.90 (-2.5%).

#### **🔴 Short (Sell)**
- **Only if:** Closes below $14.00 (1h).
- **Target:** $13.50 (-3.5%).
- **SL:** $14.30 (+2.1%).

---

### **🔍 Key Observations**
- **Critical Levels:**
- $14.50 is a key resistance (MA50 on 1h).
- $14.00 is a psychological support (last bounce on 11/Jun).
- **Moderate Volatility:** LINK tends to have rapid movements on oracle news.

**⚠️ Risk:** Altcoin with high correlation to BTC. Monitor the general market.

---
**🎯 Capital Management:**
- Maximum **5x leverage** (in futures).
- Invest only **1-2% of capital** per trade.

*Source: TradingView #ElFather Educational analysis. Not financial advice.*

Do you need to adjust levels or delve into another indicator? I'm here! 🚀
See original
### **Technical Analysis of Cardano #ADA /#USDT - #4h - #Binance **Updated:** 12/Jun/2025 09:04 UTC-4 --- #### **📌 Key Data** - **Current Price:** **$0.6847** (+0.26% in 4h). - **Current Range:** $0.6822 (L) - $0.6847 (H). - **Immediate Supports:** $0.6822 → $0.6652 (key). - **Resistances:** $0.6900 → $0.7000 (psychological) → $0.7100. --- ### **📊 Relevant Technical Signals** 1. **Market Structure:** - **Lateral Trend** in a narrow channel ($0.6822 - $0.6900). - Break of $0.6900 with volume could push to $0.7000+. - Loss of $0.6822 could retest $0.6652 (strong support). 2. **Key Indicators:** - **RSI (14):** ~55 (neutral, no overbought). - **Volume:** Low on rise (+0.26%), needs confirmation for continuity. 3. **Possible Scenarios:** - **Bullish:** Close above $0.6900 for target $0.7000 - $0.7100. - **Bearish:** If it loses $0.6822, next support at $0.6652. --- ### **⚡ Recommended Strategy (Swing Trading)** - **Long (Buy):** - **Entry:** $0.6840 - $0.6820 (demand zone). - **TP1:** $0.6900 (+0.8%). - **TP2:** $0.7000 (+2.3%). - **SL:** $0.6750 (-1.3%). - **Short (Sell):** Only if it closes below $0.6820 (target $0.6650). --- ### **🔍 Important Observations** - **Low Volume:** Lateral movements require patience. - **Key Resistance:** $0.7000 is a strong psychological level. - **Altcoin Risk:** ADA is volatile; use strict risk management. **🔴 Note:** SL mandatory. Do not over-leverage (max. 5x on futures). --- *Source: TradingView #ElFather Educational analysis. Not financial advice.* Do you need to adjust TP/SL or analyze another timeframe? Let me know! 🚀
### **Technical Analysis of Cardano #ADA /#USDT - #4h - #Binance
**Updated:** 12/Jun/2025 09:04 UTC-4

---

#### **📌 Key Data**
- **Current Price:** **$0.6847** (+0.26% in 4h).
- **Current Range:** $0.6822 (L) - $0.6847 (H).
- **Immediate Supports:** $0.6822 → $0.6652 (key).
- **Resistances:** $0.6900 → $0.7000 (psychological) → $0.7100.

---

### **📊 Relevant Technical Signals**
1. **Market Structure:**
- **Lateral Trend** in a narrow channel ($0.6822 - $0.6900).
- Break of $0.6900 with volume could push to $0.7000+.
- Loss of $0.6822 could retest $0.6652 (strong support).

2. **Key Indicators:**
- **RSI (14):** ~55 (neutral, no overbought).
- **Volume:** Low on rise (+0.26%), needs confirmation for continuity.

3. **Possible Scenarios:**
- **Bullish:** Close above $0.6900 for target $0.7000 - $0.7100.
- **Bearish:** If it loses $0.6822, next support at $0.6652.

---

### **⚡ Recommended Strategy (Swing Trading)**
- **Long (Buy):**
- **Entry:** $0.6840 - $0.6820 (demand zone).
- **TP1:** $0.6900 (+0.8%).
- **TP2:** $0.7000 (+2.3%).
- **SL:** $0.6750 (-1.3%).
- **Short (Sell):** Only if it closes below $0.6820 (target $0.6650).

---

### **🔍 Important Observations**
- **Low Volume:** Lateral movements require patience.
- **Key Resistance:** $0.7000 is a strong psychological level.
- **Altcoin Risk:** ADA is volatile; use strict risk management.

**🔴 Note:** SL mandatory. Do not over-leverage (max. 5x on futures).

---
*Source: TradingView #ElFather Educational analysis. Not financial advice.*

Do you need to adjust TP/SL or analyze another timeframe? Let me know! 🚀
See original
### **Technical Analysis of Bitcoin #BTC / #USDT - 1h - #Binance **Updated:** 12/Jun/2025 09:03 UTC-4 --- #### **📌 Key Data** - **Current Price:** **$107,087.33** (+0.09% in 1h). - **Hourly Range:** $106,987.52 (L) - $107,087.34 (H). - **Supports:** $106,192.72 → $104,000.00 (key). - **Resistances:** $108,000.00 → $109,000.00 → $111,000.00. --- ### **📊 Technical Signals** 1. **Market Structure:** - **Sideways** between $106,000 and $108,000. - Breaking $108,000 with volume would confirm bullish momentum towards $111,000. 2. **Indicators:** - **RSI (14):** ~55 (neutral, no overbought). - **Volume:** Low on the rise (+0.09%), requires confirmation. 3. **Scenarios:** - **Bullish:** Hourly close above $107,500 to target $108,000. - **Bearish:** Losing $106,000 could lead to $104,000. --- ### **⚡ Strategy (Swing Trading)** - **Long:** Enter at $107,000 with SL at $106,000 (1% risk). - **TP1:** $108,000 (+0.93%). - **TP2:** $109,000 (+1.87%). - **Short:** Only if it loses $106,000 (target $104,000). --- ### **🔍 Observations** - **Low Volatility:** Sideways movements require patience. - **Key Events:** Monitor macro news (FED, ETFs). **🔴 Risk:** Strict SL due to possible fakeout. Do not over-leverage. --- *Source: TradingView #ElFather Educational analysis.* Do you need to adjust levels or another timeframe? Let me know! 🚀
### **Technical Analysis of Bitcoin #BTC / #USDT - 1h - #Binance
**Updated:** 12/Jun/2025 09:03 UTC-4

---

#### **📌 Key Data**
- **Current Price:** **$107,087.33** (+0.09% in 1h).
- **Hourly Range:** $106,987.52 (L) - $107,087.34 (H).
- **Supports:** $106,192.72 → $104,000.00 (key).
- **Resistances:** $108,000.00 → $109,000.00 → $111,000.00.

---

### **📊 Technical Signals**
1. **Market Structure:**
- **Sideways** between $106,000 and $108,000.
- Breaking $108,000 with volume would confirm bullish momentum towards $111,000.

2. **Indicators:**
- **RSI (14):** ~55 (neutral, no overbought).
- **Volume:** Low on the rise (+0.09%), requires confirmation.

3. **Scenarios:**
- **Bullish:** Hourly close above $107,500 to target $108,000.
- **Bearish:** Losing $106,000 could lead to $104,000.

---

### **⚡ Strategy (Swing Trading)**
- **Long:** Enter at $107,000 with SL at $106,000 (1% risk).
- **TP1:** $108,000 (+0.93%).
- **TP2:** $109,000 (+1.87%).
- **Short:** Only if it loses $106,000 (target $104,000).

---

### **🔍 Observations**
- **Low Volatility:** Sideways movements require patience.
- **Key Events:** Monitor macro news (FED, ETFs).

**🔴 Risk:** Strict SL due to possible fakeout. Do not over-leverage.

---
*Source: TradingView #ElFather Educational analysis.*

Do you need to adjust levels or another timeframe? Let me know! 🚀
See original
### #CRM - Operation of #compra #### **📊 Key Data** - **Last Close:** **$268.75** (+0.47%). - **Daily Range:** $267.13 (L) - $268.75 (H). - **Immediate Support:** ~$265.70. - **Resistance:** $270.00 (psychological) and $272.50. --- ### **📈 Technical Signals** 1. **Ichimoku Cloud:** - Price above the cloud (uptrend). - **Conversion (9):** $267.87 - Dynamic support. 2. **RSI (14):** ~60 (positive momentum without overbought). 3. **Volume:** Increase in green candles would support upward continuation. --- ### **🎯 Targets and Risk Management** - **Entry:** $268.75 (current price) or pullback to $267.00. - **TP1:** $270.00 (+0.46%). - **TP2:** $272.50 (+1.4%). - **SL:** $265.70 (-1.1%). - **Risk-Reward Ratio:** ~1:2 (attractive). --- ### **⚡ Recommended Strategy** 1. **Buy at $267.00-$268.75** with increasing volume. 2. **Take partial profits:** 50% at TP1, 50% at TP2. 3. **Move SL to $268.00** upon reaching TP1. **🔴 Note:** Monitor resistance at $270.00. Breakout with volume would confirm more upside. --- *Source: TradingView #ElFather This is not financial advice.*
### #CRM - Operation of #compra

#### **📊 Key Data**
- **Last Close:** **$268.75** (+0.47%).
- **Daily Range:** $267.13 (L) - $268.75 (H).
- **Immediate Support:** ~$265.70.
- **Resistance:** $270.00 (psychological) and $272.50.

---

### **📈 Technical Signals**
1. **Ichimoku Cloud:**
- Price above the cloud (uptrend).
- **Conversion (9):** $267.87 - Dynamic support.
2. **RSI (14):** ~60 (positive momentum without overbought).
3. **Volume:** Increase in green candles would support upward continuation.

---

### **🎯 Targets and Risk Management**
- **Entry:** $268.75 (current price) or pullback to $267.00.
- **TP1:** $270.00 (+0.46%).
- **TP2:** $272.50 (+1.4%).
- **SL:** $265.70 (-1.1%).
- **Risk-Reward Ratio:** ~1:2 (attractive).

---

### **⚡ Recommended Strategy**
1. **Buy at $267.00-$268.75** with increasing volume.
2. **Take partial profits:** 50% at TP1, 50% at TP2.
3. **Move SL to $268.00** upon reaching TP1.

**🔴 Note:** Monitor resistance at $270.00. Breakout with volume would confirm more upside.

---
*Source: TradingView #ElFather This is not financial advice.*
See original
### **Technical Analysis of #SOLV / #USDT (Futures with 10x Leverage) - LONG Operation** #### **📊 Key Data of the Operation** - **Entry:** **$0.04038 - $0.04163** (Accumulation Zone). - **Take-Profit (TP):** - **TP1:** $0.04187 (+3.7% from low entry). - **TP2:** $0.04274 (+5.8%). - **TP3:** $0.04361 (+8.0%). - **TP4:** $0.04448 (+10.2%). - **Stop-Loss (SL):** **$0.03900** (-3.4% from low entry). - **Leverage:** 10x (isolated). - **Risk-Reward Ratio (TP4 vs SL):** **1:3** (high potential). ### **📈 Technical Context** 1. **Market Structure:** - Price in historical support zone ($0.04000 - $0.04150). - Key resistance at $0.04450 (TP4). 2. **Key Indicators:** - **RSI:** Neutral (~50), no overbought. - **Volume:** Increase in green candles would support momentum. 3. **Objectives:** - Break of $0.04450 could extend rally towards $0.04600. --- ### **⚡ Risk Management** 1. **Entry:** - 60% at $0.04038, 40% at $0.04163 (average: $0.04090). 2. **Tiered TP:** - 30% at TP1, 30% at TP2, 20% at TP3, 20% at TP4. 3. **Dynamic SL:** - Move to $0.04000 upon reaching TP2. --- ### **⚠️ Warnings** - Low-cap altcoin: high volatility. - 10x leverage requires constant monitoring. **🔴 Not financial advice. #ElFather ** --- **🎯 Optimal Strategy:** - Confirm bounce at support with volume. - Use limit orders for better prices. Do you need to adjust TP/SL? I'm here! 🚀
### **Technical Analysis of #SOLV / #USDT (Futures with 10x Leverage) - LONG Operation**

#### **📊 Key Data of the Operation**
- **Entry:** **$0.04038 - $0.04163** (Accumulation Zone).
- **Take-Profit (TP):**
- **TP1:** $0.04187 (+3.7% from low entry).
- **TP2:** $0.04274 (+5.8%).
- **TP3:** $0.04361 (+8.0%).
- **TP4:** $0.04448 (+10.2%).
- **Stop-Loss (SL):** **$0.03900** (-3.4% from low entry).
- **Leverage:** 10x (isolated).
- **Risk-Reward Ratio (TP4 vs SL):** **1:3** (high potential).

### **📈 Technical Context**
1. **Market Structure:**
- Price in historical support zone ($0.04000 - $0.04150).
- Key resistance at $0.04450 (TP4).

2. **Key Indicators:**
- **RSI:** Neutral (~50), no overbought.
- **Volume:** Increase in green candles would support momentum.

3. **Objectives:**
- Break of $0.04450 could extend rally towards $0.04600.

---

### **⚡ Risk Management**
1. **Entry:**
- 60% at $0.04038, 40% at $0.04163 (average: $0.04090).
2. **Tiered TP:**
- 30% at TP1, 30% at TP2, 20% at TP3, 20% at TP4.
3. **Dynamic SL:**
- Move to $0.04000 upon reaching TP2.

---

### **⚠️ Warnings**
- Low-cap altcoin: high volatility.
- 10x leverage requires constant monitoring.

**🔴 Not financial advice. #ElFather **

---
**🎯 Optimal Strategy:**
- Confirm bounce at support with volume.
- Use limit orders for better prices.

Do you need to adjust TP/SL? I'm here! 🚀
See original
#ATOM / #USDT (LONG 18x)** #### **📌 Key Points** - **Entry:** $4.40 (Market Order). - **TPs:** $4.46 (+1.36%), $4.52 (+2.72%), $4.57 (+3.86%). - **SL:** $4.10 (-6.8%). - **Leverage:** 18x (high risk). #### **📈 Context** - Current range: **$4.00-$5.60**. - SL at key support ($4.10). TP3 near resistance ($4.57). - Validate with RSI >50 and bullish volume. #### **⚡ Risks** - 18x leverage: A 5.5% movement can liquidate the position. - Unfavorable risk/reward ratio (1:0.57). #### **🎯 Strategy** 1. Enter only with **1-2% of capital**. 2. Take partial profits (e.g.: 40% at TP1, 30% at TP2). 3. Move SL to $4.30 upon reaching TP1. **🔴 Key:** High-risk operation. Use strict management. --- *Source: Signal from #ElFather . This is not financial advice.*
#ATOM / #USDT (LONG 18x)**

#### **📌 Key Points**
- **Entry:** $4.40 (Market Order).
- **TPs:** $4.46 (+1.36%), $4.52 (+2.72%), $4.57 (+3.86%).
- **SL:** $4.10 (-6.8%).
- **Leverage:** 18x (high risk).

#### **📈 Context**
- Current range: **$4.00-$5.60**.
- SL at key support ($4.10). TP3 near resistance ($4.57).
- Validate with RSI >50 and bullish volume.

#### **⚡ Risks**
- 18x leverage: A 5.5% movement can liquidate the position.
- Unfavorable risk/reward ratio (1:0.57).

#### **🎯 Strategy**
1. Enter only with **1-2% of capital**.
2. Take partial profits (e.g.: 40% at TP1, 30% at TP2).
3. Move SL to $4.30 upon reaching TP1.

**🔴 Key:** High-risk operation. Use strict management.

---
*Source: Signal from #ElFather . This is not financial advice.*
See original
#Cake / #USDT (Futures with 10x Leverage) - SHORT Operation** #### **📊 Key Data of the #Operation** - **Mode:** **#short ** (Short Sell). - **Entry Zone:** **$2.5966 - $2.6744** (Recommended limit orders). - **Take-Profit (TP):** - **TP1:** $2.5813 (-0.6% from low entry). - **TP2:** $2.5265 (-2.7%). - **TP3:** $2.4717 (-4.8%). - **TP4:** $2.4169 (-6.9%). - **Stop-Loss (SL):** **$2.7601** (+6.3% from high entry). - **Leverage:** 10x (isolated). - **Risk-Reward Ratio (TP4 vs SL):** **1:1.1** (adjustable according to management). --- ### **📉 Market Context** 1. **Current Trend:** - CAKE shows weakness in daily/4h charts, with key resistance at **$2.67-$2.76**. - If the price rejects this zone, it would confirm a bearish structure. 2. **Supports/Resistances:** - **Resistance:** $2.7601 (SL). A breakout would invalidate the short. - **Supports:** $2.4169 (TP4) and $2.30 (next psychological zone). 3. **Key Indicators:** - **RSI:** If close to 70 (overbought), strengthens sell signal. - **Volume:** Increase in red candles would confirm selling pressure. --- ### **⚖️ Risk Management** - **Positioning:** - Enter with **50% at $2.5966** and **50% at $2.6744** (averages risk). - **Tiered Take-Profit:** - Close **30% at TP1**, **30% at TP2**, **20% at TP3**, and **20% at TP4**. - **Dynamic Stop-Loss:** - Move SL to **$2.65** upon reaching TP1 (reduces exposure). --- ### **⚠️ Key Warnings** 1. **10x Leverage:** - A 10% move against the position would liquidate the capital. 2. **Volatile Altcoin:** - CAKE may have liquidity spikes (avoid slippage in entries/exits). 3. **News/Events:** - Monitor updates from PancakeSwap (burns, staking, etc.).
#Cake / #USDT (Futures with 10x Leverage) - SHORT Operation**

#### **📊 Key Data of the #Operation**
- **Mode:** **#short ** (Short Sell).
- **Entry Zone:** **$2.5966 - $2.6744** (Recommended limit orders).
- **Take-Profit (TP):**
- **TP1:** $2.5813 (-0.6% from low entry).
- **TP2:** $2.5265 (-2.7%).
- **TP3:** $2.4717 (-4.8%).
- **TP4:** $2.4169 (-6.9%).
- **Stop-Loss (SL):** **$2.7601** (+6.3% from high entry).
- **Leverage:** 10x (isolated).
- **Risk-Reward Ratio (TP4 vs SL):** **1:1.1** (adjustable according to management).

---

### **📉 Market Context**
1. **Current Trend:**
- CAKE shows weakness in daily/4h charts, with key resistance at **$2.67-$2.76**.
- If the price rejects this zone, it would confirm a bearish structure.

2. **Supports/Resistances:**
- **Resistance:** $2.7601 (SL). A breakout would invalidate the short.
- **Supports:** $2.4169 (TP4) and $2.30 (next psychological zone).

3. **Key Indicators:**
- **RSI:** If close to 70 (overbought), strengthens sell signal.
- **Volume:** Increase in red candles would confirm selling pressure.

---

### **⚖️ Risk Management**
- **Positioning:**
- Enter with **50% at $2.5966** and **50% at $2.6744** (averages risk).
- **Tiered Take-Profit:**
- Close **30% at TP1**, **30% at TP2**, **20% at TP3**, and **20% at TP4**.
- **Dynamic Stop-Loss:**
- Move SL to **$2.65** upon reaching TP1 (reduces exposure).

---

### **⚠️ Key Warnings**
1. **10x Leverage:**
- A 10% move against the position would liquidate the capital.
2. **Volatile Altcoin:**
- CAKE may have liquidity spikes (avoid slippage in entries/exits).
3. **News/Events:**
- Monitor updates from PancakeSwap (burns, staking, etc.).
See original
Do you think real trading is perfect? Today I'll show you that it's NOT! 😫 We had a PRACTICALLY perfect entry that, due to a tiny spread issue, was not executed! And to make matters worse, that same trade would have been a brutal TP of 1:3. 😩 Out of our control... and that's how trading is!
Do you think real trading is perfect? Today I'll show you that it's NOT! 😫

We had a PRACTICALLY perfect entry that, due to a tiny spread issue, was not executed! And to make matters worse, that same trade would have been a brutal TP of 1:3. 😩 Out of our control... and that's how trading is!
See original
#LTC / #USDT | HEIGHT ⬆️ [Leverage of 18x in Futures] ⚪️ Entry point: $88 ⚪️ Order type: Limit order ⚪️ We take profits at: $91.7 ⚪️ Stop (Maximum loss): $82 The potential gain when taking the last part will be = +70% ✅ We operate strictly according to the rules and do not over-leverage, we set the targets and stops strictly as indicated in the signal 🤝 ➖➖➖➖➖➖➖➖➖➖➖ | ☝️ | 🟠 BINANCE | #LTC #USDT
#LTC / #USDT | HEIGHT ⬆️
[Leverage of 18x in Futures]
⚪️ Entry point: $88
⚪️ Order type: Limit order
⚪️ We take profits at: $91.7
⚪️ Stop (Maximum loss): $82
The potential gain when taking the last part will be = +70% ✅
We operate strictly according to the rules and do not over-leverage, we set the targets and stops strictly as indicated in the signal 🤝
➖➖➖➖➖➖➖➖➖➖➖
| ☝️ | 🟠 BINANCE | #LTC #USDT
See original
Watch out for the market! Are you already in the market or still watching from the sidelines? The price moved in the right direction and the entry point remains relevant. The signal is developing as expected: the market gave a clear point and at this moment there is an opportunity to enter at a favorable price before the next push. If you are already in a position, react so we can see your activity! | 🟠 BINANCE | #INJ #USDT
Watch out for the market!
Are you already in the market or still watching from the sidelines?
The price moved in the right direction and the entry point remains relevant. The signal is developing as expected: the market gave a clear point and at this moment there is an opportunity to enter at a favorable price before the next push.
If you are already in a position, react so we can see your activity!
| 🟠 BINANCE | #INJ #USDT
See original
Watch out for the market! #INJ/USDT (Futures with 15x Leverage) - LONG Operation** Are you already in the market or still watching from the sidelines? The price moved in the right direction and the entry point remains relevant. The signal is developing as expected: the market gave a clear point and at this moment there is an opportunity to enter at a favorable price before the next impulse. If you are already in a position, react so we can see your activity! | ☝️ 🟠 BINANCE | #INJ #USDT
Watch out for the market!

#INJ/USDT (Futures with 15x Leverage) - LONG Operation**

Are you already in the market or still watching from the sidelines?
The price moved in the right direction and the entry point remains relevant. The signal is developing as expected: the market gave a clear point and at this moment there is an opportunity to enter at a favorable price before the next impulse.
If you are already in a position, react so we can see your activity!
| ☝️ 🟠 BINANCE | #INJ #USDT
See original
### **Technical Analysis of #INJ / #USDT (Futures with 15x Leverage) - LONG Operation** #### **1. Key Data of the Operation** - **Entry (Market Order):** **$14.00** - **Take-Profit (TP) Targets:** - **TP1:** $14.44 (+3.14%) - **TP2:** $14.676 (+4.83%) - **TP3:** $14.80 (+5.71%) - **Stop-Loss (SL):** **$13.28** (-5.14% from entry). - **Leverage:** 15x (high risk). - **Maximum Profit (TP3):** **+82%** (assuming full position size). --- ### **2. Profit/Risk Analysis** - **Risk-Reward Ratio (TP3):** ~1:1.6 (acceptable for scalping/leverage). - Potential loss (SL): -5.14%. - Potential gain (TP3): +5.71% (without leverage), +82% with 15x. - **Recommended Management:** - Partially liquidate at TP1 and TP2 (protects profits). - Move SL to breakeven upon reaching TP1. --- ### **3. Technical Context (LONG Scenario)** - **Key Supports/Resistances:** - **Support:** $13.28 (SL). If broken, it could fall to $12.50. - **Resistance:** $14.80 (TP3). A breakout could extend the rally to $15.50. - **Suggested Indicators (to confirm):** - **RSI:** Must be >50 (bullish momentum). - **Volume:** Increase in entry to validate buying strength. --- ### **4. Risks and Warnings** - **High Leverage (15x):** Amplifies gains/losses. Any adverse movement can liquidate the position quickly. - **Volatility:** INJ is an altcoin; susceptible to pumps/dumps. - **Note:** Trade only with capital you can afford to lose. **🔴 Important:** This analysis is a guide based on the provided signal. Binance/Bybit may have variable spreads or slippage. **This is not financial advice.**
### **Technical Analysis of #INJ / #USDT (Futures with 15x Leverage) - LONG Operation**

#### **1. Key Data of the Operation**
- **Entry (Market Order):** **$14.00**
- **Take-Profit (TP) Targets:**
- **TP1:** $14.44 (+3.14%)
- **TP2:** $14.676 (+4.83%)
- **TP3:** $14.80 (+5.71%)
- **Stop-Loss (SL):** **$13.28** (-5.14% from entry).
- **Leverage:** 15x (high risk).
- **Maximum Profit (TP3):** **+82%** (assuming full position size).

---

### **2. Profit/Risk Analysis**
- **Risk-Reward Ratio (TP3):** ~1:1.6 (acceptable for scalping/leverage).
- Potential loss (SL): -5.14%.
- Potential gain (TP3): +5.71% (without leverage), +82% with 15x.
- **Recommended Management:**
- Partially liquidate at TP1 and TP2 (protects profits).
- Move SL to breakeven upon reaching TP1.

---

### **3. Technical Context (LONG Scenario)**
- **Key Supports/Resistances:**
- **Support:** $13.28 (SL). If broken, it could fall to $12.50.
- **Resistance:** $14.80 (TP3). A breakout could extend the rally to $15.50.
- **Suggested Indicators (to confirm):**
- **RSI:** Must be >50 (bullish momentum).
- **Volume:** Increase in entry to validate buying strength.

---

### **4. Risks and Warnings**
- **High Leverage (15x):** Amplifies gains/losses. Any adverse movement can liquidate the position quickly.
- **Volatility:** INJ is an altcoin; susceptible to pumps/dumps.
- **Note:** Trade only with capital you can afford to lose.

**🔴 Important:** This analysis is a guide based on the provided signal. Binance/Bybit may have variable spreads or slippage. **This is not financial advice.**
See original
**Technical Analysis of Bitcoin (#BTC / #USDT ) - 4h Chart - Binance** ### **1. Key Data** - **Current Price:** 108,632.50 USDT - **Daily High (H):** 108,990.00 USDT - **Daily Low (L):** 108,540.22 USDT - **Daily Change:** -0.025% (≈ -26.71 USDT) - **Recent Price Range:** Between 102,000.00 and 118,000.00 USDT. --- ### **2. Chart Analysis** - **General Trend:** - The price shows sideways movement (consolidation) between **102,000 and 118,000 USDT** in recent weeks, with no clear direction. - The absence of higher highs/lows suggests market indecision. - **Critical Levels:** - **Support:** 102,000 USDT (key area; a breakout could indicate a bearish trend). - **Resistance:** 118,000 USDT (breaking it would confirm bullish momentum). - **Volume and Momentum:** - The small daily variation (-0.025%) and narrow range in the last 4h reflect low volatility and market participation. --- ### **3. Possible Scenarios** - **Bullish:** If the price exceeds **118,000 USDT** with volume, it could target **120,000-125,000 USDT**. - **Bearish:** A close below **102,000 USDT** could lead to testing **100,000 USDT** (psychological support). - **Neutral:** Continuation of consolidation until an external catalyst (e.g., macro news) breaks the balance. --- ### **4. Recommendations** - **Short Term (Traders):** - Trade within the current range (buy near 102,000, sell at
**Technical Analysis of Bitcoin (#BTC / #USDT ) - 4h Chart - Binance**

### **1. Key Data**
- **Current Price:** 108,632.50 USDT
- **Daily High (H):** 108,990.00 USDT
- **Daily Low (L):** 108,540.22 USDT
- **Daily Change:** -0.025% (≈ -26.71 USDT)
- **Recent Price Range:** Between 102,000.00 and 118,000.00 USDT.

---

### **2. Chart Analysis**
- **General Trend:**
- The price shows sideways movement (consolidation) between **102,000 and 118,000 USDT** in recent weeks, with no clear direction.
- The absence of higher highs/lows suggests market indecision.

- **Critical Levels:**
- **Support:** 102,000 USDT (key area; a breakout could indicate a bearish trend).
- **Resistance:** 118,000 USDT (breaking it would confirm bullish momentum).

- **Volume and Momentum:**
- The small daily variation (-0.025%) and narrow range in the last 4h reflect low volatility and market participation.

---

### **3. Possible Scenarios**
- **Bullish:** If the price exceeds **118,000 USDT** with volume, it could target **120,000-125,000 USDT**.
- **Bearish:** A close below **102,000 USDT** could lead to testing **100,000 USDT** (psychological support).
- **Neutral:** Continuation of consolidation until an external catalyst (e.g., macro news) breaks the balance.

---

### **4. Recommendations**
- **Short Term (Traders):**
- Trade within the current range (buy near 102,000, sell at
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