Entry: Now or 0.70 TP1: 0.74 | TP2: 0.75 | TP3: 0.76
Tight scalps off the volume cluster. Chart shows heavy liquidity stacked 0.74-0.76 so quick reaction zone. Why long? Price bouncing from demand + buyers defending 0.70. Risk is a wick below 0.70 kills the setup. Take profits fast, don't get greedy on the first tap. NFA $COTI $BANK
Continuation setup from the 0.705-0.720 zone. Structure looks clean for a run to 0.80 if buyers hold this area. Risk note is key — break below 0.680 invalidates. Don't chase, wait for confirmation. Position size smart, let it play out. Bullish bias while zone holds. NFA $BANK $COTI
Bulls regaining control and each recovery has more momentum. +4.22% on 4h with volume starting to expand. Shift from hesitation to bullish continuation. If 0.0165 holds and volume picks up, 0.022 is in play fast. SL tight below 0.0146 if it fails. Watching for that acceleration. NFA $BANK $COTI
15m RSI 26 = oversold bounce trap. 4h still says downside isn’t done. 75% confidence short while 1D chops in a range. 4% drop to TP2 if sellers defend 3.4977. This is momentum selling, not a bottom pick. Wait for 3.49 rejection or let it bleed? NFA $BANK $NBIS
Everyone watching 1D range, 4h already flipped the script. 78% confidence short at 144.42. Trend-following, not counter-trend. 15m RSI 33.39 = momentum bleeding. TP1 is only -1.8% away. ATR 1.43 gives room to reach TP2 without overstaying. Debate: short the breakdown to 140.12 or fade for a bounce? I'm siding with the 4h path of least resistance. NFA $HOME $BANK
4H bias short with 77% confidence vs 1D calling bullish. Someone's lying. 15m RSI 33.41 = momentum exhausted, not just weak. Coiling at 1.2748 with 1H ATR 0.10 = spring setup. 22% drop to TP1 if it triggers. SL above 1.6479 if bulls flip it. Playing the lower TF until 1D flips. NFA $BANK $COTI
Triangle almost complete and +31.83% on the day already. "Buy high, sell higher" setup. Classic. If 0.4872 breaks with volume we run to 0.50 fast. Lose 0.425 and thesis invalid. Watching this one closely. NFA $HOME $BANK
Buy volume stacking and short liquidity above = perfect sweep setup. Push force looks real but risk is high with nobody driving it. If we take those shorts and hold 0.006, next leg prints fast. If candle breaks down, flip short on the retest. Playing it cautious. Let's see. NFA $COTI $HOME
RSI + EMA alignment looks solid. Bounce setup confirmed. +5.78% already and structure still bullish. Clean risk, clear targets. Let it run. NFA $BANK $COTI
Textbook spot to start scaling in. 0.056 holding = bulls defending. If this prints, next leg up gets fun. I'm watching 0.060 flip for confirmation. What do you think, retest or send? NFA $BANK $COTI
Holding above 75.50 is key. Price stabilizing right on support. If buyers defend this zone we get the bounce. Clean scalp setup with tight invalidation. Watch for 76.20 flip first. NFA $BANK $ESP
4h coil armed. Trend + 1D bias both aligned, 81% confidence setup. 0.49 re-entry zone is clean. RSI 15m at 52 = room to run. Wide SL but tight entry = calm before expansion. TP2 0.7566 is the real prize.
Loading the dip or waiting for 0.50 close? NFA $COTI $BANK
Khu vực vào lệnh: 0.1125 – 0.1135 TP1: 0.1110 | TP2: 0.1100 | TP3: 0.1090 SL: 0.1150
Bị từ chối ở vùng đỉnh 0.1188. Giờ đang ở mức 0.1127, ngay trong “khe” vào lệnh. Khối lượng 24h: 9.66M ủng hộ đà đi. Mất 0.1150 thì luận điểm không còn đúng. Vượt rõ ràng 0.1090 và chúng tôi sẽ tiếp tục. Thiết lập RR sạch sẽ. NFA $COTI $BANK