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DrDragonBTC
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他正在做空它....
@Binance BiBi
Crypto Huntime
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🚨 6 個理由說明 $WLD 可能很快崩潰 🚨
1. 弱技術結構 & 已破損的支撐位
未能突破 $1.60–$1.69 附近的阻力,反覆被拒絕。
關鍵支撐位 $1.54 正受到壓力;如果突破,可能會測試更低的水平。
日線和 4 小時圖上的高點逐漸降低,表明賣方逐漸佔據主導地位。
2. 三角形 / 圖案 breakdown 風險
分析師警告三角形形態可能接近突破 — 在某些情況下,目標可能急劇下降,甚至接近 $0.50。
整合並不緊湊;當三角形失敗時,波動性通常會激增。
免責聲明:包含來自第三方的見解。非財務建議。可能包含贊助內容。
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Se toma mucho tiempo la revisión de publicaciones en $GIGGLE Academy... A qué se deberá tanta demora?
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Not selling my $ASTER for less than 3
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Proposal for Verifying Giveaways on X
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So I bought some $USDT worth of $0G and started earning more than 700% APY, but the coin crashed. Good thing I also separated the equivalent to half the ammount of the $ invested and 2X shorted 0G so I was enjoying some APY and not worrying about price action. Then I closed this operation with some net $ gain instead of losing money. An example of the op goes like this: BUY spot 10$ of $0G and short 5$ of 0G with 2X leverage. The op investment totals 15$. You get to keep the APY, whatever ammount that may be.
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I analized $ETH with an AI: and it resulted in this: Direction: Long (Buy on rebound from support). The charts show resilience (no close below MA200), with confluence for a quick intraday push. Confidence: 84% (>80% threshold; boosted by volume rebound and MACD flip, but capped by mixed sentiment—invalid if breaks 4,564 low). Updated Trade Parameters (Binance Spot/Futures: ETH/USDT) Focus on 15m for entries/exits; monitor for volume >2x on upside. Use <2% portfolio risk. Current conditions (post-dip recovery) favor entry now or on next green candle. ParameterValueRationale (Based on Charts & Data)Entry Price$4,600 (current) or pullback to $4,590Above recent close (4,596-4,597); enter on 15m close > MA7 (4,593) with green volume for confirmation. Avoid if gaps below 4,580.Stop Loss (SL)$4,564 (0.8% below entry)Below chart low (4,564) and MA20 support; tight for day trading to cap risk at ~1-2% per trade. Trail to breakeven on +0.5%.Take Profit (TP)$4,650 (1.1% above entry; partial at $4,620)Next resistance (24h high zone 4,644 + upper BB ~4,620); 1:2 R:R ratio. Scale out 50% at first target, hold rest for EOD.Leverage3x (Futures) or 1x (Spot)Suitable for intraday vol (amplitude <1%); higher leverage risks liquidation on dips—use isolated margin.Position Sizing Example ($10k portfolio)$200 risk (0.8% SL = ~$500 position at 1x; ~$1,500 at 3x)Limits total exposure; adjust for your capital/fees. Exit by 23:59 UTC to avoid overnight holds. Execution Notes: Watch 15m for breakout above 4,610 (MA50) with volume spike—could target 4,700 if sentiment flips bullish. Correlate with BTC (ETH/BTC stable).If MACD histogram turns negative again or RSI <50, consider flipping to short (target 4,550).Risks: Choppy sentiment could cause whipsaw to 4,500 (10% drawdown); macro data (e.g., Fed) may amplify. Re-query if charts update. Risk Disclaimer: This is not financial advice; crypto markets are highly volatile—DYOR, use stop-losses, and never invest more than you can afford to lose. Past patterns don't guarantee future results.
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