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Technical Overview – Summary Points
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Strategic Summary
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Multi-Timeframe Analysis
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Technical Overview – Summary Points
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- Momentum: Dominant bullish structure across all timeframes, major resistance at 106.7k–112k.
- Supports/Resistances: 106743 (multi-TF pivot), 103000–105000 (key supports). Price compressed below main resistance.
- Volume: Normal to moderately high, a few occasional yellow spikes, no massive distribution or capitulation.
- Behavior Multi-TF:Risk On / Risk Off Indicator bullish at every horizon. Behavioral indicator (ISPD DIV) in constant buy zone, no orange anomaly.
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Strategic Summary
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- Overall Bias: Bullish structure intact, sustained momentum up to the critical 106.7k–112k resistance.
- Opportunities: Swing entries on 103–105k support clusters, long scalps on 15–30min signals, partial exits near/under key resistances.
- Risk Zones: Confirmed break below 103k = major bearish alert, repeated rejection below 106.7k–112k = risk of extended/distributive range.
- Macro Catalysts: US data (ADP, ISM, PMI), stablecoin/GENIUS regulation. High-volatility windows expected during major news (03/06–04/06).
- Action Plan: Active management, progressive reinforcement on pullbacks, controlled exposure below resistance, stop-loss advised < 103k.
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Multi-Timeframe Analysis
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- Daily: Pivot High 1D: 111949/ Pivot Low 1D: 93337.4. Stalled below 106.7k–112k. Normal volume, strong software sector/Risk On / Risk Off Indicator buy signal, healthy behaviors.
- 12H – 4H: Compression in 104.5k–106.7k/109.9k. Cautious bullish bias, localized volume clusters, all buy signals except on immediate resistance tests.
- 2H – 1H: Technical pullbacks at 104k, micro-range 105–106k. Momentum intact, 15–30min buy signals on every support retest.
- 30min – 15min: High intraday volatility, liquidity absorption at supports, active ranging phase. Risk On / Risk Off Indicator and ISPD consistently bullish.
- ISPD & Risk On / Risk Off Indicator Summary: Buy alignment across the board, no behavioral deviation, strong sector support.
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Summary:
BTC/USDT remains capped beneath the 106.7k–112k resistance, but all multi-TF, behavioral, and sector signals stay bullish above 103k. Favored setup: active management around supports, prudent profit-taking below resistance, intensified macro monitoring.
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The information and publications are not meant to be, and do not constitute, financial, investment, trading, or other types of advice or recommendations supplied or endorsed by TradingView. Read more in the Terms of Use.
Disclaimer
The information and publications are not meant to be, and do not constitute, financial, investment, trading, or other types of advice or recommendations supplied or endorsed by TradingView. Read more in the Terms of Use.