Long Signal on MORPHOUSDT/Making profit Together /2X-3X LeverageOKX:MORPHOUSDT
📈Which side you pick?
Bull or Bear
Low-risk status: 3x-4x Leverage
Mid-risk status: 5x-8x Leverage
(For beginners, I suggest low risk status)
👾Note: The setup is active but expect the uncertain phase as well. also movement lines drawn to predict future price reactions are relative and approximate.
➡️Entry Area:
Yellow zone: 2.44-2.57
⚡️TP:
2.70
2.84
3.03
🔴SL:
2.31
🧐The Alternate scenario:
If the price stabilizes against the direction of the position, below or above the trigger zone, the setup will be canceled.
Longposition
BNB Long Setup / Use at least 2x-3x leverageBINANCE:BNBUSDT
CRYPTO:BNBUSD
📈Which side you pick?
Bull or Bear
Low-risk status: 3x-4x Leverage
Mid-risk status: 5x-8x Leverage
(For beginners, I suggest low risk status)
👾Note: The setup is active but expect the uncertain phase as well. also movement lines drawn to predict future price reactions are relative and approximate.
➡️Entry Area:
Yellow zone 655-680
⚡️TP:
714
754
🔴SL:
617
🧐The Alternate scenario:
If the price stabilizes against the direction of the position, below or above the trigger zone, the setup will be canceled.
How Short Sales Indicate Buying ActivityA Beginner-Friendly Guide to How Short Sales Indicate Buying Activity
█ What is a Short Sale?
A short sale is when someone sells a stock they don't actually own, usually because they believe the price will drop. They borrow the stock, sell it at the current price, and hope to buy it back later at a lower price to return to the lender.
However, not all short sales are for speculation! In fact, about half of all trades in the market are short sales, which seems strange unless we look deeper.
QUICK SUMMARY
🧐 What is a Short Sale?
A short sale is when someone sells a stock they don't own, hoping to buy it back later at a lower price.
Normally, people think short sales mean traders are betting that the stock will go down. But there's more to the story!
💡 Why Are Short Sales Important for Understanding Buying?
About half of all trades in the market are short sales! This means there's something deeper going on.
Market-makers (people who help match buyers and sellers) play a big role here.
👥 What Do Market-Makers Do?
They offer to sell a stock at a slightly higher price and buy at a slightly lower price.
When someone buys a stock from a market-maker, the market-maker short-sells the stock (because they don't own it yet).
✅ This means:
When you see a short sale, it's often because someone is buying from a market-maker. Therefore, short volume (total short sales) is a good indicator of buying activity!
█ Why Short Sales Reflect Buying Activity
Market-makers (MMs) play a crucial role in ensuring there are always buyers and sellers available in the market. Here's how they do it:
⚪ Market-Maker Role:
MMs quote both a buy price (bid) and a sell price (offer) for stocks. For example, they may offer to:
Buy at $19.95 (bid)
Sell at $20.00 (offer)
⚪ Short Sales in Practice:
When an MM offers to sell at $20.00, they often don't own the stock; they are "shorting" it to facilitate the sale. This means:
If an investor buys the stock at $20.00, the MM's sale is reported as a short sale.
If an investor sells the stock to the MM at $19.95, it is reported as a regular (long) sale.
Therefore:
Short sales = Investors buying the stock
Long sales = Investors selling the stock
█ Why This Matters
Since MMs are involved in most trades, short sales can be used as an indicator of buying activity. The more short sales there are, the more buying activity is happening in the market.
⚪ Dark Pools and Short Sales Data
Dark pools are private trading venues where large investors can trade without showing their orders publicly. These venues still have MMs who facilitate trades. Even though trades happen "in the dark," the MM behavior (shorting to sell) still applies.
FINRA collects and publishes data on short sales in dark pools. This data can help us see the relationship between short sales and stock price movements.
⚪ Testing the Idea
When researchers tested this idea, they found:
Higher Short Volume = Higher Stock Prices:
On days when short sales were above 50% of the total volume, the average stock price increased during the day.
When short sales were below 50%, the average stock price decreased.
The Trend is Clear:
When short sales make up a significant part of the market activity, it indicates strong buying interest.
█ The Findings
When short volume is high (above 35%), stocks tend to go up during the day.
When short volume is low (below 35%), stocks are more likely to go down.
Example:
If short volume = 50% → Expect higher buying activity and potential stock gains.
If short volume = 20% → Expect lower buying activity and potential stock declines.
🚀 Practical Tips for Traders
Investors can use short sale data from dark pools to:
Identify potential buying opportunities.
Understand market sentiment (whether people are more likely to buy or sell).
Anticipate short-term stock price movements based on the level of short sales.
Watch short volume data: High short volume can signal strong buying interest.
Use FINRA data: You can find free short sale data on FINRA's website to track these trends.
Be curious: This data isn't widely used yet, so understanding it can give you an edge!
█ Summary
⚪ Short sales are often a sign that investors are buying stocks.
⚪ Dark pool data offers valuable insights into market trends.
⚪ Monitoring short sale volume can help predict intraday stock gains and understand market behavior.
-----------------
Disclaimer
This is an educational study for entertainment purposes only.
The information in my Scripts/Indicators/Ideas/Algos/Systems does not constitute financial advice or a solicitation to buy or sell securities. I will not accept liability for any loss or damage, including without limitation any loss of profit, which may arise directly or indirectly from the use of or reliance on such information.
All investments involve risk, and the past performance of a security, industry, sector, market, financial product, trading strategy, backtest, or individual's trading does not guarantee future results or returns. Investors are fully responsible for any investment decisions they make. Such decisions should be based solely on evaluating their financial circumstances, investment objectives, risk tolerance, and liquidity needs.
My Scripts/Indicators/Ideas/Algos/Systems are only for educational purposes!
Alikze »» Link | Scenario wave 1 of 3 rising - 1D🔍 Technical analysis: Scenario wave 1 of 3 rising - 1D
- It has been moving in a downward channel on the daily time frame.
- Currently, with the failure of the descending channel, in the case of a pullback to the ceiling of the channel or the range of 12.50, it can have the target of 16 to 17 dollars in the first step.
- This ascending wave is the previous wave. But in a longer-term perspective, wave 2 correction in the green box range has ended.
- Therefore, this recent motivational wave, micro-waves, wave 1 out of 3 is rising.
💎 In addition, this increasing wave can continue to climb up to Fibo 1.272 and 1.618 if the supply zone is broken.
⚠️ Note: If the candlestick closes below the 12.50 zone, the bullish scenario is invalidated and can retest the green box zone. ⚠️
💎 Currently, according to the momentum, the first scenario or the bullish scenario is more likely.
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BINANCE:LINKUSDT
Binance Coin Long Setup Setting / Next Alt-Season BasketBINANCE:BNBUSDT
OKX:BNBUSDT
📈Which side you pick?
Bull or Bear
SL1 ---> Low-risk status: 3x-4x Leverage
SL2 ---> Mid-risk status: 5x-8x Leverage
(If there is just one SL on the chart, I suggest, low risk status)
Considering the price trend in its previous channel, by repeating the stabilization of the price at the bottom of the second parallel channel, it can be expected that the price will continue to move up to the top of the new channel.
The price breaking above the specified level can increase the certainty of the realization of the price target.
The price falling below the red level cancels the bullish scenario of Binance Coin.
Potential price targets for the levels will be $950 and $1,447.
👾Note: The setup is active but expect the uncertain phase as well. also movement lines drawn to predict future price reactions are relative and approximate.
➡️Entry Area:
Yellow zone
⚡️TP:
950
1447
2340
3515
🔴SL:
252
🧐The Alternate scenario:
If the price stabilize against the direction of the position, below or above the trigger zone, the setup will be canceled.
PNUT - Strong Support - LONGWe are at a strong support level. Get ready for a significant move. If BTC doesn't have an impact, we could reach a favorable price level.
T1: 1.18 - 1.20 (protect trade) - 4 hour
T2: 1.35 (partial or close) - 4 hour
T3: 1.50 (close) - daily
Stoploss: 0.85 (4 hour) or 0.75 (daily)
GOLD BUY NOW! TA & FA confirmed!SAXO:XAUUSD Technical Analysis gives us clue for GOLD to move higher and higher. We can see in M30 chart that bullish pennant already made and GOLD continue to make a breakout movement. In H4 chart we can see a trendline resistance also already tested. Now GOLD just test a fibbo daily resistance at 2675-2677. Confirm BUY if it's body in H4 already break it.
As middle east war remain in uncertainty and Syria President's Assad knocked down, also Russia - Ukraine potentially cause more intentions, investors looking for safe haven assets like GOLD. We also must remember that Trump Supply Side Economic will take control again and it gives optimism in US macro-economic conditions. Inflation currently in path to go down 2.00% but Trump second era would potentially increase inflation for a longer projection. Although now investor and traders in CME bet 86% for FED Cut Rate this month and this is something that makes GOLD moves higher
Any idea? just leave your comment below. Thanks
RDNTUSDT Long Setup Setting / FUTURES TradeBINANCE:RDNTUSDT
📈Which side you pick?
Bull or Bear
Low-risk status: 3x-4x Leverage
Mid-risk status: 5x-8x Leverage
(For beginners, I suggest low risk status)
👾Note: The setup is active but expect the uncertain phase as well. also movement lines drawn to predict future price reactions are relative and approximate.
➡️Entry Area:
Yellow zone
⚡️TP:
0.1119
0.1204
0.1316
🔴SL:
0.0893
🧐The Alternate scenario:
If the price stabilizes against the direction of the position, below or above the trigger zone, the setup will be canceled.
PENDLEUSDT Long Setup Setting / Spot TradeBINANCE:RDNTUSDT
📈Which side you pick?
Bull or Bear
Low-risk status: 3x-4x Leverage
Mid-risk status: 5x-8x Leverage
(For beginners, I suggest low risk status)
👾Note: The setup is active but expect the uncertain phase as well. also movement lines drawn to predict future price reactions are relative and approximate.
➡️Entry Area:
Yellow zone
⚡️TP:
7.41
8.08
8.70
9.42
🔴SL:
5.579
🧐The Alternate scenario:
If the price stabilizes against the direction of the position, below or above the trigger zone, the setup will be canceled.
buy chz chiliz chz usdt spot analize "🌟 Welcome to Golden Candle! 🌟
We're a team of 📈 passionate traders 📉 who love sharing our 🔍 technical analysis insights 🔎 with the TradingView community. 🌎
Our goal is to provide 💡 valuable perspectives 💡 on market trends and patterns, but 🚫 please note that our analyses are not intended as buy or sell recommendations. 🚫
Instead, they reflect our own 💭 personal attitudes and thoughts. 💭
Follow along and 📚 learn 📚 from our analyses! 📊💡"
The probability of the last downtrend move is low and the price can break the trend line soon
NEOUSDT Long Setup Setting / Spot TradeBINANCE:NEOUSDT
CRYPTO:NEOUSD
📈Which side you pick?
Bull or Bear
SL1 ---> Low-risk status: 3x-4x Leverage
SL2 ---> Mid-risk status: 5x-8x Leverage
(If there is just one SL on the chart, I suggest, low risk status)
👾Note: The setup is active but expect the uncertain phase as well. also movement lines drawn to predict future price reactions are relative and approximate.
➡️Entry Area:
Yellow zone
⚡️TP:
18
20
23.5
25 (Optimistic)
🔴SL:
12.88
🧐The Alternate scenario:
If the price stabilizes against the direction of the position, below or above the trigger zone, the setup will be canceled.
BSE - 108% in 123 Days!BSE Ltd on the daily timeframe demonstrated exceptional performance, achieving all targets and exceeding expectations with a massive 108% gain in just 123 days. This trade was accurately identified using the Risological Swing Trading Indicator.
BSE Key Levels:
TP1: 2781.30 ✅
TP2: 3075.00 ✅
TP3: 3368.70 ✅
TP4: 3550.20 ✅
Technical Analysis:
The entry point was perfectly timed at 2599.80, with a tightly managed stop-loss at 2452.95 to minimize risk.
BSE followed a robust bullish trend, crossing the Risological trend line early and sustaining momentum throughout the trade.
With all targets achieved, the stock's explosive breakout reaffirms the effectiveness of the Risological Swing Trading Indicator in capturing high-momentum moves.
Traders leveraging this setup could capitalize on significant gains while maintaining discipline with predefined stop-loss and take-profit levels.
ZRO Targets for ZRO Holders / Layer ZeroBINANCE:ZROUSDT
COINBASE:ZROUSD
👾
ZRO is an outstanding project, and I'm expecting its price will soar to at least $10.
Given the predicted market volatility in the near future, I recommend that if you haven't invested in this project yet, you start buying gradually and watch the results unfold.
I’ll be providing updates on this setup, so make sure to follow and save it for future reference.
➡️Entry Area:
Yellow zone-
⚡️TP:
Realized
Realized
Ongoing:9.19 - 12.53
🔴Setup Cancellation:
3.15
🧐The Alternate scenario:
If the price stabilizes below the Setup Cancellation zone, the setup will be canceled.
ETH swing thesis by Titan_KarmaPrediction( investment_thesis="**News Analysis:** With no recent news available, it is crucial to remain cautious. The absence of new developments suggests that market participants may rely more heavily on technical and historical data to make trading decisions. It is advisable to stay informed through reliable sources for any updates that could impact ETHUSDT's price. **Market Sentiment Analysis:** The financial analysis indicates a strong bullish sentiment among top traders, with a longShortRatio above 3.0 across various time frames. This suggests that the market is currently optimistic about ETHUSDT's price prospects. However, the overbought conditions highlighted in the technical analysis warrant caution, as they may lead to short-term corrections. **Technical Analysis:** The technical indicators show that ETHUSDT is in overbought territory, with RSI values above 70 and Stochastic indicators reinforcing this condition. Despite the strong upward momentum indicated by positive MACD values and a bullish Ichimoku Cloud setup, the proximity to upper Bollinger Bands and resistance levels suggests potential consolidation or pullback. Key resistance levels to watch are 3972.54 on the 1d timeframe and 3944.19 on the 4h timeframe. **Fundamental Analysis:** The lack of recent news means that fundamental factors are not currently driving ETHUSDT's price. Instead, the strong bullish sentiment and technical indicators are the primary influences. The historical upward trend and recent price surges suggest continued bullish momentum, but the potential for short-term corrections should not be ignored. **Risk Management Strategy:** Given the overbought conditions and strong bullish sentiment, a cautious approach is recommended. Set a stop-loss at $3,850.00 to protect against potential pullbacks. A take-profit level at $4,000.00 is suggested, aligning with the resistance levels and allowing for profit-taking if the bullish trend continues.
Monitor the RSI and Stochastic indicators for signs of a reversal, and adjust the stop-loss and take-profit levels accordingly. OUTCOME: HOLD_BUY STOP_LOSS: $3,850.00 TAKE_PROFIT: $4,000.00 CONFIDENCE LEVEL: 78% EXIT_POINT: $3,950.00 CURRENT PRICE: $3,918.67 ENTRY CRITERIA: - **TIMEFRAME**: 1h - **RSI**: above 70 - **MACD**: Bullish crossover - **MA20**: Price above MA20 - **ATR**: Moderate volatility - **Bollinger Bands**: Price near upper band - **Stochastic Oscillator**: Overbought - **News Impact**: Neutral - **Historical Data**: Resistance at $3,972.54 CURRENT OPEN LONG POSITIONS: 3 CURRENT OPEN SHORT POSITIONS: 1" )
BTC swing thesis by Titan_KarmaPrediction( investment_thesis='**News Analysis:** With no recent news available, it is crucial to remain vigilant and cautious. The absence of news can lead to increased volatility as traders react to technical indicators and market sentiment. Stay informed through reliable sources to catch any emerging developments that could impact the market. **Market Sentiment Analysis:** The current market sentiment for BTCUSDT is mixed, with a slight bias towards long positions in shorter time frames (4h and 1h). However, the 1d data shows fluctuations, indicating uncertainty among traders. The high trading volume suggests active market participation, but the lack of strong consensus calls for careful monitoring of sentiment shifts. **Technical Analysis:** The technical indicators present a mixed picture. The RSI and Stochastic Oscillator indicate overbought conditions across all time frames, suggesting a potential price pullback. The MACD shows bearish momentum on the 1d chart but bullish momentum on shorter time frames. The ADX indicates a strong upward trend, but the price is near resistance levels and the upper Bollinger Band, signaling caution. The Ichimoku Cloud supports a bullish trend, but the proximity to resistance requires careful observation. **Fundamental Analysis:** The strong upward trend in historical data, with significant price and volume increases, supports a bullish outlook. However, the overbought technical indicators and mixed market sentiment suggest a cautious approach. The lack of recent news adds uncertainty, emphasizing the need for risk management. **Risk Management Strategy:** Given the overbought conditions and proximity to resistance, it is advisable to set a stop-loss slightly below the current support level to protect against downside risk. A take-profit level should be set near the next resistance level to capitalize on potential gains if the price breaks through.
Monitor for bearish reversal signals and adjust positions accordingly. CONFIDENCE LEVEL: 68% OUTCOME: HOLD_BUY STOP_LOSS: $101,500.00 TAKE_PROFIT: $104,500.00 EXIT_POINT: $103,500.00 CURRENT PRICE: $102,688.33 ENTRY CRITERIA: - **TIMEFRAME**: 1h - **RSI**: above 70 - **MACD**: Bullish crossover on 4h and 1h - **MA20**: Price above MA20 - **ATR**: Moderate volatility - **Bollinger Bands**: Price near upper band - **Stochastic Oscillator**: Overbought - **News Impact**: Neutral - **Historical Data**: Resistance at $104,000 CURRENT OPEN LONG POSITIONS: 3 CURRENT OPEN SHORT POSITIONS: 1' )
Bullish momentum before the Interest Rate decision by RBNZTomorrow the 26th of November we have the RBNZ Interest Rate decision which it is 90% secure that they will decrease the interest rate from RBNZ with 0.25% , these twenty five basis points should be enough for us to see a Bullish swing trade generated on the GBP/NZD
Current Position would be with two Take profits
First level - 2.15400
Second level - 2.16100
ACHR: Long Position @ Wave 5 (Elliot)Step 1: Ride the Wave 5 Momentum
ACHR is about to start its Wave 5 rally, offering an excellent short-term long opportunity.
Currently we're in the middle of Wave 4 and we will likely experience 3 to 5 days of accumulation/indecision before Wave 5 starts.
Let’s break it down:
Slow Stochastic Bullish Momentum
The Slow Stoch oscillator is signaling strong bullish momentum, albeit in overbought territory. This is typical during Wave 5 and suggests further upside potential before the trend exhausts. Staying with the momentum while it lasts can be very rewarding.
Massive Volume Spike
In the last three weeks, ACHR has seen a significant increase in volume, indicating strong buying interest. Volume often leads price, and this kind of activity strengthens the case for continued upward movement. The surge in interest can drive the stock toward its next key resistance around $9.84.
Fundamental Catalysts Driving Momentum
Recently, ACHR has achieved major milestones, such as progress on FDA approvals and securing new contracts and orders. These developments add to the bullish sentiment, attracting more traders and creating a supportive backdrop for the rally.
Trade Execution: Enter a long position now to take advantage of the current momentum and aim for a target near $9.84 (the resistance zone). Consider tightening your stop-loss to protect profits as the stock approaches this level.
Step 2: Exit, Wait for the ABC Correction, and Re-Enter for a Bigger Move
After completing Wave 5, the market is likely to enter a corrective ABC phase. This is where it’s smart to exit your position and wait on the sidelines. Why? The correction will likely bring the price down to a more attractive level, allowing for a better risk-reward setup for the next big move.
Once the ABC correction concludes, re-entering around the key support zone sets up a new long opportunity with an eye toward the Q1 2025 target of $12. The long-term fundamentals of ACHR and its growing momentum in the market make this a high-probability setup.
Trade Execution: Watch for the corrective phase after Wave 5 completes. Use Fibonacci retracement levels or support zones to identify a potential re-entry point.
Don't sleep on BET. Big buy opportunity.The BET index is currently showing signs of an overextended sell-off, with a significant sell area identified between 17,780 and the recent low at 16,100. Given the steep decline, the index is likely to experience a strong corrective rally, offering a potential buying opportunity in the near future.
The safest entry zone for buying is expected to be between 15,700 and 16,000, where support is anticipated to hold and trigger a reversal. Traders looking to enter this position should place a stop loss at 15,300 to manage downside risk effectively. If the index begins to recover, the take-profit target is set around 17,400, providing an attractive upside potential as the market corrects from its oversold levels.
This setup offers a solid risk-to-reward ratio, with the expectation of a strong upward correction following the recent sell-off, making it an ideal opportunity for traders seeking to capitalize on a rebound in the BET index.
Long Thesis for Veritone (VERI)• Strong Support Level : The stock is holding near a robust support line around $2.50, which has consistently provided a floor for price action in recent months.
• Demand Zone : VERI is entering a recognized demand zone, historically marked by increased buying interest, making this a favorable region for potential price recovery.
• Entry Price Strategy : It’s advisable to consider an entry slightly below the current support line to account for potential short-term volatility, optimizing risk-to-reward.
• Short-Term Price Target : Expectation of a rebound with a target price between $4.50 and $5.00, representing a potential upside of approximately 70-90%.
This looks like a good opportunity for a rebound play. Keep an eye on the support levels and be ready to manage any risk if the stock moves unexpectedly.