Everything is working out perfectly, they took the liquidity from above, according to my latest analyses. Now it is necessary to close very large clusters from below, so I assume movement in this format.
A good token is in the accumulation stage with a very small capitalization. I suggest you consider it in your portfolio with 2 purchase orders. Also, you can study the information on it yourself, I'm not calling for action, I'm just following this project.
We are still moving in a narrow range. I assume that if the stop losses of long players were taken out from below, then the stop losses of short players should be taken out from above.
Bitcoin has again taken a sideways position. I'm taking a neat short-stop deal. Considering that the market goes down every Monday, it is better to wait and take a deal tomorrow morning.
BNB has failed to overcome global resistance 3 times and is now showing weakness. Against the background of a declining market, that is, a correction, I expect BNB to decline to the $ 335 zone, where it will close all areas of imbalance and take away liquidity.
Since the token has no history, I make a motion vector based on other similar coins (JTO, XAI and the like). We can expect to stop in the areas of $0.55 - $0.51 where two orders can gain a position. There is no take profit, as it is not clear where the price can be put forward. I would fix it in parts, 10% for every 25 points of the price.
Okay, guys, we reached the zone faster than I expected. Now we're waiting, I'm not opening any positions. I do not know what will happen next, no one knows, I do not want to guess. In fact, we have reached an important global zone before halving. After halving, corrections always occur for 2-3 months. That's exactly what I'm waiting for. But it will be in...
The 50,000 zone has been reached, congratulations! Now I expect a lateral distribution in the $50,700 - $52,000 zone. Maybe the altseason. After halving, I expect a correction for 2-3 months, let's get down to business and see where the market may fall. The next analysis will be in a couple of days, as the market needs time to move sideways.
No changes so far. The liquidity zone has shifted higher and now the $46200 level is support.
Bitcoin does not want to take away the liquidity at the bottom and goes straight to the goal. Anyway, I'm looking at the growth scenario only through a correction, it's very difficult to break through the $49,000 level right away. The goal remains unchanged, as before - $50,000 and if we don't stop, then $52,000, I'm not looking any further.
The goal of the movement remains unchanged - $50,000. Then we will observe. There is a lot of liquidity accumulated at the bottom, but if you take it away, they will give many people entry into the long, which is not very logical. Most likely, they will take some of the liquidity from below, at the beginning of next week and go up again.
I still expect a hike to the $50,000 zone, as before. The only thing I can't say for sure is whether we will do it through the liquidation of long positions or immediately go to conquer this level. In any case, I expect the entry point to the long to be lower than the current price.
Adhering to the strategic framework established in preceding days, we have precisely reached the designated area as previously marked. To optimize this positioning, it is prudent to hold our ground in this zone, strategically allowing individuals to establish short positions. Subsequently, our focus shifts towards nurturing short players by injecting momentum...
We have been saving up liquidity from above for more than a week, not letting it go deep down. The scenario from the previous days is relevant, but I decided to show the expected motion vector more locally.
The asset appears relatively weak when compared to other altcoins, having displayed minimal movement throughout the past year. This subdued performance may be attributed to the absence of a significant price catalyst. However, I anticipate that such a catalyst will likely emerge in the near future. The asset is currently undergoing a gradual adjustment towards...
I must say right away that this scenario is possible only in the case of the altseason. A deal with a very short stop, but with a very large profit. The main thing is to keep it, in case of implementation.
There was significantly more excess liquidity over the weekend. Therefore, the plan does not change.
There was significantly more excess liquidity over the weekend. Therefore, the plan does not change.