Binance Square

Rai-

Independent trader using own setups & risk management. Binance Square Creator sharing trade ideas, strategies & market structure.
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Content
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Liquidated 🥲$AXL
Liquidated 🥲$AXL
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$RIVER / USDT — Oversold Bounce (Counter-Trend Setup) RIVER just went through a brutal flush (-33.5%), shaking out weak hands. Price is deeply oversold, liquidity is thin, and volatility is extreme — but this is exactly where relief rallies are born. This is not a trend flip, it’s a mean-reversion play with strict risk control. 📉➡️📈 Trade Setup (LONG – Relief Bounce) Entry Zone: $53.5 – $55.5 (support sweep / stabilization zone) Targets: • TP1: $60.0 • TP2: $62.8 (EMA 7 / relief objective) • TP3: $68.5 (only if momentum expands) Stop Loss: Below $49.8 (invalidation of bounce thesis) 🧠 Bias Bullish for a short-term relief rally while price holds above $53.45. This is a bounce trade, not a conviction long. Failure to hold $53 = step aside. 🔍 Why This Setup Exists • RSI ~27 → extreme oversold, exhaustion zone • Heavy sell-off + shorts reducing exposure → pressure easing • Long whale count +15% → absorption, not panic selling • Support defended at daily low $53.45 • Oversold conditions often trigger violent mean-reversion moves ⚠️ Risk Notes (Read This) • Price is below all major EMAs → trend still bearish • Low liquidity + high concentration = sharp wicks both ways • Upcoming unlocks = headline volatility risk 👉 Take profits fast. 👉 Scale out early. 👉 No diamond hands on bounce trades. Survive the chop, take the bounce, protect capital 📊 $RIVER {future}(RIVERUSDT)
$RIVER / USDT — Oversold Bounce (Counter-Trend Setup)

RIVER just went through a brutal flush (-33.5%), shaking out weak hands. Price is deeply oversold, liquidity is thin, and volatility is extreme — but this is exactly where relief rallies are born. This is not a trend flip, it’s a mean-reversion play with strict risk control.

📉➡️📈 Trade Setup (LONG – Relief Bounce)

Entry Zone:
$53.5 – $55.5 (support sweep / stabilization zone)

Targets:
• TP1: $60.0
• TP2: $62.8 (EMA 7 / relief objective)
• TP3: $68.5 (only if momentum expands)

Stop Loss:
Below $49.8 (invalidation of bounce thesis)

🧠 Bias

Bullish for a short-term relief rally while price holds above $53.45.
This is a bounce trade, not a conviction long. Failure to hold $53 = step aside.

🔍 Why This Setup Exists

• RSI ~27 → extreme oversold, exhaustion zone
• Heavy sell-off + shorts reducing exposure → pressure easing
• Long whale count +15% → absorption, not panic selling
• Support defended at daily low $53.45
• Oversold conditions often trigger violent mean-reversion moves

⚠️ Risk Notes (Read This)

• Price is below all major EMAs → trend still bearish
• Low liquidity + high concentration = sharp wicks both ways
• Upcoming unlocks = headline volatility risk

👉 Take profits fast.
👉 Scale out early.
👉 No diamond hands on bounce trades.

Survive the chop, take the bounce, protect capital 📊
$RIVER
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$HEMI / USDT — Bullish Breakout (High-Risk Continuation) HEMI just pushed higher with a clean EMA reclaim and momentum pop, but this isn’t a mindless chase. Buyers are still in control above key support, yet RSI is hot and a token unlock is approaching, so we trade this one with structure and discipline. 📈 Trade Setup (LONG) Entry Zone: 0.0146 – 0.0150 (pullback into EMA support) Targets: • TP1: 0.0155 • TP2: 0.0159 • TP3: 0.0165 Stop Loss: Below 0.0139 🧠 Bias Bullish while price holds above 0.0146. A strong break and hold above 0.0159 can unlock continuation toward 0.0165+. Rejection at 0.0155 = wait, not panic. 🔍 Why This Setup Works • Price cleared EMA 7/25/99 → structure flipped bullish • MACD expanding = momentum still alive • 90+ ecosystem integrations fueling narrative strength • Shorts increasing, but many already underwater → squeeze risk • Strong reaction zone at EMA 25 (0.0146) ⚠️ Risk Notes (Important) • RSI overbought → expect volatility, not straight lines • Jan 29 token unlock (181M) = potential sell pressure 👉 Take partials step by step, don’t get greedy Trade the levels, not the hype 📊 Patience + risk control = edge. $HEMI {future}(HEMIUSDT)
$HEMI / USDT — Bullish Breakout (High-Risk Continuation)

HEMI just pushed higher with a clean EMA reclaim and momentum pop, but this isn’t a mindless chase. Buyers are still in control above key support, yet RSI is hot and a token unlock is approaching, so we trade this one with structure and discipline.

📈 Trade Setup (LONG)

Entry Zone:
0.0146 – 0.0150 (pullback into EMA support)

Targets:
• TP1: 0.0155
• TP2: 0.0159
• TP3: 0.0165

Stop Loss:
Below 0.0139

🧠 Bias

Bullish while price holds above 0.0146.
A strong break and hold above 0.0159 can unlock continuation toward 0.0165+. Rejection at 0.0155 = wait, not panic.

🔍 Why This Setup Works

• Price cleared EMA 7/25/99 → structure flipped bullish
• MACD expanding = momentum still alive
• 90+ ecosystem integrations fueling narrative strength
• Shorts increasing, but many already underwater → squeeze risk
• Strong reaction zone at EMA 25 (0.0146)

⚠️ Risk Notes (Important)

• RSI overbought → expect volatility, not straight lines
• Jan 29 token unlock (181M) = potential sell pressure
👉 Take partials step by step, don’t get greedy

Trade the levels, not the hype 📊
Patience + risk control = edge.
$HEMI
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$AXL 👀
$AXL 👀
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483 days in and the adventure is just getting started! ⏰✨ Proud of the journey so far with Binance. What's your top memory from your crypto experience? #BİNANCE #crypto
483 days in and the adventure is just getting started! ⏰✨ Proud of the journey so far with Binance.
What's your top memory from your crypto experience?
#BİNANCE #crypto
S
SENTUSDT
Closed
PNL
+161.83%
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🚨 TRADERS — SAFE-HAVEN ALERT 👀 $PAXG SETUP This isn’t hype — this is capital rotation. Gold just broke above $5,000, and $PAXG is moving exactly how a risk-off asset should when geopolitics + de-dollarization collide. Trend is cleanly bullish. Institutions are building a floor, shorts are uncomfortable, and price is compressing under a key resistance that can unlock the next leg. 📈 $PAXG LONG PLAN (Breakout + Continuation) Bias: LONG (trend continuation / squeeze play) • Entry Zone: $5,085 – $5,115 (pullback or consolidation hold) • Breakout Add: Clean break & hold above $5,150 • TP1: $5,200 • TP2: $5,300 • TP3: $5,450 (extension if squeeze accelerates) • SL: $5,040 (below EMA 99 + structure) 🧠 Why This Trade Makes Sense • Price above EMA 7/25/99 → strong bullish structure • MACD positive with expanding histogram = momentum intact • 183 short whales underwater → fuel above $5,150 • Institutional floor built near $5,000 (3x buy dominance) • $821M volume = serious participation, not retail noise • Macro tailwinds: geopolitical risk + de-dollarization ⚠️ Risk Notes RSI ~67 → momentum is healthy, but expect short consolidations. That’s not weakness — that’s reloading. 👉 Best trades come from structure, not chasing candles. 👉 Scale in smart, trail stops, and let gold do what gold does best. Slow. Heavy. Relentless. 🟡📊 {future}(PAXGUSDT)
🚨 TRADERS — SAFE-HAVEN ALERT 👀 $PAXG SETUP

This isn’t hype — this is capital rotation.
Gold just broke above $5,000, and $PAXG is moving exactly how a risk-off asset should when geopolitics + de-dollarization collide.

Trend is cleanly bullish. Institutions are building a floor, shorts are uncomfortable, and price is compressing under a key resistance that can unlock the next leg.

📈 $PAXG LONG PLAN (Breakout + Continuation)

Bias: LONG (trend continuation / squeeze play)

• Entry Zone: $5,085 – $5,115 (pullback or consolidation hold)
• Breakout Add: Clean break & hold above $5,150
• TP1: $5,200
• TP2: $5,300
• TP3: $5,450 (extension if squeeze accelerates)
• SL: $5,040 (below EMA 99 + structure)

🧠 Why This Trade Makes Sense

• Price above EMA 7/25/99 → strong bullish structure
• MACD positive with expanding histogram = momentum intact
• 183 short whales underwater → fuel above $5,150
• Institutional floor built near $5,000 (3x buy dominance)
• $821M volume = serious participation, not retail noise
• Macro tailwinds: geopolitical risk + de-dollarization

⚠️ Risk Notes

RSI ~67 → momentum is healthy, but expect short consolidations.
That’s not weakness — that’s reloading.

👉 Best trades come from structure, not chasing candles.
👉 Scale in smart, trail stops, and let gold do what gold does best.

Slow. Heavy. Relentless. 🟡📊
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🚨 TRADERS — EYES ON 👀 $AXL BREAKOUT UPDATE This one already delivered 🔥 AXL just pushed to $0.10 (+38%), confirming the breakout we were stalking. Momentum is real, but now the game shifts from entry hunting to structure management. Trend is firmly bullish, shorts are under pressure, and buyers are still in control — but after a vertical move, smart traders don’t chase, they position. 📈 $AXL LONG PLAN (Continuation Setup) Bias: LONG (trend continuation, not FOMO) Option 1️⃣ — Pullback Play (Safer) • Entry Zone: $0.094 – $0.097 (retest of breakout zone) • TP1: $0.105 • TP2: $0.112 • TP3: $0.125 • SL: $0.089 (below key EMA + whale entry) Option 2️⃣ — Break & Hold (Aggressive) • Entry: Reclaim & hold above $0.100 with volume • Targets: Same as above • SL: $0.094 🧠 Why $AXL Still Has Room • Clean breakout above $0.0944 → short squeeze trigger hit • Shorts already exiting → forced covering risk remains • Top traders 17:1 buy/sell = strong conviction, not distribution • MACD expanding + price riding upper Bollinger Band • High volume/MC ratio = sustained retail momentum • Market fear present, yet AXL is decoupling → relative strength ⚠️ Risk Management Notes RSI ~75 = hot but not broken. Cooling through consolidation is bullish, not bearish. 👉 If you missed early entries, wait for structure. 👉 If you’re in profits, scale out smartly and trail stops. Winners aren’t the fastest — they’re the most patient 📊🔥 {future}(AXLUSDT)
🚨 TRADERS — EYES ON 👀 $AXL BREAKOUT UPDATE

This one already delivered 🔥
AXL just pushed to $0.10 (+38%), confirming the breakout we were stalking. Momentum is real, but now the game shifts from entry hunting to structure management.

Trend is firmly bullish, shorts are under pressure, and buyers are still in control — but after a vertical move, smart traders don’t chase, they position.

📈 $AXL LONG PLAN (Continuation Setup)

Bias: LONG (trend continuation, not FOMO)

Option 1️⃣ — Pullback Play (Safer)

• Entry Zone: $0.094 – $0.097 (retest of breakout zone)
• TP1: $0.105
• TP2: $0.112
• TP3: $0.125
• SL: $0.089 (below key EMA + whale entry)

Option 2️⃣ — Break & Hold (Aggressive)

• Entry: Reclaim & hold above $0.100 with volume
• Targets: Same as above
• SL: $0.094

🧠 Why $AXL Still Has Room

• Clean breakout above $0.0944 → short squeeze trigger hit
• Shorts already exiting → forced covering risk remains
• Top traders 17:1 buy/sell = strong conviction, not distribution
• MACD expanding + price riding upper Bollinger Band
• High volume/MC ratio = sustained retail momentum
• Market fear present, yet AXL is decoupling → relative strength

⚠️ Risk Management Notes

RSI ~75 = hot but not broken.
Cooling through consolidation is bullish, not bearish.

👉 If you missed early entries, wait for structure.
👉 If you’re in profits, scale out smartly and trail stops.

Winners aren’t the fastest — they’re the most patient 📊🔥
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Bullish
🚨 TRADERS — LOCK IN 👀 $PUMP SETUP Momentum is very strong, but this is not a blind FOMO chase. Smart money already showed its hand — now we wait for structure to pay us. $PUMP just exploded +21.5% and is up 71% monthly, holding firmly above EMA clusters. Shorts got squeezed, whales flipped bullish, and price is pressing against a key neckline. Trend is bullish, but RSI is screaming hot — meaning pullback or consolidation first, then continuation. 📈 $PUMP LONG PLAN (High-Probability Setup) Bias: LONG (trend continuation) • Entry Zone: $0.00295 – $0.00302 (pullback / retest of neckline) • TP1: $0.00345 • TP2: $0.00385 • TP3: $0.00460 • SL: $0.00268 (below whale floor + EMA support) 🧠 Why This Is a LONG • Inverse Head & Shoulders confirmed — breakout valid above $0.003025 • Whale longs increased, short whales capitulated (L/S +30%) • Strong whale defense at $0.00294 • MACD bullish crossover + Bollinger Band expansion • $256M volume + net large-holder inflows = real conviction • Shorts trapped near $0.00270 → fuel for continuation squeeze ⚠️ Risk Notes RSI at 88+ = overheated. If price chops, that’s healthy consolidation, not weakness. 👉 Best entry is patience, not panic buys at highs. Scale profits, respect stops, and let momentum do the heavy lifting 📊🔥 {future}(PUMPUSDT)
🚨 TRADERS — LOCK IN 👀 $PUMP SETUP

Momentum is very strong, but this is not a blind FOMO chase. Smart money already showed its hand — now we wait for structure to pay us.

$PUMP just exploded +21.5% and is up 71% monthly, holding firmly above EMA clusters. Shorts got squeezed, whales flipped bullish, and price is pressing against a key neckline. Trend is bullish, but RSI is screaming hot — meaning pullback or consolidation first, then continuation.

📈 $PUMP LONG PLAN (High-Probability Setup)

Bias: LONG (trend continuation)

• Entry Zone: $0.00295 – $0.00302 (pullback / retest of neckline)
• TP1: $0.00345
• TP2: $0.00385
• TP3: $0.00460
• SL: $0.00268 (below whale floor + EMA support)

🧠 Why This Is a LONG

• Inverse Head & Shoulders confirmed — breakout valid above $0.003025
• Whale longs increased, short whales capitulated (L/S +30%)
• Strong whale defense at $0.00294
• MACD bullish crossover + Bollinger Band expansion
• $256M volume + net large-holder inflows = real conviction
• Shorts trapped near $0.00270 → fuel for continuation squeeze

⚠️ Risk Notes

RSI at 88+ = overheated.
If price chops, that’s healthy consolidation, not weakness.

👉 Best entry is patience, not panic buys at highs.

Scale profits, respect stops, and let momentum do the heavy lifting 📊🔥
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16000$ 🤤😍 Thanks to $DODOX and $GUN
16000$ 🤤😍
Thanks to $DODOX and $GUN
S
DODOXUSDT
Closed
PNL
+26.05%
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Bullish
🚨 STOP SCROLLING — GOLD JUST BROKE HISTORY 🟡🔥 This is not a normal move… XAU just printed a NEW ALL-TIME HIGH. 📈 GOLD ($XAU ) BREAKING NEWS — JAN 26, 2026 Gold has exploded to $5,070–$5,111 per ounce, setting a fresh record and confirming what smart money has been preparing for 👇 👉 This is a structural bull market. 🏦 WHY GOLD IS FLYING • Rising geopolitical uncertainty • Heavy institutional & central bank buying • Growing expectations of Fed rate cuts in 2026 • Global debt + inflation fears pushing capital into safety Gold is doing its job — protecting wealth. 💰 BIG BANKS TURN EVEN MORE BULLISH Top institutions are now raising targets 👀 • Upside forecasts: $5,400 → $6,000+ by end of 2026 • Strong consensus: trend remains UP This isn’t retail hype — this is balance-sheet money moving. ⚠️ BUT WATCH THIS (VERY IMPORTANT) Short-term pullbacks are possible if: • U.S. data comes in very strong • The dollar spikes • Global tensions cool down 📉 Key support zones to watch: • $4,935 • $4,800 Pullbacks = retests, not trend breaks (unless macro flips). 🧠 WHAT’S SUPPORTING GOLD LONG-TERM • Central banks buying nonstop • Limited mine supply • Lower rates reduce holding cost • Investors hedging inflation & recession risk This creates a strong price floor under XAU. 🎯 FINAL TAKE Gold isn’t spiking because of fear alone. It’s rising because the system is changing. When: • Central banks buy • Institutions raise targets • Price makes ATHs You don’t fight the trend — you respect it. 👀 Is this just the beginning of a historic run… or will we see a healthy pullback before the next leg? $XAU {future}(XAUUSDT) #GOLD #XAUUSD
🚨 STOP SCROLLING — GOLD JUST BROKE HISTORY 🟡🔥
This is not a normal move… XAU just printed a NEW ALL-TIME HIGH.

📈 GOLD ($XAU ) BREAKING NEWS — JAN 26, 2026

Gold has exploded to $5,070–$5,111 per ounce, setting a fresh record and confirming what smart money has been preparing for 👇

👉 This is a structural bull market.

🏦 WHY GOLD IS FLYING
• Rising geopolitical uncertainty
• Heavy institutional & central bank buying
• Growing expectations of Fed rate cuts in 2026
• Global debt + inflation fears pushing capital into safety

Gold is doing its job — protecting wealth.

💰 BIG BANKS TURN EVEN MORE BULLISH
Top institutions are now raising targets 👀
• Upside forecasts: $5,400 → $6,000+ by end of 2026
• Strong consensus: trend remains UP

This isn’t retail hype — this is balance-sheet money moving.

⚠️ BUT WATCH THIS (VERY IMPORTANT)
Short-term pullbacks are possible if:
• U.S. data comes in very strong
• The dollar spikes
• Global tensions cool down

📉 Key support zones to watch:
• $4,935
• $4,800

Pullbacks = retests, not trend breaks (unless macro flips).

🧠 WHAT’S SUPPORTING GOLD LONG-TERM
• Central banks buying nonstop
• Limited mine supply
• Lower rates reduce holding cost
• Investors hedging inflation & recession risk

This creates a strong price floor under XAU.

🎯 FINAL TAKE
Gold isn’t spiking because of fear alone.
It’s rising because the system is changing.

When:
• Central banks buy
• Institutions raise targets
• Price makes ATHs

You don’t fight the trend — you respect it.

👀 Is this just the beginning of a historic run…
or will we see a healthy pullback before the next leg?
$XAU
#GOLD #XAUUSD
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🚀 SILVER JUST DID THE UNTHINKABLE 🤯 | $XAG 🪙 New ALL-TIME HIGH: ~$110/oz (Jan 26, 2026) Silver isn’t moving… it’s exploding 🔥 ⚡ Why this rally is historic: ➡️ +260% in just 1 year ➡️ Broke $100 → $109+ in days ➡️ One of the strongest commodity runs in decades 🏭 Real demand is driving this (not hype): ➡️ ~60% of silver demand = industrial use ➡️ Solar panels, EVs, electronics 📈 ➡️ Physical supply deficit running since 2018 🌍 Macro fuel added to the fire: ➡️ Rate cut expectations ➡️ Weaker USD ➡️ Geopolitical tensions = safe-haven rush ⚖️ Gold vs Silver signal: ➡️ Gold/Silver ratio crushed to ~46:1 ➡️ Lowest in ~15 years ➡️ Silver clearly outperforming gold 🥇➡️🥈 ⚠️ But be smart: ➡️ Parabolic moves = FOMO risk ➡️ Strong trend, but pullbacks are healthy 🧠 Bottom line: This isn’t a normal pump. Silver is in a structural super-cycle — but discipline matters now. 👇 What’s your plan? Hold 👐 | Take profit 💰 | Wait for pullback ⏳ $XAG {future}(XAGUSDT)
🚀 SILVER JUST DID THE UNTHINKABLE 🤯 | $XAG

🪙 New ALL-TIME HIGH: ~$110/oz (Jan 26, 2026)
Silver isn’t moving… it’s exploding 🔥

⚡ Why this rally is historic:
➡️ +260% in just 1 year
➡️ Broke $100 → $109+ in days
➡️ One of the strongest commodity runs in decades

🏭 Real demand is driving this (not hype):
➡️ ~60% of silver demand = industrial use
➡️ Solar panels, EVs, electronics 📈
➡️ Physical supply deficit running since 2018

🌍 Macro fuel added to the fire:
➡️ Rate cut expectations
➡️ Weaker USD
➡️ Geopolitical tensions = safe-haven rush

⚖️ Gold vs Silver signal:
➡️ Gold/Silver ratio crushed to ~46:1
➡️ Lowest in ~15 years
➡️ Silver clearly outperforming gold 🥇➡️🥈

⚠️ But be smart:
➡️ Parabolic moves = FOMO risk
➡️ Strong trend, but pullbacks are healthy

🧠 Bottom line:
This isn’t a normal pump.
Silver is in a structural super-cycle — but discipline matters now.

👇 What’s your plan?
Hold 👐 | Take profit 💰 | Wait for pullback ⏳
$XAG
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🚨 $DODOX SHORT SETUP (TACTICAL / COUNTER-TREND) $DODOX just made a sharp EMA reclaim after a 13.9% pump. Momentum is strong, but price is now approaching a key supply + psychological resistance, where profit-taking is likely. 📉 $DODOX SHORT PLAN Bias: SHORT (rejection / pullback play) Entry Zone: $0.0207 – $0.0212 TP1: $0.0194 TP2: $0.0186 TP3: $0.0179 (EMA base) SL: $0.0221 🧠 Why This SHORT Works • Price approaching major resistance at $0.0209 • RSI 57 → room to cool without breaking structure • Sharp +14% move = late longs vulnerable • Neutral top-trader conviction → no squeeze risk • Spot-driven pump = profit-taking usually fast • Broader market weak → limits upside continuation ⚠️ Important Rules ❌ DO NOT short below $0.0200 (bad R:R) ✅ Only short rejection wick / failed breakout ❌ If 4H close above $0.0212 → invalidate short This is a pullback short, not a trend reversal 📌 Alternative Plan (If Short Fails) If DODO accepts above $0.0212, flip bias → LONG continuation toward $0.0235–$0.025 {future}(DODOXUSDT)
🚨 $DODOX SHORT SETUP (TACTICAL / COUNTER-TREND)

$DODOX just made a sharp EMA reclaim after a 13.9% pump. Momentum is strong, but price is now approaching a key supply + psychological resistance, where profit-taking is likely.

📉 $DODOX SHORT PLAN

Bias: SHORT (rejection / pullback play)

Entry Zone: $0.0207 – $0.0212
TP1: $0.0194
TP2: $0.0186
TP3: $0.0179 (EMA base)
SL: $0.0221

🧠 Why This SHORT Works

• Price approaching major resistance at $0.0209
• RSI 57 → room to cool without breaking structure
• Sharp +14% move = late longs vulnerable
• Neutral top-trader conviction → no squeeze risk
• Spot-driven pump = profit-taking usually fast
• Broader market weak → limits upside continuation

⚠️ Important Rules

❌ DO NOT short below $0.0200 (bad R:R)

✅ Only short rejection wick / failed breakout

❌ If 4H close above $0.0212 → invalidate short

This is a pullback short, not a trend reversal

📌 Alternative Plan (If Short Fails)
If DODO accepts above $0.0212, flip bias → LONG continuation toward $0.0235–$0.025
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Bullish
🔥 PARABOLIC MOVE — DON’T CHASE THIS 👀 $RESOLV — PULLBACK LONG (MEAN-REVERSION PLAY) 📈 Bias: LONG (only after cooldown) • Entry: $0.124 – $0.128 • TP1: $0.145 • TP2: $0.160 • TP3: $0.185 • SL: $0.112 🧠 Why This Works: • +35% impulse = strong trend • RSI ~98 → extreme overbought, pullback likely • Whale inflows ~$119k = real backing • Shorts trapped at $0.1137 → squeeze fuel • Holding above $0.126 keeps structure bullish ⚠️ Note: This is a wait-for-dip trade, not a market buy. Patience > prediction 📊🔥 $RESOLV {future}(RESOLVUSDT)
🔥 PARABOLIC MOVE — DON’T CHASE THIS 👀

$RESOLV — PULLBACK LONG (MEAN-REVERSION PLAY)

📈 Bias: LONG (only after cooldown)

• Entry: $0.124 – $0.128
• TP1: $0.145
• TP2: $0.160
• TP3: $0.185
• SL: $0.112

🧠 Why This Works:
• +35% impulse = strong trend
• RSI ~98 → extreme overbought, pullback likely
• Whale inflows ~$119k = real backing
• Shorts trapped at $0.1137 → squeeze fuel
• Holding above $0.126 keeps structure bullish

⚠️ Note: This is a wait-for-dip trade, not a market buy.

Patience > prediction 📊🔥
$RESOLV
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Profit mode: ON. 😍🚀 This is just the beginning of a big year Wish me luck. 🙏✨ $GUN $AUCTION $BREV
Profit mode: ON. 😍🚀 This is just the beginning of a big year Wish me luck. 🙏✨
$GUN $AUCTION $BREV
B
AUCTIONUSDT
Closed
PNL
+19.49%
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Thanks😍😘 $AUCTION
Thanks😍😘 $AUCTION
B
AUCTIONUSDT
Closed
PNL
+19.49%
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Let's see how this trade perform 🙃 $AUCTION Don't hit my SL 🙂🤪
Let's see how this trade perform 🙃
$AUCTION Don't hit my SL 🙂🤪
B
AUCTIONUSDT
Closed
PNL
+19.49%
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🔥 EVENT HYPE + SQUEEZE SETUP 👀 $AUCTION — PULLBACK LONG (VOLATILITY PLAY) 📈 Bias: LONG (dip-buy, not chase) • Entry: $6.95 – $7.10 • TP1: $7.85 • TP2: $8.28 • TP3: $9.40 • SL: $6.45 🧠 Why This Works: • +32% surge while market is fearful = relative strength • Holding $6.98 mid-BB = bull defense zone • 110 shorts trapped at $6.45 → squeeze fuel • Long whales +16% (avg $6.74) = support below • Ondo Summit (Feb 3) = hype catalyst ⚠️ Note: Volume is extreme → expect fast moves both ways. Manage size. Let structure lead, not excitement 📊🔥 $AUCTION {future}(AUCTIONUSDT)
🔥 EVENT HYPE + SQUEEZE SETUP 👀

$AUCTION — PULLBACK LONG (VOLATILITY PLAY)

📈 Bias: LONG (dip-buy, not chase)

• Entry: $6.95 – $7.10
• TP1: $7.85
• TP2: $8.28
• TP3: $9.40
• SL: $6.45

🧠 Why This Works:
• +32% surge while market is fearful = relative strength
• Holding $6.98 mid-BB = bull defense zone
• 110 shorts trapped at $6.45 → squeeze fuel
• Long whales +16% (avg $6.74) = support below
• Ondo Summit (Feb 3) = hype catalyst

⚠️ Note: Volume is extreme → expect fast moves both ways. Manage size.

Let structure lead, not excitement 📊🔥
$AUCTION
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🚨 $RIVER — INSTITUTIONS IN, VOLATILITY LOADING $RIVER just pulled a +1,400% monthly run after securing $12M funding and expanding to Sui — but risk is rising fast. 📊 Snapshot • Price: $63.45 (+18.5%) • Above EMA 99 → trend still bullish • RSI: 77.6 → overheated • Liquidity thin → sharp moves likely 🐋 Whale Watch • L/S ratio: 4.37 • Whales up +95% (avg entry ~$32.5) • Break $65 = short squeeze risk • ⚠️ Top 10 hold 88% supply → manipulation risk 🧠 Trade Read • Bullish while above $60 • Pullback zone: $57 if RSI cools • Momentum play, not a safe hold Big money is here — but so is volatility. Trade smart, not emotional 👀🔥 $RIVER {future}(RIVERUSDT)
🚨 $RIVER — INSTITUTIONS IN, VOLATILITY LOADING

$RIVER just pulled a +1,400% monthly run after securing $12M funding and expanding to Sui — but risk is rising fast.

📊 Snapshot
• Price: $63.45 (+18.5%)
• Above EMA 99 → trend still bullish
• RSI: 77.6 → overheated
• Liquidity thin → sharp moves likely

🐋 Whale Watch
• L/S ratio: 4.37
• Whales up +95% (avg entry ~$32.5)
• Break $65 = short squeeze risk
• ⚠️ Top 10 hold 88% supply → manipulation risk

🧠 Trade Read
• Bullish while above $60
• Pullback zone: $57 if RSI cools
• Momentum play, not a safe hold

Big money is here — but so is volatility.
Trade smart, not emotional 👀🔥
$RIVER
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