$ZIL Dual-Scenario Analysis: Pump vs. Pullback Tension ⚡📊
Following a massive 68% pump to 0.00715 with a bullish Supertrend flip,
$ZIL now presents two distinct scenarios. Extreme overbought RSI readings across all timeframes signal a high probability of a pullback, making the short setup the more immediate watch.
Scenario 1: Short Setup (Rejection at Highs) – Higher Probability 📉
Thesis: Play a likely rejection and retracement from overbought extremes.
Entry Zone: 0.00715 – 0.00733 (on rejection)
Stop Loss: 0.00740
Take-Profit Targets:
TP1: 0.00660
TP2: 0.00580
TP3: 0.00510
✅ Short Confirmation: Wait for a confirmed 4H rejection candle in the entry zone with declining volume.
Scenario 2: Long Setup (Post-Correction Continuation) 📈
Thesis: Plan for bullish continuation after a healthy correction.
Entry Zone: 0.00650 – 0.00660 (on hold & consolidation)
Stop Loss: 0.00640
Take-Profit Targets:
TP1: 0.00715
TP2: 0.00733
TP3: 0.00800
✅ Long Confirmation: Wait for a clear hold and consolidation above 0.00650 after a pullback
Key Context & Risk Management
This analysis captures the tension between a strong bullish breakout and an extreme overbought condition.
Use 1–3% portfolio risk and maximum 5x leverage.
Trade the confirmed scenario—do not anticipate.
Click below and enter 👇👇👇👇👇
#ZIL #DualScenario #TradingAlert #C150