LONG Entry (Pullback): 0.38 – 0.40 Bullish Above: 0.45
🎯 TP1: 0.45 🎯 TP2: 0.50 🎯 TP3: 0.58 🛑 SL: 0.34
Why this works 👇 📈 Parabolic Move: +260% with EMA 7/25/99 bullish stack 🐋 Whales Bullish: 87% long whales in profit, L/S = 4.03 🔥 Short Squeeze Fuel: Shorts trapped near 0.34–0.35 ⚠️ Risk: $126M volume vs thin liquidity → violent wicks possible
Alternative SHORT (Aggressive): ❌ If strong rejection at 0.45–0.50, short scalp back to 0.36
📌 Rule: Don’t chase green candles. Play pullbacks or clean breakout only. This one can fly 🚀 or nuke 💣 fast — manage risk.
Why this setup? 👇 📈 Bullish Momentum: +18.5% breakout, MACD bullish, RSI ~60 (room to run) 🐋 Whale Wall: Short whales defending 0.0261 (1.6x more shorts than longs) 📊 Speculative Volume: Vol/Mcap = 2.38 → high volatility moves ⚠️ Macro Fear: Extreme fear + liquidations = fast wicks both sides
Alternative Play (SHORT): If price rejects hard at 0.0260–0.0265, short scalp back to 0.0230
📌 Game Plan: ➡️ Long pullbacks above 0.0229 support ➡️ Add only on clean break & close above 0.0261 ➡️ Keep stops tight — market is ruthless right now 😈
Clean breakout = squeeze 🎯 Rejection = fast dump 💣
Risk Notes ⚠️ 🔻 Whale distribution detected 🔄 90% longs in profit → fast pullbacks possible
📌 Best play: ➡️ Buy pullbacks near $0.105 ➡️ OR momentum long only on clean break above $0.122 ➡️ Take profits aggressively — volatility will be wild 🚀 $INIT