🩸 EUL derivatives flow stays on the sell side, market structure remains in distribution, short-term demand weakens, supply controls the pace, and overall psychology turns defensive with capital preservation in focus.
👉 EUL should reduce leverage exposure, monitor liquidation clusters to avoid emotional reactions, prioritize capital protection over expansion, and keep a neutral mindset instead of chasing recovery.
Trade $EUL
Trade $RIVER
Trade $ARC
Yuuki Signal
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Bajista
🩸 EUL – SHORT ║ TF 1H ║ CONTINUATION
📉 Strong bearish trend, price hugs the lower band and declining EMA - weak pullbacks keep getting sold in a lower-high structure
✍️ Target Notes: • TP1: near pullback pocket, liquidity grab and rejection around the mean zone. • TP2: main target, broken structure area where momentum typically accelerates. • TP3: extended dump zone, liquidity sweep as downside momentum expands.
⚖️ RR: 1:3.4 ║ 🔥 CONF: 66% ║ ⚡ LEV: 5x - 15x
🧠 Risk 1% – 2%, take 40% – 60% at TP1, move SL to BE.
✍️ Target Notes: • TP1: short-term pullback zone, liquidity grab and rejection around the breakout base. • TP2: main target, supply-demand expansion area on HTF after structure break. • TP3: extension zone, liquidity sweep as bullish momentum continues.
⚖️ RR: 1:3.3 ║ 🔥 CONF: 66% ║ ⚡ LEV: 5x - 15x
🧠 Risk 1% – 2%, take 40% – 60% at TP1, move SL to BE.
The ETH SHORT position has reached TP2 as planned.
Price continued to expand with a bearish structure after losing short term support zones. Selling pressure remained strong, confirming the move from the original entry area.
After TP2, the focus is to secure most of the position and protect profits. Markets are constantly moving, but only traders with a clear plan and disciplined management keep performance consistent.
Trade $ETH
Trade $BTC
Trade $CLANKER
Yuuki Signal
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Bajista
🩸 ETHUSDT – SHORT ║ TF 1H ║ PULLBACK
📉 Main trend is BEARISH with a clear LH–LL structure. Price stays below EMA and mid BB, confirming seller control. Recent upside moves are weak pullbacks into EMA + dynamic supply, not a reversal. Focus on SHORTing rallies for better RR.
🔴 SHORT PLAN – RISK 6/10
🎯 Entry: 2310 — 2340 💎 TP1: 2230 💎 TP2: 2180
🛑 Stop Loss: 2375 🛑
⚖️ RR: 1:2.6 ║ 🔥 CONF: 64% ║ LEV: 5x - 10x
🧠 Risk 1% – 2%, take 40% – 50% at TP1, move SL to BE.
👉 If price reaches TP2 and the trend remains strong: - Take most of the remaining position. - Optionally keep 20% – 30% as a runner with structure-based trailing SL.
The BNB SHORT position has reached TP2 as planned.
Price continued to expand with a bearish structure after breaking short term support zones. Selling pressure stayed active, confirming the move from the original entry area.
After TP2, the priority is to secure most of the position and protect profits. Markets are volatile, but clear planning and disciplined management keep performance consistent.
Trade $BNB
Trade $RIVER
Trade $UAI
Yuuki Signal
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Bajista
🩸 BNBUSDT – SHORT ║ TF 1H ║ PULLBACK
📉 The main trend remains bearish after the breakdown, with market structure forming LH – LL. Price is making a technical rebound but stays below key EMAs and is capped around the mid Bollinger Band, signaling weak buying pressure. Focus on selling the pullback for continuation.
🔴 SHORT PLAN – RISK 6/10
🎯 Entry: 764 — 772 💎 TP1: 748 💎 TP2: 732
🛑 Stop Loss: 785 🛑
⚖️ RR: 1:2.7 ║ 🔥 CONF: 67% ║ LEV: 5x - 10x
🧠 Risk 1% – 2%, take 50% at TP1, move SL to BE.
👉 If price reaches TP2 and the trend remains strong: - Take most of the remaining position. - Optionally keep 20% – 30% as a runner with structure-based trailing SL.
The SPORTFUNUSDT SHORT position has reached TP1 as planned.
The main trend remains bearish with a clean LH – LL structure on the 1H timeframe. Price only made a technical rebound into the EMA and mid Bollinger zone before getting rejected again, showing weak buying pressure.
The entry area at 0.0376 – 0.0386 provided a solid edge and TP1 at 0.0356 has been achieved.
According to the management plan, partial profits are taken at TP1 and the stop loss is moved to secure gains. The remaining position is kept for TP2 at 0.0338 as long as the bearish structure stays intact.
The market rewards traders who follow a clear plan with disciplined execution.
Trade $SPORTFUN
Trade $ZAMA
Yuuki Signal
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Bajista
🩸 SPORTFUNUSDT – SHORT ║ TF 1H ║ PULLBACK
📉 The main trend remains bearish with a clear LH – LL structure. Price is making a technical rebound into EMA and mid Bollinger resistance but fails to reclaim major EMAs, showing weak buying pressure. Focus on selling the pullback for continuation.
👉 If price reaches TP2 and the trend remains strong: - Take most of the remaining position. - Optionally keep 20% – 30% as a runner with structure-based trailing SL.
✍️ Target Notes: • TP1: near pullback pocket, liquidity grab and rejection around the mean zone. • TP2: main target, HTF support break area where downside momentum accelerates. • TP3: extended dump zone, liquidity sweep as bearish momentum continues.
⚖️ RR: 1:3.3 ║ 🔥 CONF: 65% ║ ⚡ LEV: 5x - 15x
🧠 Risk 1% – 2%, take 40% – 60% at TP1, move SL to BE.
✍️ Target Notes: • TP1: near pullback pocket, liquidity grab and rejection around the mean zone. • TP2: main target, broken structure area where momentum typically accelerates. • TP3: extended dump zone, liquidity sweep as downside momentum expands.
⚖️ RR: 1:3.4 ║ 🔥 CONF: 66% ║ ⚡ LEV: 5x - 15x
🧠 Risk 1% – 2%, take 40% – 60% at TP1, move SL to BE.
📉 Price stays below EMA200, the previous spike was heavily sold off, now pulling back into mid Bollinger + EMA zone with weak demand, favoring bearish continuation.
The SOL SHORT position has reached TP1 as planned.
Price reacted well from the 98.60 to 99.40 entry zone and continued to expand with a short term bearish structure. Selling pressure remains active as SOL failed to hold the upper resistance area.
According to the management plan, partial profits are taken at TP1 at 96.50 and the stop loss is moved to secure gains. The remaining position is kept for TP2 at 94.20 if the bearish structure remains intact.
The market does not reward emotions, it rewards planning and disciplined execution.
Trade $SOL
Yuuki Signal
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Bajista
🩸 SOLUSDT – SHORT ║ TF 1H ║ CONTINUATION
📉 Strong downtrend, price pulls back into MA + BB mid zone and gets rejected, structure remains bearish.
🔴 SHORT PLAN – RISK 6/10
🎯 Entry: 98.60 — 99.40 💎 TP1: 96.50 💎 TP2: 94.20
🛑 Stop Loss: 101.20 🛑
⚖️ RR: 1:2.6 ║ 🔥 CONF: 67% ║ ⚡ LEV: 5x - 12x
🧠 Risk 1% – 2%, take 40% at TP1, move SL to BE.
👉 If price reaches TP2 and the trend remains strong: - Take most of the remaining position. - Optionally keep 20% – 30% as a runner with structure-based trailing SL.
📉 Main downtrend intact, price pulls back into MA + BB mid zone and gets rejected, lower-high structure remains.
🔴 SHORT PLAN – RISK 6/10
🎯 Entry: 15.70 — 16.10 💎 TP1: 14.40 💎 TP2: 13.20
🛑 Stop Loss: 17.10 🛑
⚖️ RR: 1:2.5 ║ 🔥 CONF: 68% ║ ⚡ LEV: 5x - 12x
🧠 Risk 1% – 2%, take 40% at TP1, move SL to BE.
👉 If price reaches TP2 and the trend remains strong: - Take most of the remaining position. - Optionally keep 20% – 30% as a runner with structure-based trailing SL.
The SYNUSDT SHORT position has reached TP1 as planned.
After the strong pump, the LH – LL structure on the 1H timeframe remains valid as price got rejected near the upper BB and EMA zone. The entry area at 0.0885 – 0.0900 provided a solid edge and TP1 at 0.0845 has been achieved.
According to the risk plan, partial profits are taken at TP1 and the stop loss is moved to secure gains. The remaining position is kept for TP2 at 0.0808 as long as the bearish structure stays intact.
The market rewards traders who follow a clear plan with disciplined execution.
Trade $SYN here 👇
Yuuki Signal
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Bajista
🩸 SYNUSDT – SHORT ║ TF 1H ║ PULLBACK
📉 The short-term trend shows LH – LL after a strong pump. Price is getting rejected near the upper BB and EMA zone, with selling pressure on the pullback. Structure hasn’t reclaimed HH, so bias favors a SHORT continuation toward mid-band and lower demand.
🧠 Risk 1% – 2%, take 40% – 60% at TP1, move SL to BE.
👉 If price reaches TP2 and the trend remains strong: - Take most of the remaining position. - Optionally keep 20% – 30% as a runner with structure-based trailing SL.
📉 Strong downtrend, price pulls back into MA + BB mid zone and gets rejected, structure remains bearish.
🔴 SHORT PLAN – RISK 6/10
🎯 Entry: 98.60 — 99.40 💎 TP1: 96.50 💎 TP2: 94.20
🛑 Stop Loss: 101.20 🛑
⚖️ RR: 1:2.6 ║ 🔥 CONF: 67% ║ ⚡ LEV: 5x - 12x
🧠 Risk 1% – 2%, take 40% at TP1, move SL to BE.
👉 If price reaches TP2 and the trend remains strong: - Take most of the remaining position. - Optionally keep 20% – 30% as a runner with structure-based trailing SL.
📉 The short-term trend shows LH – LL after a strong pump. Price is getting rejected near the upper BB and EMA zone, with selling pressure on the pullback. Structure hasn’t reclaimed HH, so bias favors a SHORT continuation toward mid-band and lower demand.
🧠 Risk 1% – 2%, take 40% – 60% at TP1, move SL to BE.
👉 If price reaches TP2 and the trend remains strong: - Take most of the remaining position. - Optionally keep 20% – 30% as a runner with structure-based trailing SL.
📉 The main trend remains bearish with a clear LH – LL structure. Price is making a technical rebound into EMA and mid Bollinger resistance but fails to reclaim major EMAs, showing weak buying pressure. Focus on selling the pullback for continuation.
👉 If price reaches TP2 and the trend remains strong: - Take most of the remaining position. - Optionally keep 20% – 30% as a runner with structure-based trailing SL.
📈 The short-term trend has turned bullish after the dump, with structure forming HL – HH. Price has reclaimed key EMAs and is holding above the mid Bollinger Band, showing strong buyer control. Focus on buying the pullback for continuation.
🟢 LONG PLAN – RISK 6/10
🎯 Entry: 5,010 — 5,040 💎 TP1: 5,120 💎 TP2: 5,210
🛑 Stop Loss: 4,960 🛑
⚖️ RR: 1:2.6 ║ 🔥 CONF: 68% ║ ⚡ LEV: 5x - 10x
🧠 Risk 1% – 2%, take 50% at TP1, move SL to BE.
👉 If price reaches TP2 and the trend remains strong: - Take most of the remaining position. - Optionally keep 20% – 30% as a runner with structure-based trailing SL.
📈 The short-term trend is shifting into recovery after the markdown phase, with the first HL forming from the bottom. Price has reclaimed short EMAs and is holding above the mid Bollinger Band, indicating returning buying pressure. Focus on buying the pullback for continuation.
🟢 LONG PLAN – RISK 6/10
🎯 Entry: 30.70 — 31.20 💎 TP1: 33.40 💎 TP2: 36.00
🛑 Stop Loss: 29.60 🛑
⚖️ RR: 1:2.5 ║ 🔥 CONF: 65% ║ ⚡ LEV: 5x - 10x
🧠 Risk 1% – 2%, take 50% at TP1, move SL to BE.
👉 If price reaches TP2 and the trend remains strong: - Take most of the remaining position. - Optionally keep 20% – 30% as a runner with structure-based trailing SL.
📉 The main trend remains bearish after the breakdown, with market structure forming LH – LL. Price is making a technical rebound but stays below key EMAs and is capped around the mid Bollinger Band, signaling weak buying pressure. Focus on selling the pullback for continuation.
🔴 SHORT PLAN – RISK 6/10
🎯 Entry: 764 — 772 💎 TP1: 748 💎 TP2: 732
🛑 Stop Loss: 785 🛑
⚖️ RR: 1:2.7 ║ 🔥 CONF: 67% ║ LEV: 5x - 10x
🧠 Risk 1% – 2%, take 50% at TP1, move SL to BE.
👉 If price reaches TP2 and the trend remains strong: - Take most of the remaining position. - Optionally keep 20% – 30% as a runner with structure-based trailing SL.
The BTC SHORT position has reached TP1 as planned.
Price reacted well from the 76,900 to 77,200 entry zone and continued to expand with a short term bearish structure. Selling pressure remains active as the market failed to hold the upper resistance area.
According to the management plan, partial profits are taken at TP1 at 76,200 and stop loss is moved to secure gains. The remaining position is kept for TP2 at 75,400 if the bearish structure stays intact.
The market does not pay emotions, it pays planning and disciplined execution.
Yuuki Signal
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Bajista
🩸 BTCUSDT – SHORT ║ TF 15M ║ PULLBACK
📉 The short-term trend remains bearish after the sharp dump, with market structure forming LH – LL. Price is making a technical pullback into EMA and mid Bollinger resistance but fails to reclaim major EMAs, showing weak buying pressure. Focus on selling the pullback for continuation.
👉 If price reaches TP2 and the trend remains strong: - Take most of the remaining position. - Optionally keep 20% – 30% as a runner with structure-based trailing SL.
The ARCUSDT LONG position has reached TP1 as planned.
Price posted a strong breakout with a clean HH–HL structure on the 1H timeframe, confirming trend continuation. The entry zone at 0.0768 – 0.0780 provided a good edge and the first profit target at 0.0825 has been achieved.
According to the risk management plan, 40 – 50 percent of the position was taken off at TP1 and stop loss moved to breakeven to protect profits.
The remaining position is kept for TP2 at 0.0885 if the uptrend remains strong, with a structure-based trailing stop loss to optimize returns. Markets can be volatile, but a clear plan and disciplined execution improve trading performance.
Trade $ARC
Yuuki Signal
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Alcista
🚀 ARCUSDT – LONG ║ TF 1H ║ CONTINUATION
📈 Strong breakout with clean HH–HL structure, looking for pullback entry in trend direction.
🧠 Risk 2% – 3%, take 40% – 50% at TP1, move SL to BE.
👉 If price reaches TP2 and the trend remains strong: - Take most of the remaining position. - Optionally keep 10% – 20% as a runner with structure-based trailing SL.