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TraderNoSleep

In this market, there is no uptrend or downtrend — only waves. And I’m a wave rider. 🌊 Follow me to stay updated on my next scalping moves.
Frekvent handlare
3.6 år
39 Följer
97 Följare
102 Gilla-markeringar
2 Delade
Inlägg
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Hausse
$TAC 🟢 Entry: 0.00430 – 0.00435 🎯 Targets: TP1: 0.00445 TP2: 0.00455 TP3: 0.00465 🛑 Stop-loss: Below 0.00425 📊 Reasoning: Pullback into MA support zone 📐 Selling pressure cooling after spike Potential bounce toward prior high ⚠️ Risk: High volatility on low-cap pair — manage size and wait for bullish confirmation. {future}(TACUSDT)
$TAC
🟢 Entry: 0.00430 – 0.00435

🎯 Targets:

TP1: 0.00445

TP2: 0.00455

TP3: 0.00465

🛑 Stop-loss: Below 0.00425

📊 Reasoning:

Pullback into MA support zone 📐

Selling pressure cooling after spike

Potential bounce toward prior high

⚠️ Risk: High volatility on low-cap pair — manage size and wait for bullish confirmation.
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Hausse
$1INCH 🟢 Entry: 0.1110 – 0.1140 🎯 Targets: TP1: 0.1180 TP2: 0.1210 TP3: 0.1240 🛑 Stop-loss: Below 0.1085 📊 Reasoning: Breakout from short-term base 📈 Price reclaiming MAs → momentum shift Upside room toward prior supply zone ⚠️ Risk: Moderate–high volatility — wait for bullish confirmation and manage size. {future}(1INCHUSDT)
$1INCH
🟢 Entry: 0.1110 – 0.1140

🎯 Targets:

TP1: 0.1180

TP2: 0.1210

TP3: 0.1240

🛑 Stop-loss: Below 0.1085

📊 Reasoning:

Breakout from short-term base 📈

Price reclaiming MAs → momentum shift

Upside room toward prior supply zone

⚠️ Risk: Moderate–high volatility — wait for bullish confirmation and manage size.
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Hausse
$TRUTH 🟢 Entry: 0.0139 – 0.0142 🎯 Targets: TP1: 0.0148 TP2: 0.0152 TP3: 0.0160 🛑 Stop-loss: Below 0.0136 📊 Reasoning: Bounce from MA support zone 📐 Higher-low structure forming Momentum recovery after sharp shakeout ⚠️ Risk: High volatility — wait for bullish confirmation before entry. {future}(TRUTHUSDT)
$TRUTH
🟢 Entry: 0.0139 – 0.0142

🎯 Targets:

TP1: 0.0148

TP2: 0.0152

TP3: 0.0160

🛑 Stop-loss: Below 0.0136

📊 Reasoning:

Bounce from MA support zone 📐

Higher-low structure forming

Momentum recovery after sharp shakeout

⚠️ Risk: High volatility — wait for bullish confirmation before entry.
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Hausse
$ZKP 🟢 Entry: 0.0930 – 0.0960 🎯 Targets: TP1: 0.1050 TP2: 0.1150 TP3: 0.1230 🛑 Stop-loss: Below 0.0890 📊 Reasoning: Pullback into MA support zone 📐 Post-pump consolidation, selling pressure weakening Potential rebound if price holds above 0.093 ⚠️ Risk: High volatility — wait for bullish confirmation before entry. {future}(ZKPUSDT)
$ZKP
🟢 Entry: 0.0930 – 0.0960

🎯 Targets:

TP1: 0.1050

TP2: 0.1150

TP3: 0.1230

🛑 Stop-loss: Below 0.0890

📊 Reasoning:

Pullback into MA support zone 📐

Post-pump consolidation, selling pressure weakening

Potential rebound if price holds above 0.093

⚠️ Risk: High volatility — wait for bullish confirmation before entry.
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Hausse
$UAI UAIUSDT – FOMO Long Scenario 🔥🚀 (High Risk) 🟢 Entry: Break & hold above 0.2000 🎯 Targets: TP1: 0.2150 TP2: 0.2250 TP3: 0.2350 🛑 Stop-loss: Below 0.1900 📊 Reasoning: Strong impulse candle → FOMO trigger ⚡ Clean breakout from compression range Momentum > structure (pure momentum play) ⚠️ Warning: Very high risk. This is a FOMO setup — use small size, fast execution, no hesitation. {future}(UAIUSDT)
$UAI
UAIUSDT – FOMO Long Scenario 🔥🚀 (High Risk)

🟢 Entry: Break & hold above 0.2000

🎯 Targets:

TP1: 0.2150

TP2: 0.2250

TP3: 0.2350

🛑 Stop-loss: Below 0.1900

📊 Reasoning:

Strong impulse candle → FOMO trigger ⚡

Clean breakout from compression range

Momentum > structure (pure momentum play)

⚠️ Warning: Very high risk. This is a FOMO setup — use small size, fast execution, no hesitation.
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Hausse
$BULLA 🟢 Entry: 0.2950 – 0.3050 🎯 Targets: TP1: 0.3450 TP2: 0.3850 TP3: 0.4800 🛑 Stop-loss: Below 0.2700 📊 Reasoning: Pullback into MA support zone 📐 Higher-low structure still valid Bounce likely after sharp correction ⚠️ Risk: High volatility — wait for bullish confirmation before entry. {future}(BULLAUSDT)
$BULLA
🟢 Entry: 0.2950 – 0.3050

🎯 Targets:

TP1: 0.3450

TP2: 0.3850

TP3: 0.4800

🛑 Stop-loss: Below 0.2700

📊 Reasoning:

Pullback into MA support zone 📐

Higher-low structure still valid

Bounce likely after sharp correction

⚠️ Risk: High volatility — wait for bullish confirmation before entry.
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Baisse (björn)
$LIGHT 🔻 Entry: 0.3850 – 0.4000 🎯 Targets: TP1: 0.3600 TP2: 0.3400 TP3: 0.3200 🛑 Stop-loss: Above 0.4100 📊 Reasoning: Strong rejection after vertical pump 🚀 Price extended far above MAs → mean reversion Volatility spike often followed by pullback ⚠️ Risk: Very high volatility — only short on confirmation, keep position size small. {future}(LIGHTUSDT)
$LIGHT
🔻 Entry: 0.3850 – 0.4000

🎯 Targets:

TP1: 0.3600

TP2: 0.3400

TP3: 0.3200

🛑 Stop-loss: Above 0.4100

📊 Reasoning:

Strong rejection after vertical pump 🚀

Price extended far above MAs → mean reversion

Volatility spike often followed by pullback

⚠️ Risk: Very high volatility — only short on confirmation, keep position size small.
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Baisse (björn)
$FHE SHORT 🔻 Entry: 0.1550 – 0.1580 🎯 Targets: TP1: 0.1480 TP2: 0.1380 TP3: 0.1280 🛑 Stop-loss: Above 0.1668 📊 Reasoning: Price rejected at range high 🧱 Momentum slowing after strong pump Pullback likely toward MA support ⚠️ Risk: High volatility — wait for bearish candle confirmation before entry. {future}(FHEUSDT)
$FHE SHORT
🔻 Entry: 0.1550 – 0.1580

🎯 Targets:

TP1: 0.1480

TP2: 0.1380

TP3: 0.1280

🛑 Stop-loss: Above 0.1668

📊 Reasoning:

Price rejected at range high 🧱

Momentum slowing after strong pump

Pullback likely toward MA support

⚠️ Risk: High volatility — wait for bearish candle confirmation before entry.
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Baisse (björn)
$ZK 🔻 Entry: 0.0288 – 0.0293 🎯 Targets: TP1: 0.0270 TP2: 0.0255 TP3: 0.0235 🛑 Stop-loss: Above 0.0300 📊 Reasoning: Rejection near local top & supply zone 🧱 Post-pump consolidation → downside risk MA compression, momentum weakening ⚠️ Risk: High volatility after strong move — wait for bearish confirmation before entry. {future}(ZKUSDT)
$ZK
🔻 Entry: 0.0288 – 0.0293

🎯 Targets:

TP1: 0.0270

TP2: 0.0255

TP3: 0.0235

🛑 Stop-loss: Above 0.0300

📊 Reasoning:

Rejection near local top & supply zone 🧱

Post-pump consolidation → downside risk

MA compression, momentum weakening

⚠️ Risk: High volatility after strong move — wait for bearish confirmation before entry.
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Baisse (björn)
$AVAAI 🔻 Entry: 0.0108 – 0.0110 🎯 Targets: TP1: 0.0095 TP2: 0.0088 TP3: 0.0083 🛑 Stop-loss: Above 0.0113 📊 Reasoning: Price extended after sharp pump 🚀 Short-term overbought, likely pullback Selling pressure near local top ⚠️ Risk: High volatility — manage size & wait for confirmation. {future}(AVAAIUSDT)
$AVAAI
🔻 Entry: 0.0108 – 0.0110

🎯 Targets:

TP1: 0.0095

TP2: 0.0088

TP3: 0.0083

🛑 Stop-loss: Above 0.0113

📊 Reasoning:

Price extended after sharp pump 🚀

Short-term overbought, likely pullback

Selling pressure near local top

⚠️ Risk: High volatility — manage size & wait for confirmation.
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Baisse (björn)
$C98 🔴 Bias: Short after spike & distribution 📍 Entry zone: 0.0238 – 0.0245 ⛔ Stop-loss: 0.0269 (above supply / fake breakout zone) 🎯 Take Profit 1: 0.0215 🎯 Take Profit 2: 0.0195 🎯 Take Profit 3: 0.0180 📊 Analysis: Sharp impulse pump → now ranging & compressing ⚠️ Price below MA25, momentum fading Likely lower high → continuation pullback ⚠️ Risk note: If price reclaims MA25 with volume, abort short. {future}(C98USDT)
$C98
🔴 Bias: Short after spike & distribution

📍 Entry zone: 0.0238 – 0.0245

⛔ Stop-loss: 0.0269 (above supply / fake breakout zone)

🎯 Take Profit 1: 0.0215

🎯 Take Profit 2: 0.0195

🎯 Take Profit 3: 0.0180

📊 Analysis:

Sharp impulse pump → now ranging & compressing ⚠️

Price below MA25, momentum fading

Likely lower high → continuation pullback

⚠️ Risk note:

If price reclaims MA25 with volume, abort short.
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Baisse (björn)
$ZORA 🔴 Bias: Short after parabolic pump 📍 Entry zone: 0.0385 – 0.0395 ⛔ Stop-loss: 0.0428 (above local high / supply) 🎯 Take Profit 1: 0.0338 🎯 Take Profit 2: 0.0288 🎯 Take Profit 3: 0.0255 📊 Analysis: Price just pumped +50%+ → overextended 🚨 Trading far above MA25 & MA99 → high mean-reversion risk Current structure shows weak continuation, possible distribution near top ⚠️ Risk warning: High volatility & funding → wait for rejection / fake breakout, don’t chase. {future}(ZORAUSDT)
$ZORA
🔴 Bias: Short after parabolic pump

📍 Entry zone: 0.0385 – 0.0395

⛔ Stop-loss: 0.0428 (above local high / supply)

🎯 Take Profit 1: 0.0338

🎯 Take Profit 2: 0.0288

🎯 Take Profit 3: 0.0255

📊 Analysis:

Price just pumped +50%+ → overextended 🚨

Trading far above MA25 & MA99 → high mean-reversion risk

Current structure shows weak continuation, possible distribution near top

⚠️ Risk warning:

High volatility & funding → wait for rejection / fake breakout, don’t chase.
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Baisse (björn)
$我踏马来了 🔴 Bias: Short on pullback after strong pump 📍 Entry zone: 0.0558 – 0.0565 ⛔ Stop-loss: 0.0625 (above recent high / supply) 🎯 Take Profit 1: 0.0485 🎯 Take Profit 2: 0.0430 🎯 Take Profit 3: 0.0410 📊 Analysis: Price is extended far above MA25 & MA99 → overbought ⚠️ Momentum is weakening near resistance ~0.056–0.058 Likely pullback / mean reversion after +60% move ⚠️ Risk note: High volatility after strong pump → scale in, manage risk strictly. No uptrend, no downtrend — just waves 🌊 I short the wave, not the dream 😎 {future}(我踏马来了USDT)
$我踏马来了
🔴 Bias: Short on pullback after strong pump

📍 Entry zone: 0.0558 – 0.0565

⛔ Stop-loss: 0.0625 (above recent high / supply)

🎯 Take Profit 1: 0.0485

🎯 Take Profit 2: 0.0430

🎯 Take Profit 3: 0.0410

📊 Analysis:

Price is extended far above MA25 & MA99 → overbought ⚠️

Momentum is weakening near resistance ~0.056–0.058

Likely pullback / mean reversion after +60% move

⚠️ Risk note:

High volatility after strong pump → scale in, manage risk strictly.

No uptrend, no downtrend — just waves 🌊

I short the wave, not the dream 😎
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Baisse (björn)
$BULLA ⚠️ HIGH RISK WARNING: 🔴 Entry: 0.385 – 0.395 🛑 Stop Loss: 0.405 (strict) 🎯 TP1: 0.355 🎯 TP2: 0.320 🎯 TP3: 0.280 Parabolic pump, price extremely extended 🚀 Sharp squeezes can happen anytime Short only on clear rejection, no FOMO Small size, fast execution 🧠 {future}(BULLAUSDT)
$BULLA ⚠️ HIGH RISK WARNING:
🔴 Entry: 0.385 – 0.395

🛑 Stop Loss: 0.405 (strict)

🎯 TP1: 0.355

🎯 TP2: 0.320

🎯 TP3: 0.280

Parabolic pump, price extremely extended 🚀

Sharp squeezes can happen anytime

Short only on clear rejection, no FOMO

Small size, fast execution 🧠
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Hausse
LONG $SENT 🟢 Entry: 0.0352 – 0.0355 🛑 Stop Loss: 0.0339 🎯 TP1: 0.0390 🎯 TP2: 0.0425 🎯 TP3: 0.0465 📊 Note: Price holding support after a strong pullback. Bounce from demand zone = scalp/short-term long. ⚠️ Risk: High volatility — manage position size. {future}(SENTUSDT)
LONG $SENT
🟢 Entry: 0.0352 – 0.0355

🛑 Stop Loss: 0.0339

🎯 TP1: 0.0390

🎯 TP2: 0.0425

🎯 TP3: 0.0465

📊 Note: Price holding support after a strong pullback. Bounce from demand zone = scalp/short-term long.

⚠️ Risk: High volatility — manage position size.
A Prediction Market Insider Exposes the Real Purpose of Prediction MarketsPrediction markets are slowly shedding their image as speculative betting platforms. According to Gianluca P., founder of the prediction market platform Predik, the real direction of the industry isn’t gambling at all—it’s becoming core infrastructure for information and automated trading. Instead of competing on flashy features or rapid geographic expansion, newer platforms are focusing on fundamentals: liquidity design, market standardization, and machine-driven participation. Gianluca argues that the early surge of crypto-native prediction markets came down to one simple factor: access. Wallet-based onboarding removed nearly every friction point found in traditional betting and financial platforms. No long approval processes, no geographic restrictions—users could participate instantly. That structural simplicity is why crypto-first platforms scaled globally far faster than compliance-heavy alternatives like Kalshi. “Polymarket proved that if you go crypto-first, you can reach almost the entire planet,” Gianluca said, pointing to wallets as a major advantage over identity-gated systems. Liquidity Fragmentation Is Still the Biggest Structural Problem Despite growing interest, Gianluca is clear about the industry’s main weakness: fragmented liquidity. Each major platform operates its own isolated pools of capital. The result is shallow markets, inefficient price discovery, and probabilities that fail to converge into a single, reliable signal. While regulation tends to dominate public discussion, Gianluca believes liquidity design matters far more in practice. Without depth and recurring flow, even well-designed markets only come alive during major events like elections or high-profile political outcomes. AI Agents Could Fundamentally Change How These Markets Work Looking ahead, Gianluca doesn’t expect the next growth phase to come from retail users, but from automation. He sees AI agents becoming active participants—trading continuously, arbitraging price differences, and providing liquidity across platforms. “If you let agents interact directly with markets through APIs, the scale of volume changes completely,” he said. At that point, prediction markets stop being consumer products and start functioning as programmable probability layers—inputs that other systems can consume, similar to price feeds or risk signals in traditional finance. Standards and Resolution Rules Will Decide Long-Term Trust As volume and automation increase, vague market questions and unclear settlement rules become unacceptable. Gianluca emphasized that poorly defined outcomes and inconsistent resolution processes are one of the fastest ways to destroy trust, especially when disputes arise. For prediction markets to mature into credible forecasting tools—rather than event-driven trading venues—they will need shared standards: clear resolution criteria, consistent time definitions, and transparent dispute mechanisms. Without that foundation, higher volume won’t improve accuracy. It will only amplify conflict. #PredictionMarkets #InsiderNews

A Prediction Market Insider Exposes the Real Purpose of Prediction Markets

Prediction markets are slowly shedding their image as speculative betting platforms. According to Gianluca P., founder of the prediction market platform Predik, the real direction of the industry isn’t gambling at all—it’s becoming core infrastructure for information and automated trading.

Instead of competing on flashy features or rapid geographic expansion, newer platforms are focusing on fundamentals: liquidity design, market standardization, and machine-driven participation.

Gianluca argues that the early surge of crypto-native prediction markets came down to one simple factor: access.

Wallet-based onboarding removed nearly every friction point found in traditional betting and financial platforms. No long approval processes, no geographic restrictions—users could participate instantly. That structural simplicity is why crypto-first platforms scaled globally far faster than compliance-heavy alternatives like Kalshi.

“Polymarket proved that if you go crypto-first, you can reach almost the entire planet,” Gianluca said, pointing to wallets as a major advantage over identity-gated systems.

Liquidity Fragmentation Is Still the Biggest Structural Problem

Despite growing interest, Gianluca is clear about the industry’s main weakness: fragmented liquidity.

Each major platform operates its own isolated pools of capital. The result is shallow markets, inefficient price discovery, and probabilities that fail to converge into a single, reliable signal.

While regulation tends to dominate public discussion, Gianluca believes liquidity design matters far more in practice. Without depth and recurring flow, even well-designed markets only come alive during major events like elections or high-profile political outcomes.

AI Agents Could Fundamentally Change How These Markets Work

Looking ahead, Gianluca doesn’t expect the next growth phase to come from retail users, but from automation.

He sees AI agents becoming active participants—trading continuously, arbitraging price differences, and providing liquidity across platforms.

“If you let agents interact directly with markets through APIs, the scale of volume changes completely,” he said.

At that point, prediction markets stop being consumer products and start functioning as programmable probability layers—inputs that other systems can consume, similar to price feeds or risk signals in traditional finance.

Standards and Resolution Rules Will Decide Long-Term Trust

As volume and automation increase, vague market questions and unclear settlement rules become unacceptable.

Gianluca emphasized that poorly defined outcomes and inconsistent resolution processes are one of the fastest ways to destroy trust, especially when disputes arise.

For prediction markets to mature into credible forecasting tools—rather than event-driven trading venues—they will need shared standards: clear resolution criteria, consistent time definitions, and transparent dispute mechanisms.

Without that foundation, higher volume won’t improve accuracy. It will only amplify conflict.
#PredictionMarkets #InsiderNews
My personal view: why I no longer use gold as a store of valueI used to hold gold. Not because of theory or books, but because I actually bought it, stored it, and waited. It felt safe at first. Over time, though, I realized I was standing still while the market kept moving. From a trader and investor’s perspective, gold gives a sense of security, but it doesn’t give me control. It doesn’t generate cash flow, it doesn’t help me rotate capital, and it rarely gives me flexibility when real opportunities show up. There were periods when my gold position barely moved, while elsewhere in the market, opportunities were appearing almost every week. I’ve also traded physical gold, and honestly, it doesn’t fit my lifestyle anymore. It’s slow, spreads are wide, and there are too many frictions. For me, a good asset is one I can enter and exit quickly, with clear risk management and full awareness of my exposure. Today, I don’t put all my capital in one place. I keep: Some cash to stay liquid and ready. Some assets that generate long-term value. And some crypto, especially Bitcoin, because I can hold it myself, move it instantly, and control it without relying on any institution. I’m not saying gold is bad. I’m just saying that for how I trade, how I manage risk, and how I think about capital, gold no longer makes sense as a primary store of value. The market has changed—and so have I. #GOLD #economy #RiskManagement

My personal view: why I no longer use gold as a store of value

I used to hold gold. Not because of theory or books, but because I actually bought it, stored it, and waited. It felt safe at first. Over time, though, I realized I was standing still while the market kept moving.
From a trader and investor’s perspective, gold gives a sense of security, but it doesn’t give me control. It doesn’t generate cash flow, it doesn’t help me rotate capital, and it rarely gives me flexibility when real opportunities show up. There were periods when my gold position barely moved, while elsewhere in the market, opportunities were appearing almost every week.
I’ve also traded physical gold, and honestly, it doesn’t fit my lifestyle anymore. It’s slow, spreads are wide, and there are too many frictions. For me, a good asset is one I can enter and exit quickly, with clear risk management and full awareness of my exposure.
Today, I don’t put all my capital in one place. I keep:
Some cash to stay liquid and ready.
Some assets that generate long-term value.
And some crypto, especially Bitcoin, because I can hold it myself, move it instantly, and control it without relying on any institution.
I’m not saying gold is bad. I’m just saying that for how I trade, how I manage risk, and how I think about capital, gold no longer makes sense as a primary store of value. The market has changed—and so have I.
#GOLD #economy #RiskManagement
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Hausse
$SUI 📍 Entry: 1.15 – 1.17 🛑 SL: 1.14 ❌ 🎯 TP1: 1.20 🎯 TP2: 1.25 📊 Rationale: Strong sell-off → potential dead-cat / technical bounce 📉➡️📈 Price reacting from intraday demand zone Good RR for a short-term rebound ⚡ {future}(SUIUSDT)
$SUI
📍 Entry: 1.15 – 1.17

🛑 SL: 1.14 ❌

🎯 TP1: 1.20

🎯 TP2: 1.25

📊 Rationale:

Strong sell-off → potential dead-cat / technical bounce 📉➡️📈

Price reacting from intraday demand zone

Good RR for a short-term rebound ⚡
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Hausse
$NEAR 📍 Entry: 1.23 – 1.24 🛑 SL: 1.20 ❌ 🎯 TP1: 1.26 🎯 TP2: 1.30 📊 Rationale: Sharp dump → technical rebound setup 📉➡️📈 Price reacting from short-term demand zone Favorable RR for a bounce play ⚡ ⚠️ Note: Only long if 1.23 holds. Breakdown below → cut immediately {future}(NEARUSDT)
$NEAR
📍 Entry: 1.23 – 1.24

🛑 SL: 1.20 ❌

🎯 TP1: 1.26

🎯 TP2: 1.30

📊 Rationale:

Sharp dump → technical rebound setup 📉➡️📈

Price reacting from short-term demand zone

Favorable RR for a bounce play ⚡

⚠️ Note: Only long if 1.23 holds. Breakdown below → cut immediately
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Hausse
$LTC 📍 Entry: 60.0 – 60.3 🛑 SL: 59.2 ❌ 🎯 TP1: 61.5 🎯 TP2: 63.3 📊 Rationale: Technical rebound after a strong dump 📉➡️📈 Price reacting from short-term support Good RR for a quick bounce ⚡ ⚠️ Note: Only long if 60 holds. Lose 60 → exit immediately. {future}(LTCUSDT)
$LTC
📍 Entry: 60.0 – 60.3

🛑 SL: 59.2 ❌

🎯 TP1: 61.5

🎯 TP2: 63.3

📊 Rationale:

Technical rebound after a strong dump 📉➡️📈

Price reacting from short-term support

Good RR for a quick bounce ⚡

⚠️ Note: Only long if 60 holds. Lose 60 → exit immediately.
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