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The GreenMan
542 Posts

The GreenMan

Trade smartly, not emotionally. Crypto strategist. Market signals daily. Follow for real time setup and profile. Stay with The GreenMan🤝
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14 Followers
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Posts
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Bullish
Bulls spark a local reversal structure. ​Asset: $BILL (BUY) ​Entry: 0.02629 – 0.02689 Stop: 0.02055 Target: 0.05611 ​🔍 Quick Analysis: ​Trend Stall: Massive downside capitulation has found an explicit local floor, establishing a rounding accumulation structure. ​Buyer Control: Buying pressure initiates a local reversal pivot, capturing immediate liquidity above the lower-timeframe swing highs. ​Upside Open: A robust correction-recovery vector is unlocked toward higher, unmitigated structural supply imbalances. ​Execution: Buy immediately at current market levels, or wait for a minor micro retest bounce near 0.02629 for an optimized risk-to-reward ratio? ​✅Click here to trade👇 $BILL {future}(BILLUSDT)
Bulls spark a local reversal structure.

​Asset: $BILL (BUY)

​Entry: 0.02629 – 0.02689

Stop: 0.02055

Target: 0.05611

​🔍 Quick Analysis:

​Trend Stall: Massive downside capitulation has found an explicit local floor, establishing a rounding accumulation structure.

​Buyer Control: Buying pressure initiates a local reversal pivot, capturing immediate liquidity above the lower-timeframe swing highs.

​Upside Open: A robust correction-recovery vector is unlocked toward higher, unmitigated structural supply imbalances.

​Execution: Buy immediately at current market levels, or wait for a minor micro retest bounce near 0.02629 for an optimized risk-to-reward ratio?

​✅Click here to trade👇

$BILL
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Bullish
Bulls break out of the falling wedge structure. ​Asset: $NIL (BUY) ​Entry: 0.03477 – 0.03520 Stop: 0.03080 Target: 0.05800 ​🔍 Quick Analysis: ​Trend Stall: A long-standing corrective pattern has compressed price within a defined falling wedge, reaching a historical coil point. ​Buyer Control: Immediate buying interest triggers a decisive technical breakout above the descending resistance line, signaling massive seller exhaustion. ​Upside Open: A wide expansion vector is unlocked toward higher, unmitigated distribution targets sitting near previous peaks. ​Execution: Buy immediately at current market levels, or wait for a minor micro retest bounce near 0.03477 for an optimized risk-to-reward ratio? ​✅Click here to trade👇 $NIL {spot}(NILUSDT) #thegreenman
Bulls break out of the falling wedge structure.

​Asset: $NIL (BUY)

​Entry: 0.03477 – 0.03520

Stop: 0.03080

Target: 0.05800

​🔍 Quick Analysis:

​Trend Stall: A long-standing corrective pattern has compressed price within a defined falling wedge, reaching a historical coil point.

​Buyer Control: Immediate buying interest triggers a decisive technical breakout above the descending resistance line, signaling massive seller exhaustion.

​Upside Open: A wide expansion vector is unlocked toward higher, unmitigated distribution targets sitting near previous peaks.

​Execution: Buy immediately at current market levels, or wait for a minor micro retest bounce near 0.03477 for an optimized risk-to-reward ratio?

​✅Click here to trade👇

$NIL
#thegreenman
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Bearish
Bears reject the local bounce. ​Asset: $MANTRA (SHORT) ​Entry: 0.00630 – 0.00631 Stop: 0.00650 Target: 0.00509 ​🔍 Quick Analysis: ​Trend Stall: Upward relief momentum remains completely trapped below the minor distribution resistance area. ​Seller Control: Heavy selling volume steps in to truncate lower-timeframe bounces, highlighting clear buying exhaustion. ​Downside Open: A clean breakdown path is unlocked toward deep, unmitigated accumulation pools resting at lower support levels. ​Execution: Short immediately at current market levels, or wait for a minor micro relief bounce near 0.00631 for an optimized risk-to-reward ratio? ​✅Click here to trade👇 $MANTRA {spot}(MANTRAUSDT)
Bears reject the local bounce.

​Asset: $MANTRA (SHORT)

​Entry: 0.00630 – 0.00631

Stop: 0.00650

Target: 0.00509

​🔍 Quick Analysis:

​Trend Stall: Upward relief momentum remains completely trapped below the minor distribution resistance area.

​Seller Control: Heavy selling volume steps in to truncate lower-timeframe bounces, highlighting clear buying exhaustion.

​Downside Open: A clean breakdown path is unlocked toward deep, unmitigated accumulation pools resting at lower support levels.

​Execution: Short immediately at current market levels, or wait for a minor micro relief bounce near 0.00631 for an optimized risk-to-reward ratio?

​✅Click here to trade👇

$MANTRA
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Bearish
Bears reject the local bounce. ​Asset: $VANRY (SHORT) ​Entry: 0.004946 – 0.004981 Stop: 0.005651 Target: 0.003091 ​🔍 Quick Analysis: ​Trend Stall: Upward relief momentum is firmly capped below the local lower-high distribution resistance area. ​Seller Control: Heavy distribution volume steps in to truncate lower-timeframe structure, confirming clear buying exhaustion. ​Downside Open: A clean breakdown path is unlocked toward deep, unmitigated accumulation pools resting at lower support levels. ​Execution: Short immediately at current market levels, or wait for a minor micro relief bounce near 0.004981 for an optimized risk-to-reward ratio? ​✅Click here to trade👇 $VANRY {spot}(VANRYUSDT)
Bears reject the local bounce.

​Asset: $VANRY (SHORT)

​Entry: 0.004946 – 0.004981

Stop: 0.005651

Target: 0.003091

​🔍 Quick Analysis:

​Trend Stall: Upward relief momentum is firmly capped below the local lower-high distribution resistance area.

​Seller Control: Heavy distribution volume steps in to truncate lower-timeframe structure, confirming clear buying exhaustion.

​Downside Open: A clean breakdown path is unlocked toward deep, unmitigated accumulation pools resting at lower support levels.

​Execution: Short immediately at current market levels, or wait for a minor micro relief bounce near 0.004981 for an optimized risk-to-reward ratio?

​✅Click here to trade👇

$VANRY
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Bullish
Bulls clear the horizontal accumulation shelf. ​Asset: $ALLO (LONG) ​Entry: 0.4394 – 0.4485 Stop: 0.3884 Target: 0.6776 ​🔍 Quick Analysis: ​Trend Stall: Previous downward pressure has completely flipped into a steady higher-low structure supported by an ascending trendline. ​Buyer Control: Aggressive buying volume triggers a structural breakout above the major yellow horizontal resistance level (0.4302). ​Upside Open: A clear continuation vector is unlocked toward higher, unmitigated macro distribution targets. ​Execution: Long immediately at current market levels, or wait for a minor micro retest bounce near 0.4394 for an optimized risk-to-reward ratio? ​✅Click here to trade👇 $ALLO {spot}(ALLOUSDT)
Bulls clear the horizontal accumulation shelf.

​Asset: $ALLO (LONG)

​Entry: 0.4394 – 0.4485

Stop: 0.3884

Target: 0.6776

​🔍 Quick Analysis:

​Trend Stall: Previous downward pressure has completely flipped into a steady higher-low structure supported by an ascending trendline.

​Buyer Control: Aggressive buying volume triggers a structural breakout above the major yellow horizontal resistance level (0.4302).

​Upside Open: A clear continuation vector is unlocked toward higher, unmitigated macro distribution targets.

​Execution: Long immediately at current market levels, or wait for a minor micro retest bounce near 0.4394 for an optimized risk-to-reward ratio?

​✅Click here to trade👇

$ALLO
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Bearish
Bears intensify the breakdown structure. ​Asset: $TLM (SHORT) ​Entry: 0.001281 – 0.001295 Stop: 0.001451 Target: 0.000703 ​🔍 Quick Analysis: ​Trend Stall: Price breakdown accelerates as structural support gives way, trapping late buyers beneath overhead resistance floors. ​Seller Control: Heavy distribution volume targets lower support extensions, confirming explicit buyer fatigue. ​Downside Open: A wide expansion vector is unlocked toward lower, unmitigated macro liquidity pools. ​Execution: Short immediately at current market levels, or wait for a minor micro relief bounce near 0.001295 for an optimized risk-to-reward ratio? ​✅Click here to trade👇 $TLM {spot}(TLMUSDT)
Bears intensify the breakdown structure.

​Asset: $TLM (SHORT)

​Entry: 0.001281 – 0.001295

Stop: 0.001451

Target: 0.000703

​🔍 Quick Analysis:

​Trend Stall: Price breakdown accelerates as structural support gives way, trapping late buyers beneath overhead resistance floors.

​Seller Control: Heavy distribution volume targets lower support extensions, confirming explicit buyer fatigue.

​Downside Open: A wide expansion vector is unlocked toward lower, unmitigated macro liquidity pools.

​Execution: Short immediately at current market levels, or wait for a minor micro relief bounce near 0.001295 for an optimized risk-to-reward ratio?

​✅Click here to trade👇

$TLM
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Bearish
Bears intensify the breakdown structure. ​Asset: $RE (SHORT) ​Entry: 0.4122 – 0.4158 Stop: 0.4623 Target: 0.1576 ​🔍 Quick Analysis: ​Trend Stall: Price breakdown accelerates as structural support completely gives way, trapping late buyers beneath overhead resistance floors. ​Seller Control: Heavy distribution volume targets lower support extensions, confirming explicit buyer fatigue. ​Downside Open: A wide expansion vector is unlocked toward lower, unmitigated macro liquidity pools. ​Execution: Short immediately at current market levels, or wait for a minor micro relief bounce near 0.4158 for an optimized risk-to-reward ratio? ​✅Click here to trade👇 $RE {spot}(REUSDT)
Bears intensify the breakdown structure.

​Asset: $RE (SHORT)

​Entry: 0.4122 – 0.4158

Stop: 0.4623

Target: 0.1576

​🔍 Quick Analysis:

​Trend Stall: Price breakdown accelerates as structural support completely gives way, trapping late buyers beneath overhead resistance floors.

​Seller Control: Heavy distribution volume targets lower support extensions, confirming explicit buyer fatigue.

​Downside Open: A wide expansion vector is unlocked toward lower, unmitigated macro liquidity pools.

​Execution: Short immediately at current market levels, or wait for a minor micro relief bounce near 0.4158 for an optimized risk-to-reward ratio?

​✅Click here to trade👇

$RE
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Bearish
Bears accelerate the breakdown momentum. ​Asset: $SNDK (SHORT) ​Entry: 1,346.86 – 1,349.40 Stop: 1,477.89 Target: 804.72 ​🔍 Quick Analysis: ​Trend Stall: Relief bounces remain firmly capped beneath the newly established overhead supply shelf. ​Seller Control: Heavy distribution volume continues to trap buyers at local highs, invalidating recovery structural attempts. ​Downside Open: A wide breakdown vector is unlocked toward deep macro liquidity targets sitting much lower. ​Execution: Short immediately at current market levels, or wait for a minor lower-timeframe relief bounce near 1,349.40 for an optimized risk-to-reward ratio? ​✅Click here to trade👇 $SNDK {future}(SNDKUSDT)
Bears accelerate the breakdown momentum.

​Asset: $SNDK (SHORT)

​Entry: 1,346.86 – 1,349.40

Stop: 1,477.89

Target: 804.72

​🔍 Quick Analysis:

​Trend Stall: Relief bounces remain firmly capped beneath the newly established overhead supply shelf.

​Seller Control: Heavy distribution volume continues to trap buyers at local highs, invalidating recovery structural attempts.

​Downside Open: A wide breakdown vector is unlocked toward deep macro liquidity targets sitting much lower.

​Execution: Short immediately at current market levels, or wait for a minor lower-timeframe relief bounce near 1,349.40 for an optimized risk-to-reward ratio?

​✅Click here to trade👇

$SNDK
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Bearish
Bears reject the local bounce. ​Asset: $MANTRA (SHORT) ​Entry: 0.00641 – 0.00642 Stop: 0.00662 Target: 0.00580 ​🔍 Quick Analysis: ​Trend Stall: Upward relief momentum is trapped below the minor distribution resistance area. ​Seller Control: Heavy selling volume steps in to truncate lower-timeframe bounces, highlighting clear buying exhaustion. ​Downside Open: A clean breakdown path is unlocked toward deep, unmitigated accumulation pools resting at lower support levels. ​Execution: Short immediately at current market levels, or wait for a micro relief bounce near 0.00642 for an optimized risk-to-reward ratio? ​✅Click here to trade👇 $MANTRA {spot}(MANTRAUSDT)
Bears reject the local bounce.

​Asset: $MANTRA (SHORT)

​Entry: 0.00641 – 0.00642

Stop: 0.00662

Target: 0.00580

​🔍 Quick Analysis:

​Trend Stall: Upward relief momentum is trapped below the minor distribution resistance area.

​Seller Control: Heavy selling volume steps in to truncate lower-timeframe bounces, highlighting clear buying exhaustion.

​Downside Open: A clean breakdown path is unlocked toward deep, unmitigated accumulation pools resting at lower support levels.

​Execution: Short immediately at current market levels, or wait for a micro relief bounce near 0.00642 for an optimized risk-to-reward ratio?

​✅Click here to trade👇

$MANTRA
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Bullish
Bulls defend the support block. ​Asset: $ONDO (LONG) ​Entry: 0.3449 – 0.3454 Stop: 0.3323 Target: 0.4006 ​🔍 Quick Analysis: ​Trend Stall: Downward corrective pressure has leveled off, consolidating tightly within a clear demand block. ​Buyer Control: Strong demand absorption is expanding from structural support, indicating major selling exhaustion. ​Upside Open: A clean recovery vector is unlocked toward higher, unmitigated distribution zones. ​Execution: Long immediately at current market levels, or wait for a micro retest near 0.3449 for an optimized risk-to-reward ratio? ​✅Click here to trade👇 $ONDO {spot}(ONDOUSDT)
Bulls defend the support block.

​Asset: $ONDO (LONG)

​Entry: 0.3449 – 0.3454

Stop: 0.3323

Target: 0.4006

​🔍 Quick Analysis:

​Trend Stall: Downward corrective pressure has leveled off, consolidating tightly within a clear demand block.

​Buyer Control: Strong demand absorption is expanding from structural support, indicating major selling exhaustion.

​Upside Open: A clean recovery vector is unlocked toward higher, unmitigated distribution zones.

​Execution: Long immediately at current market levels, or wait for a micro retest near 0.3449 for an optimized risk-to-reward ratio?

​✅Click here to trade👇

$ONDO
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Bullish
Bulls spark a potential breakout. ​Asset: $NIL (LONG) ​Entry: 0.03444 – 0.03452 Stop: 0.03309 Target: 0.04170 ​🔍 Quick Analysis: ​Trend Stall: Downward pressure has leveled off, consolidating tightly along a stable horizontal accumulation floor. ​Buyer Control: Strong demand absorption is expanding from structural lows, indicating major selling exhaustion. ​Upside Open: A clean recovery vector is unlocked toward higher, unmitigated distribution zones. ​Execution: Long immediately at current market levels, or wait for a micro retest near 0.03444 for an optimized risk-to-reward ratio? ​✅Click here to trade👇 $NIL {spot}(NILUSDT)
Bulls spark a potential breakout.

​Asset: $NIL (LONG)

​Entry: 0.03444 – 0.03452

Stop: 0.03309

Target: 0.04170

​🔍 Quick Analysis:

​Trend Stall: Downward pressure has leveled off, consolidating tightly along a stable horizontal accumulation floor.

​Buyer Control: Strong demand absorption is expanding from structural lows, indicating major selling exhaustion.

​Upside Open: A clean recovery vector is unlocked toward higher, unmitigated distribution zones.

​Execution: Long immediately at current market levels, or wait for a micro retest near 0.03444 for an optimized risk-to-reward ratio?

​✅Click here to trade👇

$NIL
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Bearish
Bears intensify the breakdown structure. ​Asset: $RE (SHORT) ​Entry: 0.4101 – 0.4115 Stop: 0.4566 Target: 0.2012 ​🔍 Quick Analysis: ​Trend Stall: Price breakdown accelerates as structural support gives way, trapping late buyers beneath overhead resistance. ​Seller Control: Heavy distribution volume targets lower support extensions, confirming explicit buyer fatigue. ​Downside Open: A wide expansion vector is unlocked toward lower, unmitigated macro liquidity pools. ​Execution: Short immediately at current market levels, or wait for a minor micro relief bounce near 0.4115 for an optimized risk-to-reward ratio? ​✅Click here to trade👇 $RE {spot}(REUSDT)
Bears intensify the breakdown structure.

​Asset: $RE (SHORT)

​Entry: 0.4101 – 0.4115

Stop: 0.4566

Target: 0.2012

​🔍 Quick Analysis:

​Trend Stall: Price breakdown accelerates as structural support gives way, trapping late buyers beneath overhead resistance.

​Seller Control: Heavy distribution volume targets lower support extensions, confirming explicit buyer fatigue.

​Downside Open: A wide expansion vector is unlocked toward lower, unmitigated macro liquidity pools.

​Execution: Short immediately at current market levels, or wait for a minor micro relief bounce near 0.4115 for an optimized risk-to-reward ratio?

​✅Click here to trade👇

$RE
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Bearish
Bears force a trendline breakdown. ​Asset: $BEAT (SHORT) ​Entry: 2.338 – 2.373 Stop: 2.625 Target: 1.045 ​🔍 Quick Analysis: ​Trend Stall: Long-term upward trendline support has given way, trapping late buyers under overhead distribution. ​Seller Control: Heavy supply volume triggers a decisive break below structural floors, leading to severe buyer exhaustion. ​Downside Open: A clear corrective vector is unlocked toward lower, unmitigated macro demand pools. ​Execution: Short immediately at current market levels, or wait for a minor micro retest bounce near 2.373 for an optimized risk-to-reward ratio? ​✅Click here to trade👇 $BEAT {future}(BEATUSDT) #thegreenman
Bears force a trendline breakdown.

​Asset: $BEAT (SHORT)

​Entry: 2.338 – 2.373

Stop: 2.625

Target: 1.045

​🔍 Quick Analysis:

​Trend Stall: Long-term upward trendline support has given way, trapping late buyers under overhead distribution.

​Seller Control: Heavy supply volume triggers a decisive break below structural floors, leading to severe buyer exhaustion.

​Downside Open: A clear corrective vector is unlocked toward lower, unmitigated macro demand pools.

​Execution: Short immediately at current market levels, or wait for a minor micro retest bounce near 2.373 for an optimized risk-to-reward ratio?

​✅Click here to trade👇

$BEAT
#thegreenman
·
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Bearish
Bears intensify the breakdown structure. ​Asset: $TLM (SHORT) ​Entry: 0.001324 – 0.001342 Stop: 0.001512 Target: 0.000764 ​🔍 Quick Analysis: ​Trend Stall: Price breakdown accelerates as structural support gives way, trapping late buyers beneath overhead resistance. ​Seller Control: Heavy distribution volume targets lower support extensions, confirming explicit buyer fatigue. ​Downside Open: A wide expansion vector is unlocked toward lower, unmitigated macro liquidity pools. ​Execution: Short immediately at current market levels, or wait for a minor micro relief bounce near 0.001342 for an optimized risk-to-reward ratio? ​✅Click here to trade👇 $TLM {spot}(TLMUSDT)
Bears intensify the breakdown structure.

​Asset: $TLM (SHORT)

​Entry: 0.001324 – 0.001342

Stop: 0.001512

Target: 0.000764

​🔍 Quick Analysis:

​Trend Stall: Price breakdown accelerates as structural support gives way, trapping late buyers beneath overhead resistance.

​Seller Control: Heavy distribution volume targets lower support extensions, confirming explicit buyer fatigue.

​Downside Open: A wide expansion vector is unlocked toward lower, unmitigated macro liquidity pools.

​Execution: Short immediately at current market levels, or wait for a minor micro relief bounce near 0.001342 for an optimized risk-to-reward ratio?

​✅Click here to trade👇

$TLM
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Bullish
Bulls spark a capitulation bounce. ​Asset: $HOME (LONG) ​Entry: 0.00716 – 0.00717 Stop: 0.00227 Target: 0.02045 ​🔍 Quick Analysis: ​Trend Stall: Deep capitulation selling has finally flattened out near historic lows, hitting extreme oversold conditions. ​Buyer Control: Aggressive accumulation interest begins absorbing the sell-off volume, signaling significant seller exhaustion. ​Upside Open: A massive mean-reversion vector is unlocked toward higher, unmitigated distribution zones. ​Execution: Long immediately at current market levels, or wait for a micro retest near 0.00716 for an optimized risk-to-reward ratio? ​✅Click here to trade👇 $HOME {spot}(HOMEUSDT)
Bulls spark a capitulation bounce.

​Asset: $HOME (LONG)

​Entry: 0.00716 – 0.00717

Stop: 0.00227

Target: 0.02045

​🔍 Quick Analysis:

​Trend Stall: Deep capitulation selling has finally flattened out near historic lows, hitting extreme oversold conditions.

​Buyer Control: Aggressive accumulation interest begins absorbing the sell-off volume, signaling significant seller exhaustion.

​Upside Open: A massive mean-reversion vector is unlocked toward higher, unmitigated distribution zones.

​Execution: Long immediately at current market levels, or wait for a micro retest near 0.00716 for an optimized risk-to-reward ratio?

​✅Click here to trade👇

$HOME
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Bearish
Bears intensify the breakdown structure. ​Asset: $RE (SHORT) ​Entry: 0.4100 – 0.4101 Stop: 0.4566 Target: 0.2012 ​🔍 Quick Analysis: ​Trend Stall: Price breakdown accelerates as structural support gives way, trapping late buyers beneath overhead resistance. ​Seller Control: Heavy distribution volume targets lower support extensions, confirming explicit buyer fatigue. ​Downside Open: A wide expansion vector is unlocked toward lower, unmitigated macro liquidity pools. ​Execution: Short immediately at current market levels, or wait for a minor micro relief bounce near 0.4101 for an optimized risk-to-reward ratio? ​✅Click here to trade👇 $RE {spot}(REUSDT)
Bears intensify the breakdown structure.

​Asset: $RE (SHORT)

​Entry: 0.4100 – 0.4101

Stop: 0.4566

Target: 0.2012

​🔍 Quick Analysis:

​Trend Stall: Price breakdown accelerates as structural support gives way, trapping late buyers beneath overhead resistance.

​Seller Control: Heavy distribution volume targets lower support extensions, confirming explicit buyer fatigue.

​Downside Open: A wide expansion vector is unlocked toward lower, unmitigated macro liquidity pools.

​Execution: Short immediately at current market levels, or wait for a minor micro relief bounce near 0.4101 for an optimized risk-to-reward ratio?

​✅Click here to trade👇

$RE
·
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Bearish
Bears force a trendline breakdown. ​Asset: $BEAT (SHORT) ​Entry: 2.348 – 2.373 Stop: 2.625 Target: 1.045 ​🔍 Quick Analysis: ​Trend Stall: Long-term upward trendline support has given way, trapping late buyers under overhead distribution. ​Seller Control: Heavy supply volume triggers a decisive break below structural floors, leading to severe buyer exhaustion. ​Downside Open: A clear corrective vector is unlocked toward lower, unmitigated macro demand pools. ​Execution: Short immediately at current market levels, or wait for a minor micro retest bounce near 2.373 for an optimized risk-to-reward ratio? ​✅Click here to trade👇 $BEAT {future}(BEATUSDT)
Bears force a trendline breakdown.

​Asset: $BEAT (SHORT)

​Entry: 2.348 – 2.373

Stop: 2.625

Target: 1.045

​🔍 Quick Analysis:

​Trend Stall: Long-term upward trendline support has given way, trapping late buyers under overhead distribution.

​Seller Control: Heavy supply volume triggers a decisive break below structural floors, leading to severe buyer exhaustion.

​Downside Open: A clear corrective vector is unlocked toward lower, unmitigated macro demand pools.

​Execution: Short immediately at current market levels, or wait for a minor micro retest bounce near 2.373 for an optimized risk-to-reward ratio?

​✅Click here to trade👇

$BEAT
·
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Bearish
Bears accelerate the breakdown momentum. ​Asset: $SNDK (SHORT) ​Entry: 1,349.40 – 1,350.48 Stop: 1,477.89 Target: 804.72 ​🔍 Quick Analysis: ​Trend Stall: Relief bounces remain firmly capped beneath the newly established overhead supply shelf. ​Seller Control: Heavy distribution volume continues to trap buyers at local highs, invalidating recovery structural attempts. ​Downside Open: A wide breakdown vector is unlocked toward deep macro liquidity targets sitting much lower. ​Execution: Short immediately at current market levels, or wait for a minor lower-timeframe relief bounce near 1,350.48 for an optimized risk-to-reward ratio? ​✅Click here to trade👇 $SNDK {future}(SNDKUSDT)
Bears accelerate the breakdown momentum.

​Asset: $SNDK (SHORT)

​Entry: 1,349.40 – 1,350.48

Stop: 1,477.89

Target: 804.72

​🔍 Quick Analysis:

​Trend Stall: Relief bounces remain firmly capped beneath the newly established overhead supply shelf.

​Seller Control: Heavy distribution volume continues to trap buyers at local highs, invalidating recovery structural attempts.

​Downside Open: A wide breakdown vector is unlocked toward deep macro liquidity targets sitting much lower.

​Execution: Short immediately at current market levels, or wait for a minor lower-timeframe relief bounce near 1,350.48 for an optimized risk-to-reward ratio?

​✅Click here to trade👇

$SNDK
·
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Bearish
Bears break the relief rally. ​Asset: $FLOCK (SHORT) ​Entry: 0.03150 – 0.03152 Stop: 0.03398 Target: 0.02365 ​🔍 Quick Analysis: ​Trend Stall: Recent explosive upward momentum has completely faded, leaving price trapped under distribution resistance. ​Seller Control: Heavy supply volume aggressively cuts off the relief peak, showcasing sharp buying exhaustion. ​Downside Open: A clean breakdown vector is unlocked toward lower, unmitigated macro liquidity targets. ​Execution: Short immediately at current market levels, or wait for a micro relief bounce near 0.03152 for an optimized risk-to-reward ratio? ​✅Click here to trade👇 $FLOCK {future}(FLOCKUSDT) #thegreenman
Bears break the relief rally.

​Asset: $FLOCK (SHORT)

​Entry: 0.03150 – 0.03152

Stop: 0.03398

Target: 0.02365

​🔍 Quick Analysis:

​Trend Stall: Recent explosive upward momentum has completely faded, leaving price trapped under distribution resistance.

​Seller Control: Heavy supply volume aggressively cuts off the relief peak, showcasing sharp buying exhaustion.

​Downside Open: A clean breakdown vector is unlocked toward lower, unmitigated macro liquidity targets.

​Execution: Short immediately at current market levels, or wait for a micro relief bounce near 0.03152 for an optimized risk-to-reward ratio?

​✅Click here to trade👇

$FLOCK
#thegreenman
·
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Bearish
Bears reject the local bounce. ​Asset: $DODOX (SHORT) ​Entry: 0.022164 – 0.022205 Stop: 0.023919 Target: 0.016862 ​🔍 Quick Analysis: ​Trend Stall: Upward relief momentum is trapped below the minor distribution resistance area. ​Seller Control: Heavy selling volume steps in to truncate lower-timeframe bounces, highlighting clear buying exhaustion. ​Downside Open: A clean breakdown path is unlocked toward deep, unmitigated accumulation pools resting at lower support levels. ​Execution: Short immediately at current market levels, or wait for a micro relief bounce near 0.022205 for an optimized risk-to-reward ratio? ​✅Click here to trade👇 $DODOX {future}(DODOXUSDT)
Bears reject the local bounce.

​Asset: $DODOX (SHORT)

​Entry: 0.022164 – 0.022205

Stop: 0.023919

Target: 0.016862

​🔍 Quick Analysis:

​Trend Stall: Upward relief momentum is trapped below the minor distribution resistance area.

​Seller Control: Heavy selling volume steps in to truncate lower-timeframe bounces, highlighting clear buying exhaustion.

​Downside Open: A clean breakdown path is unlocked toward deep, unmitigated accumulation pools resting at lower support levels.

​Execution: Short immediately at current market levels, or wait for a micro relief bounce near 0.022205 for an optimized risk-to-reward ratio?

​✅Click here to trade👇

$DODOX
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