$RAVE is showing a classic liquidity gap setup high risk, high manipulation zone.
Above price, there’s a heavy cluster of 15x–20x short liquidations stacked around $4.80–$5.00. This acts like a magnet, likely pulling price up for a final squeeze wick.
But below $4.50, liquidity is extremely thin. If momentum stalls, there’s no strong buy support until the $3.27–$3.52 zone creating a potential fast drop.
Outlook: We’re likely in a blow-off top phase. Once shorts near $4.80 get wiped, the rally loses fuel. That’s where sharp reversals (-30% to -40%) typically begin.
Strategy:
Avoid chasing longs here. Watch for a spike toward ~$4.85 with falling OI—that’s your exhaustion signal.
If structure breaks below ~$4.20, expect a waterfall move toward the $3.50 range.
Play smart this is whale territory.🐳
{future}(RAVEUSDT)