Short sellers were aggressively squeezed as SENT pushed above the $0.0267 level, triggering a cascade of stop losses from shorts positioned around the prior compression range. The move showed strong continuation with limited rejection, confirming forced covering into real buying pressure rather than a brief liquidity sweep.
Entry (EP): $0.02590
Take Profit (TP): $0.03040
Stop Loss (SL): $0.02490
Market Outlook: $SENT is holding a constructive short-term bullish posture after reclaiming this liquidation zone. As long as price remains above the $0.0259–$0.0267 support area, upside continuation toward higher resistance remains likely. Momentum is strong but volatility remains elevated strict risk management is essential.
Short sellers were squeezed as SKR pushed above the $0.0385 level, triggering stop losses from shorts positioned around the prior compression range. The move showed clean continuation with limited rejection, indicating forced covering into real buying pressure rather than a brief liquidity sweep.
Entry (EP): $0.03780
Take Profit (TP): $0.04320
Stop Loss (SL): $0.03660
Market Outlook: $SKR is holding a constructive short-term bullish posture after reclaiming this liquidation zone. As long as price remains above the $0.0378–$0.0385 support area, upside continuation toward higher resistance remains likely. Momentum is positive but volatility remains elevated strict risk management is essential.
Short sellers were squeezed as RIVER pushed above the $36.73 level, triggering stop losses from shorts positioned around the prior consolidation range. The move showed clean continuation with limited rejection, indicating forced covering into real buying pressure rather than a brief liquidity sweep.
Entry (EP): $35.90
Take Profit (TP): $40.80
Stop Loss (SL): $34.70
Market Outlook: $RIVER is holding a constructive short-term bullish posture after reclaiming this liquidation zone. As long as price remains above the $35.9–$36.7 support area, upside continuation toward higher resistance remains likely. Momentum is positive but volatility remains elevated strict risk management is essential.
Shortverkäufer wurden unter Druck gesetzt, als SOL über das Niveau von $127.7 stieg, was Stop-Loss-Orders von Shorts auslöste, die in der Nähe des vorherigen Konsolidierungsbereichs positioniert waren. Der Move zeigte eine saubere Fortsetzung mit begrenzter Ablehnung, was darauf hindeutet, dass gezwungenes Deckungskaufen in echten Kaufdruck übergegangen ist, anstatt einen kurzen Liquiditätssweep durchzuführen.
Einstieg (EP): $125.90
Gewinnmitnahme (TP): $136.80
Stop Loss (SL): $122.80
Marktausblick: $SOL hält eine konstruktive kurzfristige bullische Haltung nach der Rückeroberung dieser Liquidationszone. Solange der Preis über dem Unterstützungsbereich von $126–$128 bleibt, ist eine Aufwärtsfortsetzung in Richtung höherer Widerstände wahrscheinlich. Der Momentum ist positiv, aber die Volatilität bleibt erhöht, striktes Risikomanagement ist unerlässlich.
Short sellers were squeezed as SIREN pushed above the $0.0877 level, triggering stop losses from shorts positioned around the prior consolidation range. The move showed clean continuation with limited rejection, indicating forced covering into real buying pressure rather than a brief liquidity sweep.
Entry (EP): $0.08620
Take Profit (TP): $0.09540
Stop Loss (SL): $0.08390
Market Outlook: $SIREN is holding a constructive short-term bullish posture after reclaiming this liquidation zone. As long as price remains above the $0.086–$0.088 support area, upside continuation toward higher resistance remains likely. Momentum is positive but volatility remains elevated strict risk management is essential.
Short sellers were squeezed as RIVER pushed above the $34.82 level, triggering stop losses from shorts positioned around the prior consolidation range. The move showed clean continuation with limited rejection, indicating forced covering into real buying pressure rather than a brief liquidity sweep.
Entry (EP): $34.10
Take Profit (TP): $38.20
Stop Loss (SL): $33.20
Market Outlook: $RIVER is holding a constructive short-term bullish posture after reclaiming this liquidation zone. As long as price remains above the $34.1–$34.8 support area, upside continuation toward higher resistance remains likely. Momentum is positive but volatility remains elevated strict risk management is essential.
Short sellers were squeezed as SKR pushed above the $0.0365 level, triggering stop losses from shorts positioned around the prior compression range. The move showed clean continuation with limited rejection, indicating forced covering into real buying pressure rather than a brief liquidity sweep.
Entry (EP): $0.03590
Take Profit (TP): $0.04020
Stop Loss (SL): $0.03480
Market Outlook: $SKR is holding a constructive short-term bullish posture after reclaiming this liquidation zone. As long as price remains above the $0.0359–$0.0365 support area, upside continuation toward higher resistance remains likely. Momentum is positive but volatility remains elevated strict risk management is essential.
Short sellers were aggressively squeezed as ETH pushed above the $2,945 level, triggering a cascade of stop losses from shorts positioned around the prior consolidation range. The move showed strong continuation with limited rejection, confirming forced covering into real buying pressure rather than a brief liquidity sweep.
Entry (EP): $2,915
Take Profit (TP): $3,080
Stop Loss (SL): $2,865
Market Outlook: $ETH is holding a constructive short-term bullish posture after reclaiming this liquidation zone. As long as price remains above the $2,915–$2,945 support area, upside continuation toward higher resistance remains likely. Momentum is positive but volatility remains elevated strict risk management is essential.
Short sellers were aggressively squeezed as ALCH pushed above the $0.1199 level, triggering a cascade of stop losses from shorts positioned around the prior consolidation range. The move showed strong continuation with limited rejection, confirming forced covering into real buying pressure rather than a brief liquidity sweep.
Entry (EP): $0.11740
Take Profit (TP): $0.13580
Stop Loss (SL): $0.11290
Market Outlook: $ALCH is holding a strong short-term bullish posture after reclaiming this liquidation zone. As long as price remains above the $0.117–$0.120 support area, upside continuation toward higher resistance remains likely. Momentum is strong but extended strict risk management is essential.
Short sellers were squeezed as STG pushed above the $0.2006 level, triggering stop losses from shorts leaning on the prior compression range. The move showed clean continuation with limited rejection.
Entry (EP): $0.19680
Take Profit (TP): $0.22250
Stop Loss (SL): $0.19190
Market Outlook: $STG is holding a constructive short-term bullish posture after reclaiming this liquidation zone. As long as price remains above the $0.197–$0.201 support area, upside continuation toward higher resistance remains likely. Momentum is positive but volatility remains elevated strict risk management is essential.
Leerverkäufer wurden unter Druck gesetzt, als ENSO über die $0.841-Marke stieg, was Stop-Loss-Orders von Leerverkäufern auslöste, die rund um den vorherigen Hochpunkt positioniert waren. Die Bewegung zeigte eine stetige Fortsetzung mit begrenzter Ablehnung.
Einstieg (EP): $0.82640
Gewinnmitnahme (TP): $0.91500
Stop-Loss (SL): $0.80420
Marktausblick: $ENSO hält eine konstruktive kurzfristige bullische Haltung nach der Rückeroberung dieser Liquidationszone. Solange der Preis über dem Unterstützungsbereich von $0.826–$0.841 bleibt, ist eine Fortsetzung nach oben in Richtung höherer Widerstände wahrscheinlich. Der Momentum ist positiv, aber ein strenges Risikomanagement ist unerlässlich.
Leerverkäufer wurden aggressiv unter Druck gesetzt, als IN über die $0.0946-Marke stieg, was eine Kaskade von Stop-Loss-Orders von Leerverkäufern auslöste, die sich im vorherigen Konsolidierungsbereich positioniert hatten. Die Expansion bestätigte das erzwungene Decken in die reale Nachfrage.
Einstieg (EP): $0.09180
Gewinnmitnahme (TP): $0.10840
Stop-Loss (SL): $0.08860
Marktausblick: $IN hält eine starke kurzfristige bullische Haltung, nachdem diese Liquidationszone zurückerobert wurde. Solange der Preis über dem Unterstützungsbereich von $0.092–$0.095 bleibt, ist eine Fortsetzung nach oben in Richtung höherer Widerstände wahrscheinlich. Die Dynamik ist stark, aber volatil, strenge Risikomanagementpraktiken sind unerlässlich.
Lange Positionen wurden abgerufen, da ZEC es nicht schaffte, über der Unterstützungsregion von $362.4 zu bleiben, was Stop-Losses von gehebelten Long-Positionen auslöste. Der Rückgang zeigte eine saubere Fortsetzung nach unten mit begrenztem Rückprall.
Einstieg (EP): $369.20
Gewinnmitnahme (TP): $338.00
Stop-Loss (SL): $378.40
Marktausblick: $ZEC zeigt kurzfristigen bärischen Druck, nachdem diese Liquidationszone verloren ging. Solange der Preis unter dem Widerstandsband von $362–$369 bleibt, ist eine Fortsetzung nach unten zu niedrigeren Unterstützungsniveaus wahrscheinlich. Die Dynamik ist negativ und die Volatilität bleibt erhöht, striktes Risikomanagement ist unerlässlich.
Lange Positionen wurden geschlossen, da PIPPIN nicht in der Lage war, über der Unterstützungsregion von $0.355 zu bleiben, was Stop-Loss-Orders von spät eingestiegenen Long-Positionen auslöste, die auf eine Fortsetzung gesetzt hatten. Der Rückgang zeigte einen sauberen Abwärtsfortschritt mit begrenztem Rückprall und bestätigte echten Verkaufsdruck.
Einstieg (EP): $0.36120
Gewinnmitnahme (TP): $0.33180
Stop Loss (SL): $0.36940
Marktausblick: $PIPPIN zeigt kurzfristigen bärischen Druck, nachdem diese Liquidationszone verloren ging. Solange der Preis unter dem Widerstandsband von $0.355–$0.361 bleibt, ist eine weitere Abwärtsbewegung in Richtung niedrigerer Unterstützungsniveaus wahrscheinlich. Der Momentum ist negativ und die Volatilität bleibt hoch, striktes Risikomanagement ist unerlässlich.
Long positions were flushed as SAND failed to hold above the $0.1598 support region, triggering stop losses from leveraged longs. The breakdown showed steady downside continuation with limited recovery.
Entry (EP): $0.16240
Take Profit (TP): $0.15120
Stop Loss (SL): $0.16690
Market Outlook: $SAND is showing short-term bearish pressure after losing this liquidation zone. As long as price remains below the $0.160–$0.162 resistance band, downside continuation toward lower support levels remains likely. Momentum is negative and volatility remains elevated strict risk management is essential.
Long positions were flushed as SENT failed to sustain above the $0.0272 support region, triggering stop losses from late longs positioned for continuation. The breakdown showed clean downside acceptance with limited bounce.
Entry (EP): $0.02760
Take Profit (TP): $0.02540
Stop Loss (SL): $0.02820
Market Outlook: $SENT is showing short-term bearish pressure after losing this liquidation zone. As long as price remains below the $0.0272–$0.0276 resistance band, downside continuation toward lower support levels remains likely. Momentum is negative and volatility remains elevated strict risk management is essential.
Short sellers were squeezed as ERA pushed above the $0.2076 level, triggering stop losses from shorts positioned around the prior consolidation range. The move showed clean continuation with limited rejection, indicating forced covering into real buying pressure rather than a brief liquidity sweep.
Entry (EP): $0.20310
Take Profit (TP): $0.22380
Stop Loss (SL): $0.19840
Market Outlook: $ERA is holding a constructive short-term bullish posture after reclaiming this liquidation zone. As long as price remains above the $0.203–$0.208 support area, upside continuation toward higher resistance remains likely. Momentum is positive but volatility remains elevated strict risk management is essential.