🔥 SOL/USDT Technical Analysis Update 🔥 Solana is currently showing a bearish-to-neutral structure on the daily timeframe. Price action continues to form lower highs and lower lows, keeping overall pressure on the downside. 📉 Trend Overview: • Short-term momentum looks weak • Buyers are defending key support zones • No strong bullish breakout yet 📊 Key Levels to Watch: 🔹 Support: $75 – $70 zone (major demand area) 🔹 Breakdown below $70 → Possible move toward $65 🔹 Resistance: $85 – $90 zone 🔹 Strong breakout above $90 → Bullish continuation toward $100+ 📈 Indicators Insight: • RSI near neutral (no strong overbought signal) • Momentum still recovering • Volume needed for confirmation of breakout ⚡ Trading Idea: As long as SOL stays below $90, structure favors cautious trading. A confirmed breakout with strong volume could shift momentum bullish. Always manage risk and use proper stop-loss. Crypto remains highly volatile. #sol #solanAnalysis $SOL $BTC
📊 #NFP Impact on #crypto _What Traders Must Watch! 🚨 Non-Farm Payroll (NFP) data plays a key role in shaping #market sentiment — and yes, it moves crypto too! 🔹 If NFP comes STRONG: • USD strengthens 💵 • Rate cuts get delayed ⏳ • Liquidity tightens ➡️ Bitcoin & Altcoins may face short-term pressure 📉 🔹 If NFP comes WEAK: • USD weakens • Rate cuts expectations rise 📊 • Liquidity outlook improves ➡️ Crypto market may see upside momentum 🚀 ⚡ Volatility Alert: During the NFP release, BTC can move 2–5% within minutes. Altcoins can be even more volatile. Manage risk wisely! 📌 Pro Tip: Don’t just watch headline jobs number — also check Unemployment Rate & Average Hourly Earnings for full market reaction. Are you bullish 📈 or bearish 📉 before NFP? 👀 #Crypto #WhenWillBTCRebound
Achtung! Ein schneller Marktupdate über die Prognosen zu wichtigen Wirtschaftsdaten, ein Muss für Wissen.
Die Märkte zeigten gemischte Stimmung, da Investoren auf wichtige wirtschaftliche Signale reagierten. Schwächere Verbraucheraktivitätsdaten erhöhten die Erwartungen an zukünftige Zinssenkungen und drückten die Anleiherenditen nach unten. Die Aktienmärkte blieben in einer Bandbreite, mit Stärke in defensiven Sektoren, während Wachstumsaktien mildem Druck ausgesetzt waren.