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Everyone is watching this weekly reversal on $SOL , but missing the multi-month trendline breakout confirming a major macro pivot.
After breaking out of the descending parallel channel, price has reclaimed key structural support above the $90.99 buy zone. This strong bullish expansion on the weekly timeframe signals a long-term character shift, clearing out months of lower-high consolidation.
Holding above the $90.99 and $78.11 accumulation levels validates the macro long setup, unlocking sequential upside targets at $138.97 and $186.94 . Sustaining this momentum paves the path for a multi-s
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SOL+2.05%
Up early!
Fam, hit me with that GM energy
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🚨 BRENT CRUDE BREAKS ABOVE $100!
Brent crude has climbed above $100 per barrel for the first time since July.
In the last 24 hours, @ponsdotfamily has generated more fees than:
• Uniswap
• Circle
• PumpFun
• Polymarket
• Hyperliquid
Oh, and the entire @RobinhoodCrypto chain.
That's insane...
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UNI-2.69%
HYPE+3.30%
CRCLG-0.87%
CRCLX-1.02%
Is $STONKS this coin? It climbed up from five 0️⃣s, with a market cap of just over 4 million.
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STONKS+78.44%
I didn't expect it to survive, but it directly brought me back to breakeven. The service was excellent.

While everyone was still watching from the sidelines, I saw $COOKIE stabilize after pulling back to 0.01112. There was no volume on the dip, and the bottoming process held without breaking down, so I signaled taking a long position first. Some thought it was too early—fine, let the candlestick chart give them the answer.

The price has now climbed to 0.01138, delivering +55.17% in unrealized gains. Worth the wait, right?

The plan was set long ago: pocket 75% first, and move the defense
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COOKIE-2.07%
BNB-0.40%
XRP+4.03%
Market structure: Ranging
Support zone: $78,100 – $77,900
Resistance zone: $79,400 – $79,600
Reaction expectation: Price is hovering near the middle of the range if it holds above $78,700, it may drift toward resistance; a rejection there could send it back to support.
$BTC
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BTC+1.59%
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GateLive
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MEME+1.30%
ON-4.28%
Nobody is talking about this quiet bullish setup forming right now.

$NEAR /USDT - LONG

Trade Plan:
Entry: 2.4341 – 2.4589
SL: 2.3270
TP1: 2.5361
TP2: 2.5959
TP3: 2.6855

Why this setup?
Why now? The daily trend is firmly bullish, and the 1h price is holding at 2.4465 inside a tight entry zone between 2.4341 and 2.4589. The 15m RSI is at 74.62, showing strong momentum without being completely overextended. With the 1h ATR at 0.049784, the current volatility is setting up a clean move toward TP1 at 2.5361 and TP2 at 2.5959. The daily bullish bias and the high 95.0 confidence score make this
NEAR+5.97%
I stepped away to use the restroom, and by the time I came back, the candlesticks had already wiped out my losses for me. $EDEN This move wore everyone down until they had no patience left, but once it finally took off, it moved fast and hard. The position entered at 0.04609 was pushed to 0.05316, with +302.68% secured. Feels good.

During the intraday plunge, I watched the minute chart: the key level held, the bottom consolidated, and buying pressure kept getting stronger. I had just one thought then: at a level like this, I wasn't afraid to enter one more time. And the market gave us the an
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EDEN-1.26%
SNDK+0.97%
ETH+1.79%
I did not chase the short at the moment of the breakdown, because the entry point would have been awkward, making it difficult to place a stop-loss. After $CYS fell from the key level, I preferred to wait for a rebound toward the key-level zone before considering an entry. The chart was straightforward: once the original key level is breached, it will most likely turn into a new key level. After several rebounds stalled near this zone, the conditions for entering a short gradually matured.
After entering, I first took most of the profit as planned, then moved the protection level on the remain
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CYS-15.39%
SNDK+0.97%
ZEC+10.46%
This long trade was not entered by aggressively chasing the breakout; instead, I waited for the price to pull back to the upper boundary of the previous range and confirmed the strength of the support before entering. As the market approached the upper target zone, I began taking partial profits as planned, closing out 70% of the position in stages. For the remaining 30%, I simultaneously raised the protective level above the entry price, so even a sharp intraday wick would not turn a profitable trade into a losing one. The moving averages continue to fan upward, key levels keep rising, and vo
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ETH+1.79%
SNDK+0.97%
XRP+4.03%
$SOPH POSITION CLOSED!
ALHAMDULILLAH.
We talk less and let the results speak louder. That’s the difference, my lions.. 🦁
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SOPH-46.20%
Gold continued to retreat after reaching a high near 4450 yesterday, dipping to an intraday low of 4345 where it found support. Although it has since recovered, it is still trading around 4400!
From the current chart perspective, after rallying on the daily timeframe, the price has retreated from the upper Bollinger Band and fallen below the middle band, with bullish momentum significantly weakening. The broader uptrend has been disrupted, and the 4470‑4500 range has formed strong resistance above. The rebound is more of a recovery following the sharp decline, and the risk of another move lowe
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XAU+0.20%
hype whales take profits selling pressure ahead?
live-cover
LIVE2,393
$ETC sitting on 2020 month demand
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ETC+3.88%
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