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$BTC USDT Short Setup
🔴 Entry: 78,700 - 79,000
🎯 TP1: 77,800
🎯 TP2: 76,900
🎯 TP3: 75,500
🟢 SL: 80,200
BTC is trading below MA(7) and MA(25) after fading from the 82,282 high, showing loss of short-term momentum. Price is hovering near MA(99), a key level that could decide the next leg. A break below 78,700 favors further downside, while reclaiming MA(7) would invalidate this bearish view.
⚠️ This is not financial advice. Always do your own research (DYOR).
#LearnWithGM
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Crypto Market Volatility Explained (No Signals)
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Bitcoin is at a key level.
$79,500 has flipped from support into resistance after $BTC ‌ failed to hold above it.
If we reclaim $79.5K and hold, I’d be looking for a move back towards $81K+.
If we lose $78K, I’d expect the liquidity below to get taken first.
Simple levels to watch.
$79.5K reclaim = bullish.
$78K loss = bearish.
Until then, I’m waiting...
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#BidenSonLaunchesLAPTOPMemeCoinSparkingControversy
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BTC-0.66%
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Cumberland-linked wallets pulled 3.5M PONS from over four days, ~$2.78M in total. Could signal accumulation despite price action; keep an eye on further inflows/outflows for $PONS .
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CZ stated that the initial public offering will take place on-chain.
Years ago, the founder of #PiNetwork discussed this vision of the future in a video speech: real-world enterprises, company shares... tens of thousands of enterprises on the blockchain. 🚀
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#GateGoldCFDExclusive5xLeverage – A New Era of Flexible Gold Trading
The gold market has long been a cornerstone of global finance, offering stability, liquidity, and a hedge against inflation. However, traditional gold trading often comes with high barriers to entry, limited flexibility, and complex processes. Gate.io has revolutionized this space with GateGold CFD (Contract for Difference), allowing traders to speculate on gold price movements without physically owning the metal. Now, with the exclusive introduction of 5x and 10x leverage options, GateGold CFD has become more accessible and
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A low-volume rebound reached around 0.016097, but three consecutive candlesticks failed to hold above the key-level zone. Selling pressure overhead is obvious, so I lean more toward a shift from bullish to bearish rather than continuing to chase longs.

Wait for a pullback below the key level to confirm that the rally is losing momentum before entering a short position, with the stop-loss placed at the key level of the false breakout above. After entering, take profit at the first target, directly closing 80% of the position, while keeping 80% protected to trade the breakout.

The price just
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Layout for Bitcoin, Ethereum, and Dogecoin
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Accumulate $BICO
LAST TIME DID 6X
This time 2X Loading 🔥
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Take profit at 2500➕
Range-bound trading; repeatedly take long positions as long as 60 holds.
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Insiders are fading the bounce on TAO with a clear short bias.

$TAO /USDT - SHORT

Trade Plan:
Entry: 252 – 254
SL: 262
TP1: 246
TP2: 241
TP3: 234

Why this setup?
Why now? The 1h price is pinned at 253 inside a range-bound daily trend, while the 15m RSI sits at 40.96, confirming bearish momentum without oversold exhaustion. The 1h ATR of 3.887642 shows enough volatility to justify a short setup from the 253 entry zone. The plan targets TP1 at 246, followed by TP2 at 241, with the invalidation level acting as the hard line in the sand at 245. A break above 245 flips the entire structure an
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#Chainlink $Link 1w
Soon! 🧙
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I was just about to go to the forum and rant, but then I saw my balance, and my anger was instantly doused. The market is always right.
After lunch, when I checked the chart, $FLOCK /FLOCK had bounced back toward the key level, but the volume never followed through. It looked like it was rising, but every step was shaky—the bait for longs was simply too obvious.
I decided to follow the bears and put on a trade, entering at 0.07997. The logic was simple: every time it pushed higher, someone sold, so it was only a matter of time before it got dumped back to the starting point.
Looking again this
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This trend is so good I don't even need to think—the account is dancing on its own. Watching $ZEC all morning wasn't a waste of time; it delivered exactly what it was supposed to, truly making me look good.

While everyone else was running, I kept my eyes on the chart and noticed something was off—the drop had stalled. Funds were quietly entering, with waves of buying pressure pushing up one after another. This kind of support isn't fake. I immediately signaled a long entry, making the direction crystal clear. Whether you got on board depends on your own execution.

Panic comes from having n
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This $ETH trade almost took a loss; the market handed us the entry point, with even the stop-loss level laid bare.
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I originally wanted to cut losses to sacrifice to heaven, but the ritual never happened—the meat roasted itself. 😏 A few days ago, when the screen was filled with green light, $IN the rebound came with no volume, while sell orders kept pressing down all the way, and the rebound could not even touch the first key level. With such a weak structure right in front of me, not shorting would have been hard to justify.

Short entry at 0.09355, just saw 0.03424, with a position return of +3049.57%. Time for a good meal, brothers. This move wasn't because I'm capable; the market was simply in a good
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PIEVERSE was 1.27 yesterday and is still 1.23 today, remaining green over 24 hours. Momentum has narrowed from +24% to +12%, with turnover at elevated levels.
$PIEVERSE
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I didn't expect to survive, but this drop pulled me right back. During the repeated intraday swings, I waited until the rebound weakened and each push upward fell just short, then shorted at 0.33936. It has now dropped to 0.12543, with a return of +1240.01%. The service was spot-on—feeling great, brothers.
Don't let profits inflate, and don't despair over drawdowns. I'd rather miss a limit-up than catch a falling knife and end up covered in blood.
First bank 80% of the position, and set a stop-loss on the remaining 20% at the entry price, letting the profits run on their own.
For those who hav
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