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$$GENIUS 0.4270 to 0.4321 only a two-tier difference, with 80% of the 14.3M trading volume being hand-to-hand—those daring to chase high at this position are just giving away money.
Breaking down the trading steps for you: 1️⃣ Accumulation phase: 24-hour low at 0.3447, at this level, 2 million U was used to buy three times but no stock was received, indicating the bottom chips were locked early. Suddenly pushed to 0.4321 at 4 a.m., clearly testing the selling pressure above, but above 0.43 only 1.8 million U was traded and couldn't be pushed down, controlling the market at least 65%+. 2️⃣ Shakeout phase: Currently, there is a 1.2M sell order at 0.4270, but the real sell volume is only 400k U, the rest are fake orders scaring retail investors. Look at the 15-minute chart, each shadow line with volume rebound, deliberately using a downward drift to wash out the floating chips from yesterday’s chase. 3️⃣ High push distribution plan: When retail panic sells near 0.41, the market maker will initiate the second wave. Targeting 0.46-0.48, after this push, half the position must be sold because 0.5 is a resistance level from the previous high, breaking through requires over 200 million in trading volume.
Trading suggestion: At the current price of 0.4270, try a small long position, stop loss at 0.4150 (a break below indicates failed shakeout). If the hourly chart stabilizes above 0.4350, add to the position, take profit first at 0.46. Keep position no more than 30%, as after a 22% rise in 24 hours, volatility will increase.
My logic is based on watching the market at Gate Plaza for a living, $GENIUS if there’s no new high signal before noon tomorrow, I will close the position directly. Remember—market data does not lie.