Everybody is waiting for a capitulation spike to $70.0000, while the institutional algorithm is silently soaking up the spot liquidity right here. The retail crowd thinks a 4h breakdown is imminent, completely blind to the macro block holding the line.


$SOL - LONG
Trade Plan:
Entry: 75.140000 - 74.820000
SL: 73.950000
TP1: 77.750000
TP2: 81.380000
TP3: 82.790000
Why this setup?
95% confidence on a 4h long setup. RSI 15m at 48.5000 (room to run). ATR 1h is 0.425000—tight squeeze priming for a breakout. Entry zone: 75.140000 - 74.820000. First target 77.750000.
Debate:
Is this the quiet before the explosive pump, or are we just forming the bear flag before the final flush?
$SOL
SOL-1.55%
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