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ZEC MARKET ANALYSIS — $1,305
Zcash is trading around $1,305, with the market showing a short-term recovery attempt after a sharp weekly correction.
Live data shows roughly $22.1B market cap, $235M spot volume, $3.59B futures volume, and around $2.60B open interest.
ZEC is currently +1.44% in 24H but still around -21.36% over 7 days, so volatility remains extremely high. �
24-HOUR OUTLOOK:
The first key support is $1,285–$1,300. If buyers defend this zone and ZEC reclaims $1,330–$1,350, momentum could move toward $1,390–$1,430.
A strong breakout above $1,430 could open $1,480–$1,520.
If ZEC loses $1,285, downside pressure could increase toward $1,250, followed by $1,200.
7-DAY OUTLOOK:
The weekly structure is still under pressure because ZEC has fallen more than 21% in seven days.
My key zones:
• Above $1,350 → bullish recovery toward $1,430 → $1,480
• Above $1,520 → stronger breakout potential toward $1,600+
• $1,285–$1,350 → major decision/consolidation zone
• Below $1,285 → risk of $1,250 → $1,200
One important warning:
ZEC derivatives activity is very large relative to spot, with billions in futures volume and open interest, meaning leverage can produce sharp moves in either direction.
Recent liquidations have already shown how quickly ZEC can move.
My view: At $1,305, ZEC is at a critical recovery zone. Holding $1,285–$1,300 keeps the rebound setup alive; reclaiming $1,350 would be the first stronger bullish confirmation. $ZEC