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Gk_Aronno
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šLONG: $AVAX (1H) #AVAXUSDT | #AVAX | #Avalanche Current Price $25.01 Market Cap $10.47B Change 1h -0.04% | 24h -3.17% Analysis: AVAX is in a corrective phase within an ongoing uptrend, navigating toward a critical support/resistance zone around 24.60. Keep an eye on market reactions and trend strength as they approach this level to gauge potential directions. Price Targets: If AVAX holds above 24.60, the next target could be 26.50 and potentially reaching 27.00. However, if it falls below, look for support near 23.50. Stay tuned for any breakout cues! Avalanche's community ā Buy and Trade here on $AVAX
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$KAVA is a decentralized finance (DeFi) platform built on the Cosmos blockchain, designed to offer a wide range of financial services, including lending, borrowing, and staking. Known for its interoperable network architecture, Kava enables users to access various DeFi services in a highly secure, scalable, and user-friendly environment. In 2W TF, KAVA broke its long-term trendline and is retesting it. Consolidation would take some more weeks before a real take off. Disclaimer: This analysis is based on my personnal views and is not a financial advice. Risk is under your control. ā Buy and Trade here on $KAVA
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š $PARTI / USDT Short-Term Short Strategy š»šā ļø š Market Overview š Current Price: $0.3468 š Intraday Range: $0.3487 ā $0.3914 ā³ Trend: Bearish momentum observed (15m/30m candles) š§± Key Resistance: $0.3914 (recent high), $0.4000 (next key resistance) šŖØ Key Support: $0.3487 (recent low), $0.3400 (strong demand zone) ā” Summary: PARTI is exhibiting bearish momentum within the 15ā30 minute timeframe, indicating potential for short-term declines. --- š» Entry Now or Pullback Entry ššŖ ā Zone 1: $0.3600 ā $0.3700 ā (near local resistance + 30m EMA) --- šÆ Profit Targets šÆšø TP1: $0.3450 (minor support) TP2: $0.3350 (strong support zone) TP3: $0.3250 (stretch target under major demand) --- š Stop-Loss š§ÆšŖ Pullback SL: above $0.3750 --- š Risk Management Tips šļø Risk only 1ā2% of capital per trade ā³ Maintain minimum 2:1 reward-to-risk ratio ā« Move SL to breakeven once TP1 is hit ā Avoid overtrading ā stick to clean, high-conviction setups --- ā ļø DYOR š§ ⢠Always verify price levels with personal technical analysis ⢠This is not financial advice ā Sell and Trade here on $PARTI
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š $PERP / USDT Short-Term Short Strategy š»šā ļø š Market Overview š Current Price: $0.3377 š Intraday Range: $0.3390 ā $0.3680 ā³ Trend: Bearish momentum observed (15m/30m candles) š§± Key Resistance: $0.3680 (recent high), $0.3800 (next key resistance) šŖØ Key Support: $0.3300 (recent low), $0.3200 (strong demand zone) ā” Summary: PERP is exhibiting bearish momentum within the 15ā30 minute timeframe, indicating potential for short-term declines. --- š» Entry Now or Pullback Entry ššŖ ā Zone 1: $0.3450 ā $0.3550 ā (near local resistance + 30m EMA) --- šÆ Profit Targets šÆšø TP1: $0.3350 (minor support) TP2: $0.3250 (strong support zone) TP3: $0.3150 (stretch target under major demand) --- š Stop-Loss š§ÆšŖ Pullback SL: above $0.3600 --- š Risk Management Tips šļø Risk only 1ā2% of capital per trade ā³ Maintain minimum 2:1 reward-to-risk ratio ā« Move SL to breakeven once TP1 is hit ā Avoid overtrading ā stick to clean, high-conviction setups --- ā ļø DYOR š§ ⢠Always verify price levels with personal technical analysis ⢠This is not financial advice ā Sell and Trade here on $PERP
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š $SYN / USDT Short-Term Short Strategy š»šā ļø š Market Overview š Current Price: $0.2741 š Intraday Range: $0.2734 ā $0.3193 ā³ Trend: Bearish momentum observed (15m/30m candles) š§± Key Resistance: $0.3193 (recent high), $0.3300 (next key resistance) šŖØ Key Support: $0.2734 (recent low), $0.2600 (strong demand zone) ā” Summary: SYN is exhibiting bearish momentum within the 15ā30 minute timeframe, indicating potential for short-term declines. --- š» Entry Now or Pullback Entry ššŖ ā Zone 1: $0.2850 ā $0.2950 ā (near local resistance + 30m EMA) --- šÆ Profit Targets šÆšø TP1: $0.2700 (minor support) TP2: $0.2600 (strong support zone) TP3: $0.2500 (stretch target under major demand) --- š Stop-Loss š§ÆšŖ Pullback SL: above $0.3000 --- š Risk Management Tips šļø Risk only 1ā2% of capital per trade ā³ Maintain minimum 2:1 reward-to-risk ratio ā« Move SL to breakeven once TP1 is hit ā Avoid overtrading ā stick to clean, high-conviction setups --- ā ļø DYOR š§ ⢠Always verify price levels with personal technical analysis ⢠This is not financial advice ā Sell and Trade here on $SYN
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