$DOGE
Based on technical analysis and market factors, I forecast the probability of scenarios as follows:
1. Bullish scenario (60% probability):
- Prices are showing good upward momentum with:
+ Gradually increasing volume
+ MA lines converging to provide support
+ MACD giving positive signals
- Target zones:
+ T1: $0.40 (70% probability of reaching)
+ T2: $0.41 (50% probability of reaching)
+ T3: $0.42 (30% probability of reaching)
2. Sideways scenario (25% probability):
- Fluctuating within a range:
+ Range: $0.38-0.395
+ Time: Next 12-24 hours
- Reasons:
+ RSI overbought, needs to consolidate
+ Strong resistance zone at $0.40
3. Bearish scenario (15% probability):
- Pivot point declining:
+ Break below $0.38
+ Sudden increase in volume
- Decline levels:
+ S1: $0.375 (60% probability)
+ S2: $0.37 (30% probability)
+ S3: $0.364 (10% probability)
Recommendations:
1. Optimal entry points:
- Buy zone: $0.382-0.385
- Sell zone: $0.395-0.40
2. Risk management:
- Size: 2-3% of total capital
- Stop loss: -3% from entry price
- Take profit: Split into 3 orders at targets
3. Monitor signals:
- Sudden volume spikes
- Break of key support/resistance levels
- Divergence on RSI