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$ZKP {future}(ZKPUSDT) ZKPUSDT – ET / TP / SL (1H) LONG setup • Entry (ET): 0.0920 – 0.0940 • Stop Loss (SL): 0.0860 Take Profit • TP1: 0.1020 • TP2: 0.1160 • TP3: 0.1300 📌 Invalidation: 1H close below 0.092 → avoid longs. 📌 Bias: Bullish as long as price holds above EMA zone. #SignalX $BTC $BNB
$ZKP
ZKPUSDT – ET / TP / SL (1H)

LONG setup
• Entry (ET): 0.0920 – 0.0940
• Stop Loss (SL): 0.0860

Take Profit
• TP1: 0.1020
• TP2: 0.1160
• TP3: 0.1300

📌 Invalidation: 1H close below 0.092 → avoid longs.
📌 Bias: Bullish as long as price holds above EMA zone.
#SignalX $BTC $BNB
**ZEC/USDT Futures Signal Update** 🔴 **SHORT SETUP (Trend-following – Preferred) ✨** Consider a Short Entry (Sell) between 286 – 290. This specific zone aligns with the EMA50 and a key resistance level. Set your Stop Loss (SL) at 302. This point is positioned above the EMA100 and serves as an invalidation level for the setup. Take Profit (TP) targets are structured at: TP1: 270, TP2: 260, and TP3: 250. Aim for TP3 only if strong downward momentum accelerates. The potential Risk/Reward (RR) ranges from ~1:2.5 to 1:4, depending on your chosen TP. 🟢 **LONG SETUP (Counter-trend – High Risk) ⚠️** This Long setup is considered high risk and should only be initiated with strong bullish confirmation. Enter (Buy) between 266 – 268. This range corresponds to a known support level and demand reaction zone. Place your Stop Loss (SL) at 258. Take Profit (TP) levels are set at: TP1: 280, TP2: 292, and TP3: 300. 🧠 **Trade Management Notes** In a clear downtrend environment, short positions generally have a much higher probability of success. If the price becomes stuck or consolidates between 270–285, it's advised to consider this a no-trade zone to avoid chop. Always wait for clear rejection candles and significant volume to confirm your entry, regardless of the directional bias. Trade the trend, not your hope. 🎯 #SignalX
**ZEC/USDT Futures Signal Update**
🔴 **SHORT SETUP (Trend-following – Preferred) ✨**
Consider a Short Entry (Sell) between 286 – 290. This specific zone aligns with the EMA50 and a key resistance level.
Set your Stop Loss (SL) at 302. This point is positioned above the EMA100 and serves as an invalidation level for the setup.
Take Profit (TP) targets are structured at: TP1: 270, TP2: 260, and TP3: 250. Aim for TP3 only if strong downward momentum accelerates. The potential Risk/Reward (RR) ranges from ~1:2.5 to 1:4, depending on your chosen TP.
🟢 **LONG SETUP (Counter-trend – High Risk) ⚠️**
This Long setup is considered high risk and should only be initiated with strong bullish confirmation.
Enter (Buy) between 266 – 268. This range corresponds to a known support level and demand reaction zone.
Place your Stop Loss (SL) at 258. Take Profit (TP) levels are set at: TP1: 280, TP2: 292, and TP3: 300.
🧠 **Trade Management Notes**
In a clear downtrend environment, short positions generally have a much higher probability of success.
If the price becomes stuck or consolidates between 270–285, it's advised to consider this a no-trade zone to avoid chop.
Always wait for clear rejection candles and significant volume to confirm your entry, regardless of the directional bias.
Trade the trend, not your hope. 🎯
#SignalX
$ZEC {future}(ZECUSDT) 🔴 SHORT SETUP (Trend-following – preferred) Entry (Sell): • 286 – 290 (EMA50 + resistance zone) Stop Loss: • 302 (above EMA100 & invalidation level) Take Profit: • TP1: 270 • TP2: 260 • TP3: 250 (only if momentum accelerates) RR: ~1:2.5 to 1:4 depending on TP ⸻ 🟢 LONG SETUP (Counter-trend – high risk) ⚠️ Only consider if strong bullish confirmation appears. Entry (Buy): • 266 – 268 (support + demand reaction) Stop Loss: • 258 Take Profit: • TP1: 280 • TP2: 292 • TP3: 300 🧠 Trade Management Notes • In a clear downtrend, shorts have a much higher probability. • If price is stuck between 270–285, it’s a no-trade zone. • Wait for rejection candles + volume before entering. Trade the trend, not your hope. #SignalX
$ZEC
🔴 SHORT SETUP (Trend-following – preferred)

Entry (Sell):
• 286 – 290 (EMA50 + resistance zone)

Stop Loss:
• 302 (above EMA100 & invalidation level)

Take Profit:
• TP1: 270
• TP2: 260
• TP3: 250 (only if momentum accelerates)

RR: ~1:2.5 to 1:4 depending on TP



🟢 LONG SETUP (Counter-trend – high risk)

⚠️ Only consider if strong bullish confirmation appears.

Entry (Buy):
• 266 – 268 (support + demand reaction)

Stop Loss:
• 258

Take Profit:
• TP1: 280
• TP2: 292
• TP3: 300

🧠 Trade Management Notes
• In a clear downtrend, shorts have a much higher probability.
• If price is stuck between 270–285, it’s a no-trade zone.
• Wait for rejection candles + volume before entering.

Trade the trend, not your hope.
#SignalX
$XPL {future}(XPLUSDT) 📉 Primary Setup: SHORT (trend-following) Entry (ET): • 0.1050 – 0.1080 (EMA50 + resistance zone) Take Profit (TP): • TP1: 0.1000 • TP2: 0.0960 • TP3: 0.0937 (previous low) Stop Loss (SL): • 0.1120 (above EMA100 & structure) 🎯 R:R: ~1:2.5 → 1:3 ➡️ Higher-probability setup while price stays below EMA50/100. ⸻ 📈 Alternative Setup: LONG (counter-trend, risky) Entry (ET): • 0.0940 – 0.0960 (major support + prior low) Take Profit (TP): • TP1: 0.1000 • TP2: 0.1050 (EMA50) Stop Loss (SL): • 0.0915 ⚠️ Counter-trend trade → quick in, quick out only. 🧠 Trade Notes • No confirmation = no FOMO • Best shorts come from EMA50 rejection + weak volume • Wait for reaction, not prediction #Plasma #SignalX $BTC $BNB
$XPL
📉 Primary Setup: SHORT (trend-following)

Entry (ET):
• 0.1050 – 0.1080
(EMA50 + resistance zone)

Take Profit (TP):
• TP1: 0.1000
• TP2: 0.0960
• TP3: 0.0937 (previous low)

Stop Loss (SL):
• 0.1120 (above EMA100 & structure)

🎯 R:R: ~1:2.5 → 1:3
➡️ Higher-probability setup while price stays below EMA50/100.



📈 Alternative Setup: LONG (counter-trend, risky)

Entry (ET):
• 0.0940 – 0.0960
(major support + prior low)

Take Profit (TP):
• TP1: 0.1000
• TP2: 0.1050 (EMA50)

Stop Loss (SL):
• 0.0915

⚠️ Counter-trend trade → quick in, quick out only.

🧠 Trade Notes
• No confirmation = no FOMO
• Best shorts come from EMA50 rejection + weak volume
• Wait for reaction, not prediction
#Plasma #SignalX $BTC $BNB
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$ZKP 📌 Scenarios 🔴 Bearish continuation (higher probability) • Rejection below 0.095 • Breakdown 0.085 → retest 0.075 🟡 Short-term relief bounce • Possible small bounce to 0.095–0.10 • But unless price reclaims EMA50 on 4H, it’s just a pullback ⸻ 🧭 Trading Bias • Trend: Bearish • Best plays: • Short on pullbacks into resistance • Avoid longing until structure flips (higher high + EMA reclaim) #SignalX $BTC $BNB {spot}(BTCUSDT) {spot}(BNBUSDT) {spot}(ZKPUSDT)
$ZKP
📌 Scenarios
🔴 Bearish continuation (higher probability)
• Rejection below 0.095
• Breakdown 0.085 → retest 0.075
🟡 Short-term relief bounce
• Possible small bounce to 0.095–0.10
• But unless price reclaims EMA50 on 4H, it’s just a pullback

🧭 Trading Bias
• Trend: Bearish
• Best plays:
• Short on pullbacks into resistance
• Avoid longing until structure flips (higher high + EMA reclaim)
#SignalX $BTC $BNB
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Bearish
$ZKP {future}(ZKPUSDT) 📌 Scenarios 🔴 Bearish continuation (higher probability) • Rejection below 0.095 • Breakdown 0.085 → retest 0.075 🟡 Short-term relief bounce • Possible small bounce to 0.095–0.10 • But unless price reclaims EMA50 on 4H, it’s just a pullback ⸻ 🧭 Trading Bias • Trend: Bearish • Best plays: • Short on pullbacks into resistance • Avoid longing until structure flips (higher high + EMA reclaim) #SignalX $BTC $BNB
$ZKP
📌 Scenarios

🔴 Bearish continuation (higher probability)
• Rejection below 0.095
• Breakdown 0.085 → retest 0.075

🟡 Short-term relief bounce
• Possible small bounce to 0.095–0.10
• But unless price reclaims EMA50 on 4H, it’s just a pullback



🧭 Trading Bias
• Trend: Bearish
• Best plays:
• Short on pullbacks into resistance
• Avoid longing until structure flips (higher high + EMA reclaim)
#SignalX $BTC $BNB
$ZKP {future}(ZKPUSDT) 🎯 Trade Scenarios 🟢 Aggressive Long (Pullback Play) • Entry: 0.108 – 0.105 • TP1: 0.120 • TP2: 0.131 • TP3: 0.142 • SL: Below 0.095 👉 Best R:R if price cools off and holds above EMA50. ⸻ 🔴 Short (Rejection Setup) • Entry: 0.118 – 0.122 (if clear rejection / bearish candle) • TP1: 0.108 • TP2: 0.095 • SL: Above 0.126 👉 Valid only if momentum weakens + RSI starts rolling over. ⸻ 🧠 Conclusion • This is a strong bounce, but not yet a trend reversal. • Chasing long here = risky ❌ • Best play: wait for pullback confirmation or short a clean rejection at resistance. If you want, I can: • Mark ET / TP / SL directly on the chart • Or break this into a clean English caption for posting 📈 #SignalX #BinanceSquare $BTC $BNB
$ZKP
🎯 Trade Scenarios

🟢 Aggressive Long (Pullback Play)
• Entry: 0.108 – 0.105
• TP1: 0.120
• TP2: 0.131
• TP3: 0.142
• SL: Below 0.095

👉 Best R:R if price cools off and holds above EMA50.



🔴 Short (Rejection Setup)
• Entry: 0.118 – 0.122 (if clear rejection / bearish candle)
• TP1: 0.108
• TP2: 0.095
• SL: Above 0.126

👉 Valid only if momentum weakens + RSI starts rolling over.



🧠 Conclusion
• This is a strong bounce, but not yet a trend reversal.
• Chasing long here = risky ❌
• Best play: wait for pullback confirmation or short a clean rejection at resistance.

If you want, I can:
• Mark ET / TP / SL directly on the chart
• Or break this into a clean English caption for posting 📈
#SignalX #BinanceSquare $BTC $BNB
$XPL {future}(XPLUSDT) 🔴 Primary Setup – Short the Pullback (Preferred) Bias: Trend continuation (downtrend) • Entry (ET): 0.118 – 0.122 • Stop Loss (SL): 0.132 • Take Profit (TP): • TP1: 0.107 • TP2: 0.100 • TP3: 0.095 📌 Rationale: • Price below EMA50/100 • Pullback into resistance zone • Better R:R, trading with trend ⸻ 🟢 Counter-Trend Setup – Oversold Bounce (Scalp Only) Bias: Technical rebound (high risk) • Entry (ET): 0.104 – 0.106 • Stop Loss (SL): 0.098 • Take Profit (TP): • TP1: 0.112 • TP2: 0.118 📌 Rationale: • RSI deeply oversold • Possible short-term bounce • Quick in, quick out – no greed ⸻ ⚠️ Risk Notes • If price breaks and holds above 0.132, bearish structure is invalid → exit shorts • Avoid heavy leverage near support (easy fake bounces) • Best setup = short after pullback, not chasing dumps #Plasma #SignalX $BTC $BNB
$XPL
🔴 Primary Setup – Short the Pullback (Preferred)

Bias: Trend continuation (downtrend)
• Entry (ET): 0.118 – 0.122
• Stop Loss (SL): 0.132
• Take Profit (TP):
• TP1: 0.107
• TP2: 0.100
• TP3: 0.095

📌 Rationale:
• Price below EMA50/100
• Pullback into resistance zone
• Better R:R, trading with trend



🟢 Counter-Trend Setup – Oversold Bounce (Scalp Only)

Bias: Technical rebound (high risk)
• Entry (ET): 0.104 – 0.106
• Stop Loss (SL): 0.098
• Take Profit (TP):
• TP1: 0.112
• TP2: 0.118

📌 Rationale:
• RSI deeply oversold
• Possible short-term bounce
• Quick in, quick out – no greed



⚠️ Risk Notes
• If price breaks and holds above 0.132, bearish structure is invalid → exit shorts
• Avoid heavy leverage near support (easy fake bounces)
• Best setup = short after pullback, not chasing dumps
#Plasma #SignalX $BTC $BNB
$XPL {future}(XPLUSDT) 🔴 Primary Scenario: Short with the Trend Prefer selling on pullbacks rather than catching the falling knife. Short Entry Zone: • 0.120 – 0.123 Stop Loss: • Above EMA50 / recent resistance: 0.129 – 0.131 Take Profit Targets: • TP1: 0.112 • TP2: 0.105 • TP3: 0.098 (if strong breakdown continues) ⸻ 🟡 Alternative Scenario (High Risk): Scalp Long Only consider if there is clear price rejection at support + RSI divergence on lower timeframes. Long Entry: 0.112 – 0.114 Stop Loss: below 0.108 Take Profit: 0.120 – 0.123 ⚠️ Counter-trend trade → small position size, quick exit. ⸻ 🧠 Summary • Trend: Bearish • Best Strategy: Sell the bounce • Long positions at current levels carry high risk #Plasma #SignalX $BTC $BNB
$XPL
🔴 Primary Scenario: Short with the Trend

Prefer selling on pullbacks rather than catching the falling knife.

Short Entry Zone:
• 0.120 – 0.123

Stop Loss:
• Above EMA50 / recent resistance: 0.129 – 0.131

Take Profit Targets:
• TP1: 0.112
• TP2: 0.105
• TP3: 0.098 (if strong breakdown continues)



🟡 Alternative Scenario (High Risk): Scalp Long

Only consider if there is clear price rejection at support + RSI divergence on lower timeframes.

Long Entry: 0.112 – 0.114
Stop Loss: below 0.108
Take Profit: 0.120 – 0.123

⚠️ Counter-trend trade → small position size, quick exit.



🧠 Summary
• Trend: Bearish
• Best Strategy: Sell the bounce
• Long positions at current levels carry high risk
#Plasma #SignalX $BTC $BNB
$1000LUNC {future}(1000LUNCUSDT) Trend-following by-products 📌 Suggested bet: SHORT rebound Entry (ET): 0.0402 – 0.0406 Stoploss (SL): 0.0416 Take Profit: • TP1: 0.0392 • TP2: 0.0382 • TP3: 0.0362 ⸻ 🔎 Quick analysis indicators • EMA50 / EMA100: Price is below both EMA50 & EMA100, EMA is sloping down → the main trend is still bearish • RSI: RSI(6–12–24) around 47–49 → weak neutral, no clear bullish force • MACD: Histogram close to 0, DIF < DEA → weak momentum, recovery is not sustainable • Volume: Volume decreasing during the rebound → technical rebound, no money flow in • Price structure: Sideways under resistance 0.0410–0.0415 → easily pushed down to the old bottom $SOL #SignalX #BinanceSquare {future}(SOLUSDT) $XRP {future}(XRPUSDT)
$1000LUNC
Trend-following by-products

📌 Suggested bet: SHORT rebound

Entry (ET): 0.0402 – 0.0406
Stoploss (SL): 0.0416
Take Profit:
• TP1: 0.0392
• TP2: 0.0382
• TP3: 0.0362



🔎 Quick analysis indicators
• EMA50 / EMA100: Price is below both EMA50 & EMA100, EMA is sloping down → the main trend is still bearish
• RSI: RSI(6–12–24) around 47–49 → weak neutral, no clear bullish force
• MACD: Histogram close to 0, DIF < DEA → weak momentum, recovery is not sustainable
• Volume: Volume decreasing during the rebound → technical rebound, no money flow in
• Price structure: Sideways under resistance 0.0410–0.0415 → easily pushed down to the old bottom
$SOL
#SignalX
#BinanceSquare
$XRP
$ZEC {future}(ZECUSDT) 🟢 LONG KEY (priority) Entry (ET): • 495 – 505 (current price range + EMA50) Stop Loss (SL): • 468 ❌ → Breaching EMA50 + losing accumulation structure Take Profit (TP): • TP1: 550 • TP2: 600 • TP3: 650 📊 RR ~ 1 : 2.5 – 1 : 4 (stable swing trading) 🧠 IMPORTANT NOTE • Do not all-in, split capital into 2–3 orders • Prioritize maintaining SL, ZEC is highly volatile • Only increase position when volume breakout is confirmed #SignalX #BinanceSquare $BTC {future}(BTCUSDT) $ETH {future}(ETHUSDT)
$ZEC
🟢 LONG KEY (priority)

Entry (ET):
• 495 – 505 (current price range + EMA50)

Stop Loss (SL):
• 468 ❌
→ Breaching EMA50 + losing accumulation structure

Take Profit (TP):
• TP1: 550
• TP2: 600
• TP3: 650

📊 RR ~ 1 : 2.5 – 1 : 4 (stable swing trading)

🧠 IMPORTANT NOTE
• Do not all-in, split capital into 2–3 orders
• Prioritize maintaining SL, ZEC is highly volatile
• Only increase position when volume breakout is confirmed
#SignalX
#BinanceSquare
$BTC
$ETH
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Bearish
$PIPPIN {future}(PIPPINUSDT) 🎯 Trading Script 🔴 Priority SHORT (according to trend) • Entry: 0.355 – 0.370 • SL: 0.395 • TP1: 0.310 • TP2: 0.290 • TP3: 0.278 Only short when the price retraces weakly, with clear rejection candles at the resistance area. ⸻ 🟢 LONG bottom-fishing (high risk) • Entry: 0.285 – 0.290 • SL: 0.270 • TP1: 0.330 • TP2: 0.355 Only consider if there is an RSI divergence + volume retracement. ⸻ ⚠️ Quick note • Current volume does not support a strong reversal. • If the 1H candle closes above 0.390 → the bearish scenario is broken, only then consider a real reversal. $BTC {future}(BTCUSDT) $BNB {future}(BNBUSDT) #SignalX #BinanceSquare
$PIPPIN
🎯 Trading Script

🔴 Priority SHORT (according to trend)
• Entry: 0.355 – 0.370
• SL: 0.395
• TP1: 0.310
• TP2: 0.290
• TP3: 0.278

Only short when the price retraces weakly, with clear rejection candles at the resistance area.



🟢 LONG bottom-fishing (high risk)
• Entry: 0.285 – 0.290
• SL: 0.270
• TP1: 0.330
• TP2: 0.355

Only consider if there is an RSI divergence + volume retracement.



⚠️ Quick note
• Current volume does not support a strong reversal.
• If the 1H candle closes above 0.390 → the bearish scenario is broken, only then consider a real reversal.
$BTC
$BNB
#SignalX
#BinanceSquare
$ZEC – ZECUSDT Perp | 517.18 | +16.35% Trade Plan (1H & 4H Analysis) Bias: Bullish continuation, but short-term overbought conditions suggest minor pullbacks before further upside. 🔵 Long Setup (Preferred) Entry Options: Aggressive: 505 – 510 (current consolidation zone) Safer Pullback: 485 – 495 (EMA area / previous breakout level) Take Profit (TP): TP1: 520 TP2: 535 TP3: 555 – 565 (extension zone) Stop Loss (SL): Tight: 488 Safe: 472 (below key support & structure) 📊 Technical Notes: Price is well above EMA 50/100 → trend remains strong RSI > 80 on 1H & 4H → momentum strong but overbought Strategy: Buy on pullbacks, avoid chasing rallies #SignalX #BinanceSquare
$ZEC – ZECUSDT Perp | 517.18 | +16.35%

Trade Plan (1H & 4H Analysis)
Bias: Bullish continuation, but short-term overbought conditions suggest minor pullbacks before further upside.

🔵 Long Setup (Preferred)
Entry Options:

Aggressive: 505 – 510 (current consolidation zone)

Safer Pullback: 485 – 495 (EMA area / previous breakout level)

Take Profit (TP):

TP1: 520

TP2: 535

TP3: 555 – 565 (extension zone)

Stop Loss (SL):

Tight: 488

Safe: 472 (below key support & structure)

📊 Technical Notes:

Price is well above EMA 50/100 → trend remains strong

RSI > 80 on 1H & 4H → momentum strong but overbought

Strategy: Buy on pullbacks, avoid chasing rallies

#SignalX #BinanceSquare
$ZEC {future}(ZECUSDT) ZECUSDT – Multi-frame summary | Prioritize LONG rebound, do not FOMO ⸻ 🔹 Main scenario (priority) Trend: Sideway → slight recovery from the bottom, trend reversal not strongly confirmed Strategy: LONG at support – SHORT when hitting strong resistance ⸻ 📍 Suggested trades ▶️ Safe LONG trade (priority) • Entry (ET): 390 – 395 • Stoploss (SL): 373 • Take Profit: • TP1: 413 • TP2: 436 • TP3: 458 ▶️ Reaction SHORT trade (only quick trades) • Entry: 435 – 450 • SL: 476 • TP: 410 → 395 ⸻ 📊 Quick analysis based on indicators (correct format you requested) • EMA50 & EMA100: • 4H & 1H: price still below EMA100 → large trend not bullish • 15m: price just reclaimed EMA50 → short-term technical rebound • RSI: • 4H ~48 → neutral • 1H ~58 → rebound but not overbought • 15m >70 → possible short adjustment • MACD: • 4H: slight negative, narrowing → selling pressure weakening • 1H & 15m: MACD crossing up → confirms technical rebound • Volume: • Vol not explosive → money flow not returning strongly • Suitable for range trading – not a strong trend ⸻ 🧠 Summary assessment • ZEC is in a rebound zone after the dump, bottom 373 is strong support. • Only LONG when price retests 390–395, do not chase price around 407–415. • Zone 435–460 is strong supply, likely to be released → prioritize closing LONG or monitoring reaction SHORT. #binancesquare #signalx
$ZEC
ZECUSDT – Multi-frame summary | Prioritize LONG rebound, do not FOMO



🔹 Main scenario (priority)

Trend: Sideway → slight recovery from the bottom, trend reversal not strongly confirmed
Strategy: LONG at support – SHORT when hitting strong resistance



📍 Suggested trades

▶️ Safe LONG trade (priority)
• Entry (ET): 390 – 395
• Stoploss (SL): 373
• Take Profit:
• TP1: 413
• TP2: 436
• TP3: 458

▶️ Reaction SHORT trade (only quick trades)
• Entry: 435 – 450
• SL: 476
• TP: 410 → 395



📊 Quick analysis based on indicators (correct format you requested)
• EMA50 & EMA100:
• 4H & 1H: price still below EMA100 → large trend not bullish
• 15m: price just reclaimed EMA50 → short-term technical rebound
• RSI:
• 4H ~48 → neutral
• 1H ~58 → rebound but not overbought
• 15m >70 → possible short adjustment
• MACD:
• 4H: slight negative, narrowing → selling pressure weakening
• 1H & 15m: MACD crossing up → confirms technical rebound
• Volume:
• Vol not explosive → money flow not returning strongly
• Suitable for range trading – not a strong trend



🧠 Summary assessment
• ZEC is in a rebound zone after the dump, bottom 373 is strong support.
• Only LONG when price retests 390–395, do not chase price around 407–415.
• Zone 435–460 is strong supply, likely to be released → prioritize closing LONG or monitoring reaction SHORT.
#binancesquare
#signalx
$LUNA2 {future}(LUNA2USDT) The H1 candle has lower highs but whenever it touches the trendline, it retracts - Why?! Difficult to explain But the short point is nice Entry: 0.181 - 0.1808 Tp 1: 0.175 - 0.172 Tp 2: 0.168 - 0.163 Tp 3: 0.157 - 0.152 (support zone) Stl: 0.21 This trade is expected to hold for 3 days Good luck to everyone $ZEC $PIPPIN #BinanceSquare #SignalX
$LUNA2
The H1 candle has lower highs but whenever it touches the trendline, it retracts - Why?! Difficult to explain
But the short point is nice
Entry: 0.181 - 0.1808
Tp 1: 0.175 - 0.172
Tp 2: 0.168 - 0.163
Tp 3: 0.157 - 0.152 (support zone)
Stl: 0.21
This trade is expected to hold for 3 days
Good luck to everyone
$ZEC $PIPPIN
#BinanceSquare
#SignalX
🚨 XRPUSDT — 4H TIMEFRAME | Primary Bias: Sell the Rally (SHORT) ⚡ Price is hovering around 1.995, trading below EMA50 (~2.03) and EMA100 (~2.07) → bearish structure remains intact. The bounce from 1.946 looks like a technical pullback, not a trend reversal. 📌 Quick Thesis • Trend: Lower highs & lower lows — structure not broken • MACD: Below zero → weak recovery momentum • RSI ~42–43: Not oversold → downside room remains • Key resistance: 2.02 – 2.05 (EMA cluster + supply zone) 🎯 Trade Setup (SHORT) • Entry: 2.010 – 2.040 • TP1: 1.970 • TP2: 1.946 • TP3: 1.920 • Stop Loss: 2.085 (4H close above this level invalidates the setup) 🔄 Alternative Scenario • If a 4H candle closes above 2.085 with rising volume → short fails. Step aside and wait for a clean retest. 🔥 This is a trend-following trade. Sell the pullbacks — no FOMO in the middle of the range. #BinanceSquare #SignalX $XRP {spot}(XRPUSDT) #TrumpTariffs
🚨 XRPUSDT — 4H TIMEFRAME | Primary Bias: Sell the Rally (SHORT) ⚡
Price is hovering around 1.995, trading below EMA50 (~2.03) and EMA100 (~2.07) → bearish structure remains intact.
The bounce from 1.946 looks like a technical pullback, not a trend reversal.

📌 Quick Thesis

• Trend: Lower highs & lower lows — structure not broken
• MACD: Below zero → weak recovery momentum
• RSI ~42–43: Not oversold → downside room remains
• Key resistance: 2.02 – 2.05 (EMA cluster + supply zone)

🎯 Trade Setup (SHORT)

• Entry: 2.010 – 2.040
• TP1: 1.970
• TP2: 1.946
• TP3: 1.920
• Stop Loss: 2.085
(4H close above this level invalidates the setup)

🔄 Alternative Scenario

• If a 4H candle closes above 2.085 with rising volume → short fails.
Step aside and wait for a clean retest.
🔥 This is a trend-following trade.
Sell the pullbacks — no FOMO in the middle of the range.
#BinanceSquare
#SignalX
$XRP
#TrumpTariffs
⚔️ 🔥 SOLANA vs SUI: THE NEXT KILLER CHAIN — OR JUST ANOTHER HYPE WAR ⁉️Let’s stop pretending both can win. In this cycle, capital doesn’t care about “potential” — it follows dominance. And that’s exactly why the fight between Solana and Sui is getting toxic. ⸻ 🚀 SOLANA: THE BATTLE-TESTED MONSTER $SOLUSDT Perp 122.37 +0.93% Solana isn’t theoretical anymore — it’s already proven. • Massive real usage: DeFi, NFTs, memecoins, payments, bots — all live. • One of the highest daily transaction counts in crypto. • Strong liquidity + developer gravity = network effect moat. But here’s the uncomfortable truth 👇 Solana is no longer “early”. Upside exists, sure — but multiples are capped. Solana holders are betting on scale, not explosion. Translation: SOL is where smart money parks size — not where gamblers hunt 20x. ⸻ 🧬 SUI: THE NEW DARLING OR JUST VC EXIT LIQUIDITY? SUIUSDT Perp 1.4137 +0.64% Sui comes in hot with: • Ultra-fast architecture • Move language hype • Backing from big-name VCs Sounds familiar? Yeah — every cycle has one of these. Sui’s narrative is simple: “We’re better tech, so price must follow.” But markets don’t reward tech — they reward adoption. Right now: • Ecosystem is still thin • Users are mostly farmers • Liquidity is fragile Translation: SUI is a promise. SOL is a business. ⸻ 🔥 THE REAL WAR (NO FILTER) Solana maxis say: “SUI is just another VC chain. Unlocks will kill it.” Sui believers say: “Solana is old tech. Congested. One outage away from irrelevance.” Both can’t be right. Here’s the hard question no one wants to answer: • Is Solana already the Ethereum of high-speed chains? • Or is Sui the next Solana — before Solana existed? ⸻ 🧨 CAPITAL DOESN’T LIE • When market turns risk-off → money hides in Solana • When market turns risk-on → speculation flirts with Sui That tells you everything. ⸻ 💥 Are you holding SOL because it’s strong — or holding SUI because you’re hoping it becomes strong? 👇 Pick a side in the comments: • “SOL = REAL ADOPTION” • “SUI = NEXT CYCLE KING” Let’s see which army is louder. $BTC ⚔🔥 SOLANA vs SUI: THE NEXT KILLER CHAIN — OR JUST ANOTHER HYPE BATTLE? ⁉️ Let’s be honest: both don’t win. This cycle, capital doesn’t chase potential. It follows dominance. And that’s why the Solana vs Sui debate is getting ugly. 🚀 SOLANA: THE BATTLE-TESTED GIANT Solana isn’t a theory — it’s already live and proven. • Real usage across DeFi, NFTs, memecoins, payments, bots • Among the highest daily transaction counts in crypto • Deep liquidity + massive dev adoption = a serious network moat But here’s the part no one likes to say 👇 Solana is no longer early. Yes, there’s upside — but the explosive multiples are gone. SOL holders aren’t betting on miracles. They’re betting on scale. Translation: #SOL is where smart money deploys size — not where degens hunt 20x. 🧬$SUI: NEXT-GEN STAR — OR VC EXIT LIQUIDITY? #SUI arrives with all the buzz: • Lightning-fast architecture • Move language hype • Heavy VC backing Sound familiar? Every cycle has one of these. The Sui pitch is simple: “Better tech = inevitable price appreciation.” But markets don’t reward tech. They reward adoption. Right now: • Ecosystem is shallow • Users are mostly yield farmers • Liquidity is fragile Translation: $SUI is a promise. $SOL is a business. 🔥 THE REAL BATTLE (NO COPIUM) Solana maxis say: “SUI is just another VC chain. Unlocks will crush it.” Sui believers say: “Solana is outdated, congested, and one outage from irrelevance.” Both can’t be right. The question everyone avoids: • Is Solana already the Ethereum of high-speed chains? • Or is Sui the next Solana — before Solana had traction? 🧨 CAPITAL TELLS THE TRUTH • When markets turn risk-off → money hides in Solana • When markets turn risk-on → speculation chases Sui That tells you everything you need to know. 💥 SO BE HONEST WITH YOURSELF Are you holding SOL because it’s strong — or holding SUI because you hope it becomes strong? 👇 Pick a side: • “SOL = REAL ADOPTION” • “SUI = NEXT CYCLE KING” Let’s see which army is louder. $BTC #SignalX #BinanceSquare

⚔️ 🔥 SOLANA vs SUI: THE NEXT KILLER CHAIN — OR JUST ANOTHER HYPE WAR ⁉️

Let’s stop pretending both can win.
In this cycle, capital doesn’t care about “potential” — it follows dominance.
And that’s exactly why the fight between Solana and Sui is getting toxic.

🚀 SOLANA: THE BATTLE-TESTED MONSTER
$SOLUSDT
Perp
122.37
+0.93%
Solana isn’t theoretical anymore — it’s already proven.
• Massive real usage: DeFi, NFTs, memecoins, payments, bots — all live.
• One of the highest daily transaction counts in crypto.
• Strong liquidity + developer gravity = network effect moat.
But here’s the uncomfortable truth 👇
Solana is no longer “early”.
Upside exists, sure — but multiples are capped. Solana holders are betting on scale, not explosion.
Translation:
SOL is where smart money parks size — not where gamblers hunt 20x.

🧬 SUI: THE NEW DARLING OR JUST VC EXIT LIQUIDITY?
SUIUSDT
Perp
1.4137
+0.64%
Sui comes in hot with:
• Ultra-fast architecture
• Move language hype
• Backing from big-name VCs
Sounds familiar? Yeah — every cycle has one of these.
Sui’s narrative is simple: “We’re better tech, so price must follow.”
But markets don’t reward tech — they reward adoption.
Right now:
• Ecosystem is still thin
• Users are mostly farmers
• Liquidity is fragile
Translation:
SUI is a promise. SOL is a business.

🔥 THE REAL WAR (NO FILTER)
Solana maxis say:
“SUI is just another VC chain. Unlocks will kill it.”
Sui believers say:
“Solana is old tech. Congested. One outage away from irrelevance.”
Both can’t be right.
Here’s the hard question no one wants to answer:
• Is Solana already the Ethereum of high-speed chains?
• Or is Sui the next Solana — before Solana existed?

🧨 CAPITAL DOESN’T LIE
• When market turns risk-off → money hides in Solana
• When market turns risk-on → speculation flirts with Sui
That tells you everything.

💥 Are you holding SOL because it’s strong —
or holding SUI because you’re hoping it becomes strong?
👇 Pick a side in the comments:
• “SOL = REAL ADOPTION”
• “SUI = NEXT CYCLE KING”
Let’s see which army is louder.

$BTC ⚔🔥 SOLANA vs SUI: THE NEXT KILLER CHAIN — OR JUST ANOTHER HYPE BATTLE? ⁉️
Let’s be honest: both don’t win.
This cycle, capital doesn’t chase potential.
It follows dominance.
And that’s why the Solana vs Sui debate is getting ugly.
🚀 SOLANA: THE BATTLE-TESTED GIANT
Solana isn’t a theory — it’s already live and proven.
• Real usage across DeFi, NFTs, memecoins, payments, bots
• Among the highest daily transaction counts in crypto
• Deep liquidity + massive dev adoption = a serious network moat
But here’s the part no one likes to say 👇
Solana is no longer early.
Yes, there’s upside — but the explosive multiples are gone.
SOL holders aren’t betting on miracles. They’re betting on scale.
Translation:
#SOL is where smart money deploys size — not where degens hunt 20x.
🧬$SUI: NEXT-GEN STAR — OR VC EXIT LIQUIDITY?
#SUI arrives with all the buzz:
• Lightning-fast architecture
• Move language hype
• Heavy VC backing
Sound familiar? Every cycle has one of these.
The Sui pitch is simple:
“Better tech = inevitable price appreciation.”
But markets don’t reward tech.
They reward adoption.
Right now:
• Ecosystem is shallow
• Users are mostly yield farmers
• Liquidity is fragile
Translation:
$SUI is a promise.
$SOL is a business.
🔥 THE REAL BATTLE (NO COPIUM)
Solana maxis say:
“SUI is just another VC chain. Unlocks will crush it.”
Sui believers say:
“Solana is outdated, congested, and one outage from irrelevance.”
Both can’t be right.
The question everyone avoids:
• Is Solana already the Ethereum of high-speed chains?
• Or is Sui the next Solana — before Solana had traction?
🧨 CAPITAL TELLS THE TRUTH
• When markets turn risk-off → money hides in Solana
• When markets turn risk-on → speculation chases Sui
That tells you everything you need to know.
💥 SO BE HONEST WITH YOURSELF
Are you holding SOL because it’s strong —
or holding SUI because you hope it becomes strong?
👇 Pick a side:
• “SOL = REAL ADOPTION”
• “SUI = NEXT CYCLE KING”
Let’s see which army is louder.
$BTC #SignalX #BinanceSquare
$ZKP {future}(ZKPUSDT) ZKPUSDT – Short-term bet (prefer LONG pullback, 1H/4H) Entry (ET): 0.172 – 0.185 TP1: 0.197 TP2: 0.210 TP3: 0.230 (if strong breakout) SL: 0.165 Quick analysis – correct form: • EMA50 / EMA100: Price has broken strongly above EMA, EMA is starting to slope up → short-term trend is bullish, prefer long pullback to EMA. • RSI: RSI ~63–66 → high but not overbought, buying pressure still maintains, no negative divergence yet. • MACD: MACD positive, histogram expanding → upward momentum is still present, no reversal signal yet. • Volume: Volume spiked during the pump +60%, currently decreasing → the standard scenario is accumulation before continuing, not distribution breaking the trend. Conclusion: ZKP just pumped strongly, currently sideways at the old peak, the best bet is a long pullback, do not chase when the candle is green. Losing 0.165 means the bet is wrong, cut without regret. $XRP {future}(XRPUSDT) $BNB {future}(BNBUSDT) #signalx #BinanceSquare
$ZKP
ZKPUSDT – Short-term bet (prefer LONG pullback, 1H/4H)

Entry (ET): 0.172 – 0.185
TP1: 0.197
TP2: 0.210
TP3: 0.230 (if strong breakout)
SL: 0.165

Quick analysis – correct form:
• EMA50 / EMA100: Price has broken strongly above EMA, EMA is starting to slope up → short-term trend is bullish, prefer long pullback to EMA.
• RSI: RSI ~63–66 → high but not overbought, buying pressure still maintains, no negative divergence yet.
• MACD: MACD positive, histogram expanding → upward momentum is still present, no reversal signal yet.
• Volume: Volume spiked during the pump +60%, currently decreasing → the standard scenario is accumulation before continuing, not distribution breaking the trend.

Conclusion:
ZKP just pumped strongly, currently sideways at the old peak, the best bet is a long pullback, do not chase when the candle is green. Losing 0.165 means the bet is wrong, cut without regret.
$XRP
$BNB
#signalx
#BinanceSquare
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