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Nick on the Bull Run

Markets are a game of probabilities, not predictions. My edge is not intelligence, but discipline and patience. Focusing on surviving bad periods.
BTC Holder
BTC Holder
High-Frequency Trader
6.1 Years
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16.9K+ Followers
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Bullish
PINNED
📊 $BTC – Key Level: $66K Hold Zone BTC is sitting right on $66K, a major support + recent low reclaim zone (65.5K bounce). This is a decision level for short-term direction. 🟢 Long Plan 📍 Entry Zones • 65.8K – 66.3K 🛑 Stop Loss • < 65K 🎯 Targets • TP1: 67.3K • TP2: 69K • TP3: 71K 🔥 Summary • Hold 66K → short-term bounce long • Lose 66K → continue dump
📊 $BTC – Key Level: $66K Hold Zone

BTC is sitting right on $66K, a major support + recent low reclaim zone (65.5K bounce). This is a decision level for short-term direction.

🟢 Long Plan
📍 Entry Zones
• 65.8K – 66.3K
🛑 Stop Loss
• < 65K
🎯 Targets
• TP1: 67.3K
• TP2: 69K
• TP3: 71K

🔥 Summary
• Hold 66K → short-term bounce long
• Lose 66K → continue dump
📊 $ETH – Key Level: $2,000 Hold Zone ⚠️ Current Bias: Bearish → Testing Major Support Price is sitting right at $2,000, a psychological + structural level. This is a decision zone for the next move. 🟢 Long Plan 📍 Entry Zones • 1,980 – 2,010 • Wait for rejection wicks / bullish candle confirmation 🛑 Stop Loss • < 1,950 🎯 Targets • TP1: 2,050 • TP2: 2,100 • TP3: 2,170 ⚡ Quick Advice ✔ $2K = key battlefield ✔ Don’t blindly long → wait reaction ✔ Safer trade = reclaim 2,050 $ETH {future}(ETHUSDT)
📊 $ETH – Key Level: $2,000 Hold Zone

⚠️ Current Bias: Bearish → Testing Major Support

Price is sitting right at $2,000, a psychological + structural level. This is a decision zone for the next move.

🟢 Long Plan
📍 Entry Zones
• 1,980 – 2,010
• Wait for rejection wicks / bullish candle confirmation
🛑 Stop Loss
• < 1,950
🎯 Targets
• TP1: 2,050
• TP2: 2,100
• TP3: 2,170

⚡ Quick Advice
✔ $2K = key battlefield
✔ Don’t blindly long → wait reaction
✔ Safer trade = reclaim 2,050
$ETH
📊 $SOL – Key Level: $80 Hold Zone 🟢 Long Plan (ONLY if $80 holds) 📍 Entry Zones • 80 – 81.5 (support hold confirmation) 🛑 Stop Loss • < 78.5 🎯 Targets • TP1: 85 • TP2: 89 • TP3: 92+ 🔴 Breakdown Scenario If $80 fails hard: • Expect drop to 77 → 75 zone • Market remains bearish → avoid early longs {future}(SOLUSDT)
📊 $SOL – Key Level: $80 Hold Zone

🟢 Long Plan (ONLY if $80 holds)
📍 Entry Zones
• 80 – 81.5 (support hold confirmation)

🛑 Stop Loss
• < 78.5
🎯 Targets
• TP1: 85
• TP2: 89
• TP3: 92+

🔴 Breakdown Scenario
If $80 fails hard:
• Expect drop to 77 → 75 zone
• Market remains bearish → avoid early longs
🚀 $TAO Bullish Trend AI The overall trend for TAO remains strongly bullish, driven by a powerful impulsive move followed by a healthy consolidation. Price is holding above key higher-timeframe support, indicating that this is likely a continuation phase rather than a reversal. 🧠 Long Plan 🟢 Primary Setup – Buy the Dip (High Probability) • 📍 Entry: 305 – 312 • 🛑 Stop Loss: < 295 • 🎯 Targets: • TP1: 330 • TP2: 350 • TP3: 370+ ⚠️ Risk Note • If price breaks below 295, bullish structure weakens → Possible drop to 280 / EMA99 zone $TAO {future}(TAOUSDT)
🚀 $TAO Bullish Trend AI

The overall trend for TAO remains strongly bullish, driven by a powerful impulsive move followed by a healthy consolidation. Price is holding above key higher-timeframe support, indicating that this is likely a continuation phase rather than a reversal.

🧠 Long Plan
🟢 Primary Setup – Buy the Dip (High Probability)
• 📍 Entry: 305 – 312
• 🛑 Stop Loss: < 295
• 🎯 Targets:
• TP1: 330
• TP2: 350
• TP3: 370+

⚠️ Risk Note
• If price breaks below 295, bullish structure weakens
→ Possible drop to 280 / EMA99 zone
$TAO
📊 $AVAX Long Plan (Relief Bounce 🟢) 🟢 Long Setup (Counter-Trend Bounce) 📍 Entry Zones: • 🟢 8.60 – 8.75 (current support) 🛑 Stop Loss: • ❌ 7.95 (structure breakdown) 🎯 Targets: • 🎯 TP1: 9.00 • 🎯 TP2: 9.40 (EMA25 zone) • 🎯 TP3: 9.80 (key resistance / previous bounce high) ⚠️ Risk Notes: • This is counter-trend long → take profits fast • If 8.5 breaks hard → ❌ cancel long • No chasing above 9.2 → poor R:R {future}(AVAXUSDT)
📊 $AVAX Long Plan (Relief Bounce 🟢)

🟢 Long Setup (Counter-Trend Bounce)
📍 Entry Zones:
• 🟢 8.60 – 8.75 (current support)
🛑 Stop Loss:
• ❌ 7.95 (structure breakdown)

🎯 Targets:
• 🎯 TP1: 9.00
• 🎯 TP2: 9.40 (EMA25 zone)
• 🎯 TP3: 9.80 (key resistance / previous bounce high)

⚠️ Risk Notes:
• This is counter-trend long → take profits fast
• If 8.5 breaks hard → ❌ cancel long
• No chasing above 9.2 → poor R:R
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Bearish
📊 $PLAY – Short Plan (Blow-off Top 🔻) ⚠️ Context: • +55% impulsive pump → parabolic move • Rejection from 0.0645 high • RSI ~70–80 → heavily overbought • Huge volume spike → likely distribution • Price far above EMA → strong mean reversion setup 🔴 Short Setup (High Probability) • 🔴 0.0580 – 0.0600 (current resistance / failed breakout) 🛑 Stop Loss: • ❌ 0.0655 (above recent high) 🎯 Targets: • 🎯 TP1: 0.0500 • 🎯 TP2: 0.0435 ⚠️ Risk Notes: • If price reclaims 0.062+ strongly → ❌ short invalid {future}(PLAYUSDT)
📊 $PLAY – Short Plan (Blow-off Top 🔻)

⚠️ Context:
• +55% impulsive pump → parabolic move
• Rejection from 0.0645 high
• RSI ~70–80 → heavily overbought
• Huge volume spike → likely distribution
• Price far above EMA → strong mean reversion setup

🔴 Short Setup (High Probability)
• 🔴 0.0580 – 0.0600 (current resistance / failed breakout)
🛑 Stop Loss:
• ❌ 0.0655 (above recent high)

🎯 Targets:
• 🎯 TP1: 0.0500
• 🎯 TP2: 0.0435

⚠️ Risk Notes:
• If price reclaims 0.062+ strongly → ❌ short invalid
🔥 $4 – Short Setup (4H) 🔴 Short Plan • 0.0152 – 0.0158 🎯 Targets • TP1: 0.0142 • TP2: 0.0130 (EMA25 area) • TP3: 0.0120 ❌ Stop Loss • Above 0.0162 (new high = invalid) {future}(4USDT)
🔥 $4 – Short Setup (4H)

🔴 Short Plan
• 0.0152 – 0.0158

🎯 Targets
• TP1: 0.0142
• TP2: 0.0130 (EMA25 area)
• TP3: 0.0120
❌ Stop Loss
• Above 0.0162 (new high = invalid)
🔥 $NIGHT – Buy Buy Buy🚀🚀🚀 🟢 Long Setup • Zone: 0.048 – 0.049 (EMA25 retest) 🎯 Targets • TP1: 0.053 • TP2: 0.058 • TP3: 0.062 ❌ Stop Loss • Below 0.047 (lose EMA support) ⚠️ Notes • Still early reversal → avoid overleverage • Volume spike supports move, but need follow-through • If price loses EMA25 → setup weakens {future}(NIGHTUSDT)
🔥 $NIGHT – Buy Buy Buy🚀🚀🚀
🟢 Long Setup
• Zone: 0.048 – 0.049 (EMA25 retest)
🎯 Targets
• TP1: 0.053
• TP2: 0.058
• TP3: 0.062

❌ Stop Loss
• Below 0.047 (lose EMA support)

⚠️ Notes
• Still early reversal → avoid overleverage
• Volume spike supports move, but need follow-through
• If price loses EMA25 → setup weakens
🔥 $STO – Short Setup 🔴 Short Plan • Zone: 0.148 – 0.153 (current resistance / top area) 🎯 Targets • TP1: 0.137 • TP2: 0.117 • TP3: 0.095 ❌ Stop Loss • Above 0.158 (new high = invalid short) {future}(STOUSDT)
🔥 $STO – Short Setup
🔴 Short Plan
• Zone: 0.148 – 0.153 (current resistance / top area)
🎯 Targets
• TP1: 0.137
• TP2: 0.117
• TP3: 0.095

❌ Stop Loss
• Above 0.158 (new high = invalid short)
🔥 $ARIA – Wait Buy Dip Plan 📈 Context: • Strong uptrend (higher highs & higher lows) • Currently pulling back after rejection at 0.40 🟢 Buy Dip Zones • 0.31 – 0.32 (EMA25 support) 🎯 Targets • TP1: 0.36 • TP2: 0.40 • TP3: 0.43+ (breakout continuation) ❌ Stop Loss • Below 0.28 (trend weakening) 👉 If lose 0.31 → wait deeper dip {future}(ARIAUSDT)
🔥 $ARIA – Wait Buy Dip Plan

📈 Context:
• Strong uptrend (higher highs & higher lows)
• Currently pulling back after rejection at 0.40

🟢 Buy Dip Zones
• 0.31 – 0.32 (EMA25 support)
🎯 Targets
• TP1: 0.36
• TP2: 0.40
• TP3: 0.43+ (breakout continuation)

❌ Stop Loss
• Below 0.28 (trend weakening)

👉 If lose 0.31 → wait deeper dip
🚀 $AVAX – Long Plan (4H) 🟢 Long Setup • Zone: 8.60 – 8.70 🎯 Targets • TP1: 9.00 • TP2: 9.30 • TP3: 9.60 (strong resistance) ❌ Stop Loss • Below 8.55 (invalidates structure) {future}(AVAXUSDT)
🚀 $AVAX – Long Plan (4H)

🟢 Long Setup
• Zone: 8.60 – 8.70
🎯 Targets
• TP1: 9.00
• TP2: 9.30
• TP3: 9.60 (strong resistance)

❌ Stop Loss
• Below 8.55 (invalidates structure)
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📊 $SIREN – 4H Long Plan (Reversal → Expansion 🚀) 🟢 Long Setup (Trend Continuation) 📍 Entry Zones: 1.45-1.54 Buy Dip (Best) 🛑 Stop Loss: • ❌ 1.38 (below structure + EMA break) 🎯 Targets: • 🎯 TP1: 1.90 • 🎯 TP2: 2.30 🔍 Key Logic: • Strong rebound from 0.71 → trend reversal confirmed • Sideways consolidation near 1.5 → accumulation before move • EMA alignment supports continuation • Your arrow scenario fits: base → breakout → expansion leg ⚠️ Risk Notes: • Lose 1.45 → ❌ structure weakens • Fake breakout above 1.7 possible → wait confirmation {future}(SIRENUSDT)
📊 $SIREN – 4H Long Plan (Reversal → Expansion 🚀)
🟢 Long Setup (Trend Continuation)
📍 Entry Zones: 1.45-1.54 Buy Dip (Best)

🛑 Stop Loss:
• ❌ 1.38 (below structure + EMA break)
🎯 Targets:
• 🎯 TP1: 1.90
• 🎯 TP2: 2.30

🔍 Key Logic:
• Strong rebound from 0.71 → trend reversal confirmed
• Sideways consolidation near 1.5 → accumulation before move
• EMA alignment supports continuation
• Your arrow scenario fits: base → breakout → expansion leg

⚠️ Risk Notes:
• Lose 1.45 → ❌ structure weakens
• Fake breakout above 1.7 possible → wait confirmation
📊 $RIVER – 4H Short Plan (Wait Bounce 🔻) ⚠️ Context: • Strong downtrend (clear lower highs & lower lows) 🔴 Short Setup (Bounce → Sell) • 🔴 15.3 – 16.0 🎯 Targets: • 🎯 TP1: 13.2 • 🎯 TP2: 12.1 (recent low) • 🎯 TP3: 11.0 ⚠️ Risk Notes: • If price breaks & holds above 16.5 → ❌ bearish invalid • No bounce = no trade → don’t short support • Watch fake breakout before drop
📊 $RIVER – 4H Short Plan (Wait Bounce 🔻)
⚠️ Context:
• Strong downtrend (clear lower highs & lower lows)

🔴 Short Setup (Bounce → Sell)
• 🔴 15.3 – 16.0
🎯 Targets:
• 🎯 TP1: 13.2
• 🎯 TP2: 12.1 (recent low)
• 🎯 TP3: 11.0

⚠️ Risk Notes:
• If price breaks & holds above 16.5 → ❌ bearish invalid
• No bounce = no trade → don’t short support
• Watch fake breakout before drop
RIVERUSDT
Opening Short
Unrealized PNL
+4280.00%
📊 $NOM Short Plan (Post-Pump Correction 🔻) 🔴 Short Setup (High Probability Pullback) • 🔴 0.00290 – 0.00305 🛑 Stop Loss: • ❌ 0.00335 (above recent high) 🎯 Targets: • 🎯 TP1: 0.00230 • 🎯 TP2: 0.00200 • 🎯 TP3: 0.00170 ⚠️ Risk Notes: • If price reclaims 0.00310 strongly → ❌ short invalid • Low cap / high volatility → expect fake moves • Don’t short bottom → wait bounce or confirmation {future}(NOMUSDT)
📊 $NOM Short Plan (Post-Pump Correction 🔻)

🔴 Short Setup (High Probability Pullback)
• 🔴 0.00290 – 0.00305
🛑 Stop Loss:
• ❌ 0.00335 (above recent high)

🎯 Targets:
• 🎯 TP1: 0.00230
• 🎯 TP2: 0.00200
• 🎯 TP3: 0.00170

⚠️ Risk Notes:
• If price reclaims 0.00310 strongly → ❌ short invalid
• Low cap / high volatility → expect fake moves
• Don’t short bottom → wait bounce or confirmation
📊 $HYPE – Long Plan (Trend Continuation 🚀) ⚠️ Context: • Price ~39.7 holding above key support 38.3 – 38.8 • Structure: higher low → higher high forming 🟢 Long Setup • 🟢 38.5 – 39.0 🛑 Stop Loss: • ❌ 37.8 (below structure + EMA99) 🎯 Targets: • 🎯 TP1: 41.5 • 🎯 TP2: 42.5 • 🎯 TP3: 43.7 (previous high) 🔍 Key Logic: • Market already shifted to bullish trend • Strong base around 36.7 → accumulation done • Compression under 40 → likely breakout soon {future}(HYPEUSDT)
📊 $HYPE – Long Plan (Trend Continuation 🚀)

⚠️ Context:
• Price ~39.7 holding above key support 38.3 – 38.8
• Structure: higher low → higher high forming

🟢 Long Setup
• 🟢 38.5 – 39.0
🛑 Stop Loss:
• ❌ 37.8 (below structure + EMA99)

🎯 Targets:
• 🎯 TP1: 41.5
• 🎯 TP2: 42.5
• 🎯 TP3: 43.7 (previous high)

🔍 Key Logic:
• Market already shifted to bullish trend
• Strong base around 36.7 → accumulation done
• Compression under 40 → likely breakout soon
📊 $ZEC –Long Plan (Reversal + Expansion) ⚠️ Context: • Price ~217, holding above 208–212 support 🟢 Long Setup (Breakout + Buy Dip) Buy Dip (Safer) • 🟢 210 – 214 (support zone) 🛑 Stop Loss: • ❌ 204 (below key support) 🎯 Targets: • 🎯 TP1: 232 (local resistance) • 🎯 TP2: 245 • 🎯 TP3: 260 🔍 Key Logic: • Structure shifting from lower lows → higher low (208) • Compression near 215–220 → likely expansion soon • If breakout 222 → momentum + short squeeze possible ⚠️ Risk Notes: • If price loses 208 → ❌ invalidation, trend continues down • {future}(ZECUSDT)
📊 $ZEC –Long Plan (Reversal + Expansion)

⚠️ Context:
• Price ~217, holding above 208–212 support

🟢 Long Setup (Breakout + Buy Dip)
Buy Dip (Safer)
• 🟢 210 – 214 (support zone)
🛑 Stop Loss:
• ❌ 204 (below key support)

🎯 Targets:
• 🎯 TP1: 232 (local resistance)
• 🎯 TP2: 245
• 🎯 TP3: 260
🔍 Key Logic:
• Structure shifting from lower lows → higher low (208)
• Compression near 215–220 → likely expansion soon
• If breakout 222 → momentum + short squeeze possible

⚠️ Risk Notes:
• If price loses 208 → ❌ invalidation, trend continues down
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