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$ICP technical analysis update - the breakout is playing out EXACTLY as we want. remember when I said we were breaking a 4-year descending wedge at $7.64? we did. now we're at $6.20 with a massive 457K volume spike. wait, but why is the price is DOWN? this is...

37,902 просмотров • 8 месяцев назад •via X (Twitter)

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Trading consolidations is a guaranteed way to burn money. The breakout retest is the ONLY strategy that works when markets move sideways—and it's ridiculously profitable when done right. First, here's why consolidation trading doesn’t work: • Too much volatility. • Unpredictable price action. • Market manipulation in both directions. That’s why we trade the breakout retest: Here’s the 4-steps to it: Step 1: Draw the box When price consolidates, I draw a box from the lowest point to the highest point. Then I wait. Step 2: Wait for the breakout I'm waiting for one thing: a big momentum candlestick that breaks out of the box. Ideally, this candle aligns with the higher timeframe trend. Step 3: Identify the imbalance That momentum candle creates a gap—the space between the low of the candle before the breakout and the high of the candle after. Step 4: Enter on the retest Price pulls back to retest that imbalance around 50%—fair value. When it does, I enter. Stop loss above the imbalance. Target 2-3R. Why this works: The market always moves from imbalance to balance to imbalance. That pullback after the breakout? It's the market seeking fair value before continuing. The bottom line: Stop trading consolidation. Start positioning on retests. If you can't wait for the retest, you're not ready to be profitable. — This is just a breakdown of one of the trading strategies we covered in our 2-hour long cryptocurrency trading course. I also discussed the trend pullback strategy, how to trade liquidity sweep reversals, and why understanding liquidity is the only way to avoid becoming exit liquidity. Just comment "COURSE" and I'll DM it to you immediately so you can watch it.

The Trading Geek (Brad Goh)

10,981 просмотров • 6 месяцев назад

UPDATE: M. OLIVER - The Asset Class Shift Has Officially Begun. 🚀 "We’ll probably see $200 silver by the second quarter. Now, I could be wrong. We might vastly overshoot and see something even higher than that." – "Be in #Silver and #Miners now !" Michael Oliver, Momentum Structural Analysis. 📈 This is the breakout from a HALF-CENTURY trading range. For 50 years, silver has been contained. That containment is now failing. Why This Time is Structurally Different: ✅ Gold has broken out vs. the S&P 500 on a spread basis—signaling a major asset class rotation. ✅ Silver has broken out vs. gold—meaning it's set to outperform dramatically. ✅ The miners ( $XAU, $GDX) are breaking multi-decade spreads vs. gold, poised to double relative value. The Historical Precedent is Stunning: ➡️When copper broke out of a 30-year range in 2005-2006, it quadrupled in two quarters. ➡️When lead did the same in 2007, it also quadrupled in a few quarters. ➡️Silver is now breaking out of a 50-year range. The potential velocity is immense. This is the START, not the end. 🔄The breakout signals the beginning of a multi-year trend, not a short-term spike. Capital is just starting to rotate from inflated equities (S&P, Nasdaq) into the monetary metals complex. ⏰ "Is it too late to invest?" The clear technical answer is NO. Entry points are always higher in a genuine breakout. This is the last major entry before the move accelerates. The Bottom Line: The charts are screaming that a historic, compressed repricing of silver and mining equities is imminent. This is a structural shift, not a speculative spike. Being early feels late, but being late will be costly. HT: Palisades Gold Radio Momentum Structural Analysis #Silver #Gold #PreciousMetals #Investing #Stocks #Trading #Miners #Breakout #Commodities 🔄

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157,843 просмотров • 6 месяцев назад

🔥 Pi Network Has Officially Entered Beast Mode – Global Payment Giants Now Support It! While others doubted, we built. While the world watched, Pi Network quietly integrated with the biggest financial platforms on Earth. And now… we’re ready. 💪🌎 💥 The Walls Are Down. Pi Is Borderless. The Open Mainnet is live, the infrastructure is in place, and now the final pieces are falling into place — Pi Network is supported by a massive alliance of global payment powerhouses, including: 🛡️ Exchange Titans & Fiat Gateways: •✅ Binance P2P •✅ Binance Connect •✅ Transak •✅ Sardine •✅ Topper •✅ UTORG •✅ Paybis •✅ Onmeta •✅ Onramp Money •✅ •✅ TransFi •✅ DFX •✅ Alchemy Pay •✅ Banxa •✅ BTC Direct •✅ Coinify •✅ MoonPay •✅ Fonbnk •✅ GateConnect •✅ Unlimit •✅ Guardarian •✅ Koywe •✅ LocalRamp •✅ Yellow Card 💳 World-Class Fintechs Now Support Pi: •✅ Stripe •✅ Skrill Crypto •✅ Revolut 🌐 This Is Bigger Than Just Crypto Stripe and Skrill aren’t just crypto services — they’re global payment kings. And now they’re helping Pi bridge traditional finance with the new digital economy. Revolut is a top fintech unicorn, and it’s already supporting Pi. Binance is the biggest crypto exchange in the world — and it’s ready. Let that sink in. 🔥 🚀 Why This Changes Everything •🌍 Anyone can access Pi, anywhere in the world •🏦 Buy and sell Pi directly with bank cards, local fiat, Apple Pay, and more •💼 Businesses can now prepare to integrate Pi into payments •🧠 Investors now see the foundation for real-world use and massive growth This is what true mass adoption looks like — infrastructure before hype. Utility before listing. Power before price. 🔮 The World’s Not Ready, But We Are. While other coins chased listings, Pi Network built alliances. While others pumped and dumped, Pi built its own economy. And now? The rocket is fully fueled. We’re not waiting for the future — we’re building it. “You don’t have to be first. You just have to be the one who finishes the race prepared. And Pi Network is ready to dominate.” 📢 Pioneers, Stand Tall Your patience, your faith, your mining, your contribution — it’s all paying off. With 40+ global financial platforms now supporting Pi, we’ve gone from an idea… to an unstoppable force. 🎯 Pi Network is not just another crypto project. 🚀 Pi is the people’s currency — and now the world is opening its gates to it. 📣 Share this. Shout it. Post it. Let every Pioneer know — Pi is ready. Let every skeptic watch — we told you so. Let every investor understand — the game has changed. Pi is no longer coming. Pi is here. 🔥 And the world is about to feel it. Pi Network Nicolas Kokkalis Chengdiao Fan ✅✅✅✅🚀🚀🚀🚀🚀🚀🚀🚀

Mr Spock 𝛑

42,286 просмотров • 11 месяцев назад

🚨 Keith Neumeyer: This Silver Rally is DIFFERENT WHY THIS SILVER RALLY IS DIFFERENT ✅ 2011 move: "Paper-driven short covering" ✅ 2024 move: "ALL PHYSICAL demand driven" ✅ "People waking up to silver as critical mineral" ✅ "This metal is required for everything - we can't travel, drive, or operate homes without it" THE STRUCTURAL DEFICIT REALITY ✅ 5 consecutive years of silver deficits ✅ Total deficit: ~1 BILLION ounces over 5 years ✅ Mine production: 850M oz/year | Consumption: 1.2B oz/year ✅ "These ounces are coming from investment hoards - that will end" WHY MINERS CAN'T SAVE US ✅ "Takes 3 years to drive tunnels to new discoveries" ✅ Mill upgrades require "years of work" ✅ No major silver mines coming online ✅ "We're not going to solve this at $50 silver" NEW DEMAND DRIVERS EMERGING ✅ India: 75M ounces imported recently ✅ AI data centers: "How are you going to build them without silver?" ✅ Nuclear renaissance: 30+ plants planned - all require silver PRICE PREDICTION & OUTLOOK ✅ "We're destined to go through new highs" ✅ "Wouldn't be surprised at $60-65 by year-end" ✅ Previous $40 prediction already shattered ✅ "This correction is healthy - settling before next leg up" According to one of silver's most respected CEOs, we're in a fundamentally different bull market driven by physical consumption that miners simply cannot meet - and the structural deficit means higher prices are inevitable, not speculative. HT: Kai Hoffmann Keith Neumeyer First Majestic #Silver #KeithNeumeyer #FirstMajestic #SilverSqueeze #PhysicalSilver #SupplyDeficit #Mining #CriticalMinerals #Investing

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82,890 просмотров • 7 месяцев назад

📺 $TSLA HIT THE TARGET — TIME TO TAKE PROFITS? Please ❤️like and 🔁share with fellow Tesla traders/investors #Tesla closed Monday at $445.00, already reaching and slightly exceeding the key upside target of $442.26, which we had been anticipating for several weeks after bouncing from $347.63 long-term support. Price is now sitting right at a critical resistance zone: $442.26 → prior target, $444.99 → 5-week rising channel top. So, the key question now – is $TSLA just stretching into resistance (likely a pause/pullback)? Or has it broken through resistance (start of a new leg higher)? We are leaning toward “stretching” for now, not a confirmed breakout yet. For a true continuation higher, price behavior matters. We need a close above $444.99 (ideally two consecutive closes above this level). If this happens, the momentum “pull-away” effect kicks in, and short-term upside targets become: – $453.29 → next resistance (descending channel top) – $474.07 → major target (Nov high zone) If strength builds, $474.07 reachable mid this week (Wed–Thu). If #TSLA closes this week above $444.99, $498.83 (Dec high) is likely within 3–5 weeks, and $541.33 is possible within 2–3 months. This becomes a strong trend-continuation phase. * Today, if $TSLA opens above $444.99 → a quick move to $453.29 is possible. If it breaks above $453.29 → $474.07 becomes reachable even intraday. * Warning signals: – Failure to hold above $444.99 – Close back below $442.26 Stronger downside trigger: – Close below $415.83 → signals trend breakdown $387.07 becomes the downside target. This would shift the structure from trend continuation to a corrective pullback. * So, if already long, stay long, but watch key levels closely. If unsure, wait for a confirmation (close above $444.99). If you are not in yet, your entry becomes more attractive after a confirmed breakout, targeting the $500–$540 range. * So, $TSLA has completed its initial upside move and is now at a critical resistance zone. The market is deciding between: – Pause/consolidation (most likely near-term) – Aggressive breakout into a new bullish phase (if resistance breaks) Everything hinges on how the price behaves around $444.99 this week. * Watch the full Trading Plan for May 12, 2026 in this short video🔽

Wicked Stocks

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37,663 просмотров • 1 год назад

a quant at a prop firm showed me a 5x5 grid on a napkin said: > this is our entire edge. we don't predict price. we predict which box the market is in and where that box historically leads i didn't understand it for weeks. then it clicked never looked at a chart the same way since grid is called a Markov Chain transition matrix. the math is from 1906, it's in every probability textbook on earth and hedge funds use it because it asks a completely different question than retail traders ever ask retail: will this go up or down quant: what state is this market in, and where does this state typically go every market lives in one of maybe 5-6 states at any given moment tight range, volatility compression, trending with momentum, post-spike reversal, pre-breakout coil not random labels - clusters you identify from actual data using volatility, volume, and momentum readings stacked together once you have the states, you build the matrix: P(state 2 -> state 4) = 73% P(state 4 -> state 1) = 61% P(state 1 -> state 3) = 68% each cell is a historical probability. now when the market is in state 2, you're not guessing you're betting on 73% historical completion. you size it with Kelly. you take the trade when the math says to, not when it feels right i built this on BTC using 2 years of 4-hour data. identified 5 states one i labeled "volatility compression below 20-day mean for 6+ consecutive candles" transitioned to a directional move above 1.8 ATR in 71% of cases average reward/risk on those trades: 5.4 that's not prediction. that's reading a probability table the market keeps filling in for you every single day the part that should bother you: the data to build this is free. the framework is in any quant textbook python to implement it is maybe 200 lines what Renaissance Technologies has that you don't isn't secret data or proprietary signals it's this framework applied to higher-resolution data with more sophisticated state definitions you're not missing information you're asking the wrong question every single time you open a chart

Livsun

188,258 просмотров • 1 месяц назад

UPDATE: MICHAEL OLIVER - THIS SILVER DROP IS JUST A "JIGGLE IN THE MIDDLE" AND A GREAT BUYING OPPORTUNITY. Silver just suffered one of the most violent single-day drops in history—plunging over 25-30% in a single session on January 30, 2026, after rocketing to new highs above $120. Panic selling has hit hard, but technical analyst Michael Oliver explains in an interesting new interview with Jay Taylor that this is a classic mid-cycle correction – not a peak. MICHAEL OLIVER'S CALM TAKE ✅ "There's too many things wrong with this being a top." ➡️ He points to historical parallels: In 1979-80, silver had a huge correction mid-rally—then exploded higher in the second leg. 📈 Same pattern in 2010-11: Sharp drop looked like the end, but the next move was far bigger. SILVER STILL CHEAP RELATIVE TO GOLD ✅ Silver-to-gold ratio broke out positively in November after a 10-year ceiling. ➡️ Even after the crash, it's well above breakout levels—silver remains undervalued vs gold. 🔍 The trend favors silver catching up, potentially challenging old highs like 3-6% of gold's price. ASSET FLOWS SUPPORT THE BULL CASE ✅ Gold vs S&P breakout from an 11-year base is fresh—money shifting from stocks to metals. ➡️ Commodities overall are just turning up after 15 years of weakness. ⚡ Bonds are anemic despite Fed support—real yields and dollar strength triggered the flush, but fundamentals unchanged. THIS IS A BUYING OPPORTUNITY ✅ Oliver: "If you're not in silver... you ought to consider buying right about now." ➡️ Pullback mirrors past bull markets—sharp, scary, but temporary midpoint jiggle. 📊 Overdone short-term momentum suggests a low soon—don't bite on the fear. THE BOTTOM LINE This savage silver correction is shaking out weak hands in a powerful bull market, creating a rare chance to buy before the next explosive leg higher toward much loftier targets. HT: YouTube Jay Taylor Media Jay Taylor Momentum Structural Analysis #Silver #PreciousMetals #SilverCrash #BullMarket #Investing

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Decentralised News

16,181 просмотров • 9 месяцев назад

📺 $TSLA STILL STRONG BUT EXTENDED – YOU SHOULDN’T BE BUYING HERE Please ❤️like and 🔁share with fellow Tesla traders/investors #Tesla closed strong last week at $428.35. The stock is in a rising channel, with momentum still intact. However, it’s approaching a major resistance zone that could define the next multi-week move. * $442.26 – $444.99 is the critical area, which aligns with the rising channel top and is expected to cap price action through May and possibly June. Base case is #TSLA likely tests this zone this week, then struggles to break higher immediately. Expect then a pullback toward $418 (short-term) and $387.07 (key support), with the potential deeper move toward $347.63 (major support / Q3 bottom zone). * If $TSLA closes this week above $444.99, that’s a confirmed breakout that triggers a momentum “pull-away” move. Upside targets: – $498.83 (December high retest) → within 3–8 weeks – $541.30 → within 2–5 months Note: this only happens on confirmed strength, not intraday spikes. If $TSLA fails at $442–445, expect rotation lower. If it closes the week below $415.83, it will signal a short-term top and open the door to $387.07 (primary target) and potential acceleration lower. * So, what NOT to do: – Don’t chase in the low $440 s – that’s resistance, not opportunity. What to do instead: – Short-term traders may sell / short into $442–445 resistance. Target is $418 (quick trade) and $387 (swing trade). Alternative short trigger: breakdown below $415.83 → short continuation. – Long strategy: stay long above $418, buy dips at $387 (high-probability level) and possibly $347 (if deeper correction). – Breakout buyers: only get aggressive if confirmed close above $444.99. * So, $TSLA is still strong but extended. $442–445 is the decision zone: – Rejection → pullback and range – Breakout → fast move toward $500+ The smart play here isn’t chasing strength — it’s trading the levels and letting the market confirm direction. * Watch the full Trading Plan for May 11, 2026 in this short video🔽

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