When someone says, “I’m in crypto for the technology, bro… decentralization, blockchain revolution, financial freedom…”
That means: “I bought $SHIB in 2021 at 0.000008, I still hold it so that one day I can buy a Lambo and tell my mom, ‘Look, mom, you can do it without studying!’” To be honest… None of us came here for technology. We came here because we once saw $10,000 in 24 hours for $100 and thought, “This time, Dad is retiring, I’m going to quit my job, tell my girlfriend ‘Now
Then the dump comes. The chart turns red. And we say, “No no, I’m a long-term investor… I believe in technology.” (Although I think to myself: “God, give me another pump, just one… I swear I’ll sell this time
Long Trade Position Entry Zone:0.105-0.115 TP1:0.125 TP2:0.145 TP3:0.170 Stop Loss(SL):0.095
Analysis Confluence of weekly Fibonacci 50% and previous demand zone holding with strong bullish engulfing. Order flow absorption clear, cumulative delta spiking buy – institutional defense evident, upside resumption likely.
Artist Traders
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Hausse
$SPORTFUN Price stabilizing with bullish bias
Long Trade Position Entry Zone:0.10-0.105 TP1:0.12 TP2:0.14 TP3:0.17 Stop Loss(SL):0.09
Analysis Double bottom confirmed on monthly with neckline breakout and successful retest. Volume climax at bottoms, decreasing on pullback – major trend reversal pattern complete, bullish cycle resumption underway. {future}(SPORTFUNUSDT)
🔥Don't miss it: the more you buy at a lower price and sell at a higher price, the more profit you will have, for that you need to follow the entry zone, TARGET TP, STOP_LOSS
📊 Market zone: Monitor current prices: Buy at the right time by viewing real-time charts. Just buy, hold, trail, take profit 💰🔥 Long
Long Trade Position Entry Zone:0.067-0.07 TP1:0.074 TP2:0.078 TP3:0.082 Stop Loss(SL):0.064
Analysis Bullish order block on daily respected after liquidity sweep below, now forming higher lows with conviction closes. Volume profile showing prominent high volume node at the base, delta strongly positive – reversal strength confirmed for longs.
Long Trade Position Entry Zone:0.10-0.105 TP1:0.12 TP2:0.14 TP3:0.17 Stop Loss(SL):0.09
Analysis Double bottom confirmed on monthly with neckline breakout and successful retest. Volume climax at bottoms, decreasing on pullback – major trend reversal pattern complete, bullish cycle resumption underway.
Now I closed my position 6 billion liquidity has been completed, the market will pump in a few hours. If the market does not pump in a few hours, the probability of 9 billion liquidity ratio is high, they will
Artist Traders
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Baisse (björn)
$FRAX Rally losing steam, bears awakening
Shot Trade Position Entry Zone:1.15-1.1 TP1:0.96 TP2:0.91 TP3:0.88 Stop Loss(SL):1.2
Analysis Final bullish mitigation block flipped to supply on daily, third touch holding with conviction drop. Delta aggressively negative, new low volume area forming below – institutional shift complete, short bias strong. {future}(FRAXUSDT)
BTC Update: What could happen in the next 3 months? (January–April 2026) 🚀🧾
Current price (January 15, 2026): Moving between ~$95,500–$97,000. It has pulled back slightly in the last few days, touching $97K+.
Short-term outlook (February–March–April): Base case: Consolidation in the $95K–$105K range → gradual upside potential. Many analysts are looking at $100K–$102K by mid-February.
Bullish Scenario: ETF inflow + Institutional demand + Fed rate cut → $110K–$120K (some optimists say up to $130K–$150K by the end of Q1).
Bearish Risk: Market Bill Delay, Macro Pressure or Profit Taking → $90K–$92K support test, even a dip to $85K–$88K possible (low probability).
What will drive the price? ✅ New inflows into spot BTC ETFs (already seeing strong flows in January)
✅ Crypto Regulation Clarity Act in US – Markup at end of January will be a big catalyst ✅ Post-halving supply shock + institutional adoption ❌ Risk: Inflation shock, tariff/trade war, or My personal watchlist:
Break $96K–$98K → $100K+ very close Lose $93K–$90K → Further dips possible, but long-term bullish structure is in place
BTC has a good chance of hitting $100K+ in the next 3 months, but volatility will remain. DYOR & Risk Manage! What's your prediction? $110K+ or $80K dip? Tell me in the comments 👇