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Technical analysis by Ox_kali about Symbol BTC: Buy recommendation (8/3/2025)

https://sahmeto.com/message/3679063
Ox_kali
Ox_kali
Rank: 515
3.0
Buy،Technical،Ox_kali

__________________________________________________________________________________ Technical Overview – Summary Points __________________________________________________________________________________ Momentum : Tech sector bias supportive on higher timeframes (Risk On / Risk Off Indicator “Buy” on 1D/12H) despite MTFTI “Down” on intraday (15min to 6H). Key Supports : Major cluster at 111,900–112,772 (W Pivot High, 12H/24H Pivot Low). Critical defense short/mid term. Resistances : 114,723, then 115,900, then 119,800–122,318 (break to relaunch impulse). Volumes : Moderate to normal across all timeframes: no panic or capitulation. Multi-TF Behaviour : ISPD DIV neutral everywhere: neither fear nor euphoria; wait-and-see market. No climax nor emotional extremes: conducive to squeeze or extension after catalyst. __________________________________________________________________________________ Strategic Summary __________________________________________________________________________________ Global Bias : Neutral to cautious bullish if 111,900–112,772 holds (invalidate if <111,900). Opportunities : Defensive swing long entries on support. Gradual targets: 114,723, 115,900, 119,800–122,318. Risks : Daily/4H close below 111,900 = acceleration towards $110k/$105k (on-chain air-gap). Macro Catalysts : Geopolitical tensions (Gaza/Ukraine/China), China crypto ban headlines, sector decoupling, Fed/BoE policy. Action Plan : Strict stop management (<111,750), agile on volume/ISPD signals. Critical macro monitoring: any exogenous move can trigger directional volatility. __________________________________________________________________________________ Multi-Timeframe Analysis __________________________________________________________________________________ 1D (Daily) : Key support 114,723.2. Tech sector indicator (Risk On / Risk Off Indicator) bullish. MTFTI Up. Normal volume, no panic. Lack of ISPD oversold signal. 12H : Support W Pivot High 111,900 – 12H Pivot Low 111,920. Uptrend, moderately higher volumes, ISPD neutral. Battling for support maintenance and bounce. 6H : Core pivot support 111,900–112,000. MTFTI Down. No volume excess or sentiment signal. End of momentum, increase vigilance. 4H : Weakness confirmed, supports 112,000–112,500, resistance 117,722 to 119,800. Last short-term rampart tested. 2H-1H : Bearish, attacks on 111,900–112,772 supports, immediate resistance at 114,723/115,900. Weak range market. 30min-15min : Neutral, lower range between supports (111,900–112,772) and resistances (113,950–114,723). Volatility on breakout events, no sector bias. Risk On / Risk Off Indicator : Persistent “Buy” on higher timeframes (12H/1D), neutral/bearish intraday (4H and below). ISPD DIV : No extremes detected: no exhaustion, panic or major oversold; “range” environment. Volumes : Normal, no climax or anomaly. Market awaiting a catalyst. __________________________________________________________________________________ Fundamental, Macro Events, Sentiment Overview __________________________________________________________________________________ Macro : Newsflow on China crypto ban, multiple tensions (Gaza, Russia-Ukraine), Fed/BoE slowing. Globally cautious setting despite no direct institutional shock. On-chain (Glassnode) : Major OTC sale (~80k BTC) absorbed, 97% supply in profit: “moderate euphoria” phase, not capitulation; on-chain supports $110–117k, resistance $125–141k, air-gap below $115k. Twitter : No panic, “final wick” narrative then anticipated technical rebound. No institutional outflows. China ban read as cyclical FUD. __________________________________________________________________________________ Summary & Action Plan __________________________________________________________________________________ Support 111,900–112,772 = key multi-TF cluster; area for defensive swing opportunity. MTFTI is “Down” on lower TF, but Risk On / Risk Off Indicator bullish on daily/12H. No capitulation, normal volume, market waiting for catalyst. Swing bullish invalidated below 111,900—stop required, R/R 1:2 minimum. Fast reclaim above 114,723 plus strong upside volume: short squeeze & potential extension to 119,800–122,318. Macro monitoring essential (China ban, monetary policy, geopolitics). __________________________________________________________________________________ Operational Summary : Favor defensive swing long plans on multi-TF cluster support (111,900–112,772), strict stop <111,750, progressive TPs to 114,723/115,900/119,800. Stay opportunistic: bias cautiously bullish but risk management is paramount in a cautious global environment and with no strong extremes detected. __________________________________________________________________________________

Translated from: English
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Signal Type: Buy
Time Frame:
6 ساعت
Price at Publish Time:
$113,490.48
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