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Technical analysis by Ox_kali about Symbol BTC: Buy recommendation (8/5/2025)

https://sahmeto.com/message/3687241
Ox_kali
Ox_kali
Rank: 499
3.0
Buy،Technical،Ox_kali

__________________________________________________________________________________ Technical Overview – Summary Points ➤ Dominant bullish momentum on higher timeframes (6H, 12H, 1D) with ongoing consolidation; clear short-term bearish divergence on intraday (2H, 1H, 30min, 15min). Key supports: 114,723 (D Pivot Low), 111,980 (W Pivot High) – essential zones for action/monitoring. Critical resistances: 115,720–119,000, ultimate top at 122,318. Normal volumes, no aggressive accumulation/distribution observed. Risk On / Risk Off Indicator: “Strong Buy” in trend, neutral short term. ISPD DIV/investor satisfaction neutral: No excess or behavioral anomalies. Structural resilience but no strong short-term catalyst; awaiting a trigger from volume spike or macro reaction. __________________________________________________________________________________ Strategic Summary ➤ Global bias: mid/long-term bullish, short-term caution. Opportunities: tactical buys on 114,723–111,980, underweight before US ISM/PMI (expected volatility window). Risk areas: a clear break below 111,980 = increased correction risk down to 107,500–110,000. Catalysts: US ISM/PMI, ETF flows, extreme volume, Risk On / Risk Off Indicator reaction. Action plan: Buy on strong support reaction (confirmation price action, tight stop <111,000) If no volume flow, prefer strategic waiting until macro announcements/exceptional volume Monitor volume anomalies, ETF flows, ISPD DIV extreme zone returns [/list=1] __________________________________________________________________________________ Multi-Timeframe Analysis ➤ 1D to 6H: Robust bullish trend, all major technical supports intact, Risk On / Risk Off Indicator “Strong Buy”. Volumes contained, no behavioral red flags. 2H, 1H, 30min, 15min: Clear bearish divergence via MTFTI (“Down”), no directional buyer flow, Risk On / Risk Off Indicator neutral. Summary: Main scenario = consolidation/intermediate correction under resistance; actionable setups on clear support/equilibrium reactions (confirmation price action). Fundamental side: macro stress tests absorbed, structurally healthy market, no major capitulation. Key catalyst to watch: Post-US PMI/ISM reaction and ETF flows. Any major inflection below 114k–111k = immediate defensive management. __________________________________________________________________________________

Translated from: English
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Signal Type: Buy
Time Frame:
1 day
Price at Publish Time:
$114,052.92
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