BTC Tactical rebound or flush? Decision point at $103700 support

43
__________________________________________________________________________________

Technical Overview – Summary Points
➤ Strong overall momentum across all swing/weekly timeframes, clear advantage to buyers.
➤ Key support at 103,700–104,000 USDT (chart/on-chain confluence, maximum visibility on all timeframes).
➤ Major technical resistance zone at 111,000–112,000 USDT (ATH + HTF pivots).
➤ Volumes normal to moderate, no directional climax or emotional excess in short and mid-term.
➤ Risk On / Risk Off Indicator remains strongly positive, indicating persistent sector outperformance.
➤ Only short-term weakness detected: temporary bearish trend on 2H/1H/30min/15min, typical of a short-term flush within a bullish structural context.

__________________________________________________________________________________

Strategic Summary
Main bias: Bullish for swing approaches as long as $103,700 holds on closing.
Opportunity: Buy on support on any retest 103,700–104,000 USDT with stop <102,000 USDT.
Partial target: Take profits at 105–106k, then 111–112k.
Risk zones: Confirmed break below 103,700 USDT with high volume = potential flush to 97–98k or even 95–96k.
Catalysts: Quiet macro calendar until NFP (06/06) & FOMC (mid-June) — increased monitoring as these events approach.
Action plan: Tactical intervention on support pullback, reduce exposure before major events.

__________________________________________________________________________________

Multi-Timeframe Analysis

  1. 1D/1W : Major structure fully bullish. No underlying reversal, stable volume, solid momentum. Risk On / Risk Off Indicator fully “On Risk”, no behavioral excess.
  2. 12H/6H: Sector momentum and volumes validate all swing-long entries on dips. Key supports 103,700–104,000 USDT consistently defended across timeframes.
  3. 4H/2H: Bullish bias maintained, healthy structure. Slight intraday weakness: 2H softens, moderately high volumes without extremes.
  4. 1H/30m/15m: Short-term bearish bias across all LTF — profit taking impact, typical technical flush on support. Bearish signals do NOT invalidate HTF bullish trend, but require tactical vigilance.
  5. Risk Summary: A fast drop below 103,700 USDT with volume would validate a flash liquidation scenario to 97–98k. Pullback in mature bull phase, strongly defended at the key support: timing for “mean reversion” on volume reaction, else wait for lower setups.

  • Risk On / Risk Off Indicator: Still “On Risk”, strong tech/growth sector momentum on daily/swing.
  • ISPD: No behavioral excess, neutral/median histogram across timeframes.
  • Volumes: Normal/moderate, no exhaustion spike nor major selling.
  • On-chain: Mature distribution, LTH profit-taking; key supports at $103,700, $97,100, $95,600.


__________________________________________________________________________________

Strategic Synthesis & Bias

  • Market in mature bullish consolidation, HTF structure robust as long as 103,700 USDT holds.
  • Active opportunity window until NFP & FOMC: prioritize swing/mean-revert setups.
  • Required stop for any trade: strictly below $102,000.
  • Smart monitoring of volumes & sentiment: confirmed support break + volume = wait for lower rebound.
  • No excessive panic or exuberance signals: strong RR if re-entering the main range.
  • Actively manage exposure approaching macro events.


Operational summary:
• Buy at 103,700–104,000 USDT, stop <102,000.
• Partial profits at 105–106k, final offload at 111–112k.
• Reduce exposure ahead of NFP/FOMC.
• If break of 103,700 USDT: stop and wait for $97–98k or $95–96k.


__________________________________________________________________________________

Feragatname

Bilgiler ve yayınlar, TradingView tarafından sağlanan veya onaylanan finansal, yatırım, işlem veya diğer türden tavsiye veya tavsiyeler anlamına gelmez ve teşkil etmez. Kullanım Şartları'nda daha fazlasını okuyun.