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Technical Overview – Summary Points
➤ Strong bullish momentum across all main timeframes
➤ Key supports: 117600–116500 (short term), 115736/114000 (swing pivot)
➤ Major resistances: 119676, 120998, 123218 (potential short-term distribution risk)
➤ Volumes normal, no climax nor flush
➤ Risk On / Risk Off Indicator: "Strong Buy" bias (all TFs except 30min/15min neutral)
➤ ISPD DIV: No significant divergences
➤ Market consolidating in tight range below immediate resistance
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Strategic Summary
➤ Dominant bias: strong bullish on all major TFs
➤ Opportunities: buy on pullback to 117600–116500 support, or on confirmed breakout 119676/120998, targets: 123218–130000
➤ Risk zones: clear break below 115736/114000 or extreme bearish volume
➤ Macro catalyst: No major impact expected short term. Watch Powell/Fed news, possible volatility without trend shift.
➤ Action plan: Prioritize long entries with stops (~2% below support pivot), partial profit taking above 123k, strict risk management in case of behavioral reversal or abnormal volume.
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Multi-Timeframe Analysis
*Risk On / Risk Off Indicator: Fully confirms momentum. Shifts neutral short-term, no sell or reversal signal.
*Key summary:
- Bullish trend dominant
- Major supports well below, immediate risk is low unless flash volume spike or sudden news
- Closely monitor the market under major resistance clusters
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Cross-Analysis & Strategic Synthesis
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Professional Summary
BTC market shows a strong multi-timeframe bullish impulse, underpinned by robust sector and trend signals. Maintain risk discipline: key supports remain solid, but major resistance cluster requires increased vigilance for volume spikes or air pockets. Partial profit-taking recommended above 123–130k. R/R >2:1 for buys on pullback, strict stop loss in case of technical or behavioral invalidation.
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Technical Overview – Summary Points
➤ Strong bullish momentum across all main timeframes
➤ Key supports: 117600–116500 (short term), 115736/114000 (swing pivot)
➤ Major resistances: 119676, 120998, 123218 (potential short-term distribution risk)
➤ Volumes normal, no climax nor flush
➤ Risk On / Risk Off Indicator: "Strong Buy" bias (all TFs except 30min/15min neutral)
➤ ISPD DIV: No significant divergences
➤ Market consolidating in tight range below immediate resistance
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Strategic Summary
➤ Dominant bias: strong bullish on all major TFs
➤ Opportunities: buy on pullback to 117600–116500 support, or on confirmed breakout 119676/120998, targets: 123218–130000
➤ Risk zones: clear break below 115736/114000 or extreme bearish volume
➤ Macro catalyst: No major impact expected short term. Watch Powell/Fed news, possible volatility without trend shift.
➤ Action plan: Prioritize long entries with stops (~2% below support pivot), partial profit taking above 123k, strict risk management in case of behavioral reversal or abnormal volume.
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Multi-Timeframe Analysis
- Daily/12H/6H/4H/2H/1H:
- All trend signals bullish (Risk On / Risk Off Indicator "Strong Buy", MTFTI "Strong Up")
- All major supports below price
- No structural weakness
- Consolidation range just below 119676–120998 resistance - 30min/15min:
- Neutral setup, lack of directional momentum
- Normal volumes, no excessive activity
- Flat consolidation, market awaiting catalyst
*Risk On / Risk Off Indicator: Fully confirms momentum. Shifts neutral short-term, no sell or reversal signal.
*Key summary:
- Bullish trend dominant
- Major supports well below, immediate risk is low unless flash volume spike or sudden news
- Closely monitor the market under major resistance clusters
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Cross-Analysis & Strategic Synthesis
- Perfect convergence Daily to 1H: "Strong Up" momentum, bullish Risk On / Risk Off Indicator, healthy volumes
- Active consolidation on 30min/15min: market awaits catalyst, no notable bearish strength
- Structured pivot supports: 117600–116500, 115736/114000
- Key resistances: 119676, 120998, 123218 (potential distribution/resistance zone)
- Preferred entries: support pullback or confirmed breakout above 120k
- Limited macro risk short term. Focus on Powell/Fed news and US calendar events (see table)
- On-chain: Short-term holders profit-taking in progress, alert if deterioration accelerates
- Plan: Partial profit taking above 123k extension, systematic stops below 115736 on invalidation
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Professional Summary
BTC market shows a strong multi-timeframe bullish impulse, underpinned by robust sector and trend signals. Maintain risk discipline: key supports remain solid, but major resistance cluster requires increased vigilance for volume spikes or air pockets. Partial profit-taking recommended above 123–130k. R/R >2:1 for buys on pullback, strict stop loss in case of technical or behavioral invalidation.
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Disclaimer
The information and publications are not meant to be, and do not constitute, financial, investment, trading, or other types of advice or recommendations supplied or endorsed by TradingView. Read more in the Terms of Use.
Disclaimer
The information and publications are not meant to be, and do not constitute, financial, investment, trading, or other types of advice or recommendations supplied or endorsed by TradingView. Read more in the Terms of Use.