I
IMAGINE
base
5m
-
1h
+14.61%
6h
+36.04%
24h
+43.72%
MCap
$8.29M
Liquidity
$44.1K
Vol 24h
$422.0K 23.0x
Vol/MCap
5.1%
ATH
$0.001305 -69.7%
Address: Pool: DEX: uniswap-v2-base Data: 181d

Signal

Hold
  • [1d] MACD bullish cross
  • [1d] MACD histogram positive
  • [1d] Price above EMA 50
1h Hold
4h Hold
1d Strong Buy

Score

24 Weak Top 24% +16 vs avg
24
TA (60%)
40

Quick TA (1h)

RSI (14) 50.1
MACD Bearish
Stoch K 51.0
ADX 24.4
EMA Trend Death
5m1h6h24h
Buys0642
Sells1636
Vol$1.4K$15.0K$110.8K$422.0K
Makers0000
Indicator1h4h1d
MomentumNeutralNeutralNeutral
RSI (14) 50.149.050.3
Stoch K / D 51.0 / 38.262.4 / 50.955.0 / 54.8
CCI 12.7-84.9-17.4
Williams %R -49.0-37.6-45.0
TrendOverboughtOversoldOversold
MACD -0.000026-0.0000060.000005
MACD Histogram -0.000001-0.0000080.000011
EMA 50 $0.0004141$0.0004746$0.0004476
EMA 200 $0.0004350$0.0004443-
ADX 24.425.232.7
VolatilityNeutralNeutralNeutral
BB Upper $0.0006345$0.0007170$0.0006489
BB Lower $0.0001349$0.0002882$0.0002146
ATR (14) 0.0002450.0003770.000439
VolumeBearishBullishBullish
Vol SMA (20) $18.4K$73.1K$397.8K
Vol vs SMA 23.0x5.8x1.1x
VWAP ---

AI Analysis

Wait to Sell
The price is expected to rise in the short term, but the overall trend is sideways with high volatility, making it risky to buy now.
Exit
$8.29M
+0.0%
$0.0003948
Target 30d
$12.21M
+47.3%
$0.0005815
Stop Loss
$7.46M
-10.0%
$0.0003553
Acc
Mar
Dis
Mar
Cap
Markdown
The asset has experienced a significant drop from its all-time high.
Chart Patterns
head and shoulders
Confianza
60%
Head & Shoulders — head at 0.0006366 ($11.7M), support at 0.0001308 ($2.4M)
19 days ago
inverse head and shoulders
Confianza
60%
Inverse Head & Shoulders — head at 0.0001280 ($2.3M), resistance at 0.0006325 ($11.6M)
15 days ago
Target: $0.001137 ($23.88M) +151.5%
View by timeframe
SCALPING
Sell
Short-term indicators suggest a selling opportunity, aiming for a quick profit on a price dip. Entry $0.00039480, Target $0.00002765, SL $0.00014881
SWING
Sell
Medium-term indicators point to a selling opportunity, but with a target of zero, indicating extreme caution or a potential delisting. Entry $0.00039480, Target $0.00000000, SL $0.00000000
LONG TERM
Wait to Buy
Long-term indicators suggest waiting for a lower entry point before considering a long-term purchase. Entry $0.00021455, Target $0.00215039, SL $0.00000000
Prediction 43
+47.29%
$0.0005815 $12.21M
68%: $0.0{4}2995 — $0.006113
DayPriceMCap%
Mar 22$0.0003994$8.39M+1.2%
Mar 23$0.0004026$8.46M+2.0%
Mar 24$0.0004061$8.53M+2.9%
Mar 25$0.0004096$8.60M+3.7%
Mar 26$0.0004133$8.68M+4.7%
Mar 27$0.0004171$8.76M+5.6%
Mar 28$0.0004210$8.84M+6.6%
Mar 29$0.0004251$8.93M+7.7%
Mar 30$0.0004293$9.02M+8.8%
Mar 31$0.0004338$9.11M+9.9%
Apr 1$0.0004384$9.21M+11.0%
Apr 2$0.0004432$9.31M+12.3%
Apr 3$0.0004482$9.41M+13.5%
Apr 4$0.0004535$9.52M+14.9%
Apr 5$0.0004589$9.64M+16.2%
Apr 6$0.0004647$9.76M+17.7%
Apr 7$0.0004707$9.89M+19.2%
Apr 8$0.0004770$10.02M+20.8%
Apr 9$0.0004836$10.16M+22.5%
Apr 10$0.0004905$10.30M+24.2%
Apr 11$0.0004977$10.45M+26.1%
Apr 12$0.0005053$10.61M+28.0%
Apr 13$0.0005133$10.78M+30.0%
Apr 14$0.0005217$10.96M+32.1%
Apr 15$0.0005305$11.14M+34.4%
Apr 16$0.0005397$11.34M+36.7%
Apr 17$0.0005494$11.54M+39.2%
Apr 18$0.0005596$11.75M+41.7%
Apr 19$0.0005703$11.98M+44.4%
Apr 20$0.0005815$12.21M+47.3%
Rango probable 30d $0.0{4}2908 — $0.01163
$610.7K — $244.28M
S/R (30d)
Supports
$0.0003493 -11.5%
$7.34M
100
$0.0002519 -36.2%
$5.29M
90
$0.0001618 -59.0%
$3.40M
35
$0.0001515 -61.6%
$3.18M
29
$0.0{4}2908 -92.6%
$610.7K
Bottom 95%
Resistances
$0.0004859 +23.1%
$10.21M
100
$0.0005705 +44.5%
$11.98M
94
$0.0005956 +50.9%
$12.51M
77
$0.0006317 +60.0%
$13.27M
55
Confianza: Media H=0.10
TREND
Sideways
There is no clear upward or downward movement, but the market is showing strong underlying activity.
VOLUME
Current volume is significantly higher than the average, indicating increased interest, but the buy/sell ratio is not provided.
RISK
Medium
The asset has low liquidity and extremely high price fluctuations, making it a risky investment.
CATALYST
A significant news event or a sustained increase in buying pressure could shift the current sideways trend.
SUMMARY
The market is currently in a markdown phase with high volatility and a sideways trend, suggesting a cautious approach with short-term selling opportunities and a wait-and-see for long-term buying.

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