5
50501
base
5m
-
1h
-3.90%
6h
+32.04%
24h
-21.47%
MCap
$7.88M
Liquidity
$43.5K
Vol 24h
$438.6K 23.3x
Vol/MCap
5.6%
ATH
$0.0004850 -67.9%
Address: Pool: DEX: uniswap-v2-base Data: 181d

Signal

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

Score

18 Weak Top 27% +10 vs avg
18
TA (60%)
30

Quick TA (1h)

RSI (14) 49.3
MACD Bearish
Stoch K 44.4
ADX 10.8
EMA Trend Golden
5m1h6h24h
Buys1221
Sells0326
Vol$2.1K$11.9K$93.6K$438.6K
Makers0000
Indicator1h4h1d
MomentumNeutralNeutralBearish
RSI (14) 49.353.453.7
Stoch K / D 44.4 / 54.974.4 / 49.973.0 / 44.6
CCI -56.540.6110.4
Williams %R -55.6-25.6-27.0
TrendNeutralOversoldBullish
MACD -0.000002-0.0000030.000003
MACD Histogram -0.0000010.0000010.000004
EMA 50 $0.0001498$0.0001475$0.0001423
EMA 200 $0.0001488$0.0001458-
ADX 10.828.317.0
VolatilityNeutralNeutralNeutral
BB Upper $0.0002357$0.0002306$0.0002212
BB Lower $0.0{4}6641$0.0{4}5976$0.0{4}48
ATR (14) 0.0000910.0001310.000155
VolumeBearishBearishBullish
Vol SMA (20) $18.8K$76.0K$415.5K
Vol vs SMA 23.3x5.8x1.1x
VWAP ---

AI Analysis

Wait to Sell
The price has recently seen a significant increase, but short-term indicators suggest a potential pullback.
Exit
$7.88M
+0.0%
$0.0001559
Target 30d
$7.55M
-4.1%
$0.0001495
Stop Loss
$7.09M
-10.0%
$0.0001403
Acc
Mar
Dis
Mar
Cap
Markdown
The asset is currently experiencing a significant drop from its all-time high.
Chart Patterns
double bottom
Confianza
85%
Double bottom at 0.00005858 ($2.4M) — resistance at 0.0002349 ($9.6M)
13 days ago
Target: $0.0004112 ($20.78M) +113.3%
double bottom
Confianza
75%
Double bottom at 0.00005378 ($2.2M) — resistance at 0.0002188 ($8.9M)
22 days ago
Target: $0.0003822 ($19.32M) +98.3%
head and shoulders
Confianza
70%
Head & Shoulders — head at 0.0002349 ($9.6M), support at 0.00005654 ($2.3M)
12 days ago
View by timeframe
SCALPING
Wait to Sell
Short-term indicators show a bearish cross and negative momentum, suggesting a downward move. Entry $0.00015590, Target $0.00001873, SL $0.00006400
SWING
Wait to Buy
While short-term is bearish, the 4-hour chart shows a bullish cross and positive momentum, indicating a potential rebound. Entry $0.00005976, Target $0.00048440, SL $0.00000000
LONG TERM
Buy
Long-term indicators show a bullish cross and positive momentum, suggesting a good entry for a sustained upward trend. Entry $0.00015590, Target $0.00077485, SL $0.00000000
Prediction 38
-4.13%
$0.0001495 $7.55M
68%: $0.0{5}7473 — $0.002989
DayPriceMCap%
Mar 22$0.0001559$7.88M-0.0%
Mar 23$0.0001554$7.85M-0.3%
Mar 24$0.0001550$7.83M-0.6%
Mar 25$0.0001546$7.81M-0.8%
Mar 26$0.0001543$7.80M-1.0%
Mar 27$0.0001540$7.78M-1.2%
Mar 28$0.0001537$7.77M-1.4%
Mar 29$0.0001534$7.75M-1.6%
Mar 30$0.0001532$7.74M-1.7%
Mar 31$0.0001529$7.73M-1.9%
Apr 1$0.0001527$7.72M-2.1%
Apr 2$0.0001525$7.70M-2.2%
Apr 3$0.0001522$7.69M-2.4%
Apr 4$0.0001520$7.68M-2.5%
Apr 5$0.0001518$7.67M-2.6%
Apr 6$0.0001516$7.66M-2.7%
Apr 7$0.0001514$7.65M-2.9%
Apr 8$0.0001512$7.64M-3.0%
Apr 9$0.0001511$7.63M-3.1%
Apr 10$0.0001509$7.62M-3.2%
Apr 11$0.0001507$7.62M-3.3%
Apr 12$0.0001506$7.61M-3.4%
Apr 13$0.0001504$7.60M-3.5%
Apr 14$0.0001503$7.59M-3.6%
Apr 15$0.0001501$7.59M-3.7%
Apr 16$0.0001500$7.58M-3.8%
Apr 17$0.0001498$7.57M-3.9%
Apr 18$0.0001497$7.57M-4.0%
Apr 19$0.0001496$7.56M-4.0%
Apr 20$0.0001495$7.55M-4.1%
Rango probable 30d $0.0{5}7473 — $0.002989
$377.6K — $151.05M
S/R (30d)
Supports
$0.0001483 -4.9%
$7.49M
100
$0.0001260 -19.2%
$6.36M
100
$0.0{4}9421 -39.6%
$4.76M
100
$0.0{4}651 -58.2%
$3.29M
52
$0.0{5}7473 -95.2%
$377.6K
Bottom 95%
Resistances
$0.0001981 +27.1%
$10.01M
100
$0.0002167 +39.0%
$10.95M
62
$0.0002245 +44.0%
$11.35M
38
$0.0002349 +50.7%
$11.87M
21
Confianza: Media H=0.10
TREND
Sideways
There is no clear upward or downward direction in the overall price movement.
VOLUME
Current volume is significantly higher than the average, indicating increased interest, but the buy/sell ratio is not provided for 24h.
RISK
Medium
The asset has low liquidity and extremely high volatility, making it a risky trade.
CATALYST
A significant increase in liquidity or a sustained period of lower volatility could change the current outlook.
SUMMARY
The asset is in a markdown phase with high volatility, suggesting short-term caution but potential for long-term growth.

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