ZEN
base
5m
-
1h
+0.09%
6h
+1.36%
24h
-1.03%
MCap
$102.04M
Liquidity
$2.23M
Vol 24h
$543.9K 53.1x
Vol/MCap
0.5%
ATH
$165.92 -96.6%
Address: Pool: DEX: aerodrome-slipstream Data: 181d ATH: May 21

Signal

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

Score

24 Weak Top 26% +15 vs avg
24
TA (60%)
40

Quick TA (1h)

RSI (14) 47.1
MACD Bullish
Stoch K 65.0
ADX 29.1
EMA Trend Death
5m1h6h24h
Buys1026121
Sells010137
Vol$1.8K$6.2K$92.2K$543.9K
Makers0000
Indicator1h4h1d
MomentumNeutralBullishNeutral
RSI (14) 47.138.746.8
Stoch K / D 65.0 / 65.724.8 / 13.231.1 / 37.3
CCI 21.7-75.4-3.7
Williams %R -35.0-75.2-68.9
TrendOversoldOverboughtOversold
MACD -0.040319-0.139581-0.011277
MACD Histogram 0.015199-0.0522360.085503
EMA 50 $5.84$5.92$6.35
EMA 200 $5.94$6.00-
ADX 29.136.228.4
VolatilityNeutralNeutralNeutral
BB Upper $5.79$6.72$6.50
BB Lower $5.59$5.30$4.86
ATR (14) 0.0618450.1621680.456519
VolumeBullishBearishBullish
Vol SMA (20) $10.2K$42.8K$293.4K
Vol vs SMA 53.1x12.7x1.9x
VWAP ---

AI Analysis

Avoid
The price is currently in a sideways trend with low confidence in future movements, making it difficult to predict clear direction.
Exit
$102.04M
+0.0%
$5.70
Target 30d
$100.34M
-1.7%
$5.61
Stop Loss
$91.84M
-10.0%
$5.13
Acc
Mar
Dis
Mar
Cap
Capitulation
The asset has experienced a significant drop from its all-time high, indicating a period of extreme selling pressure.
Chart Patterns
double bottom
Confianza
70%
Double bottom at 4.953 ($88.7M) — resistance at 5.959 ($106.6M)
13 days ago
Target: $6.81 ($121.84M) +19.4%
inverse head and shoulders
Confianza
70%
Inverse Head & Shoulders — head at 4.953 ($88.7M), resistance at 5.917 ($105.9M)
13 days ago
Target: $6.88 ($123.19M) +20.7%
head and shoulders
Confianza
60%
Head & Shoulders — head at 5.959 ($106.6M), support at 5.032 ($90.1M)
11 days ago
Target: $4.11 ($73.51M) -28.0%
View by timeframe
SCALPING
Wait to Sell
Short-term indicators suggest a slight downward move, so consider selling at $5.70 with a target of $5.61 and a stop loss at $5.64.
SWING
Wait to Sell
Medium-term indicators point to further downside, so consider selling at $5.70 with a target of $5.29 and a stop loss at $5.43.
LONG TERM
Wait to Buy
Long-term indicators suggest a potential for recovery, so consider buying at $4.86 with a target of $7.53 and a stop loss at $4.48.
Prediction 70
-1.66%
$5.61 $100.34M
68%: $4.27 — $7.44
DayPriceMCap%
Mar 22$5.72$102.36M+0.3%
Mar 23$5.71$102.14M+0.1%
Mar 24$5.70$102.00M-0.0%
Mar 25$5.69$101.89M-0.1%
Mar 26$5.69$101.79M-0.2%
Mar 27$5.68$101.69M-0.3%
Mar 28$5.68$101.61M-0.4%
Mar 29$5.67$101.53M-0.5%
Mar 30$5.67$101.45M-0.6%
Mar 31$5.66$101.38M-0.6%
Apr 1$5.66$101.31M-0.7%
Apr 2$5.66$101.24M-0.8%
Apr 3$5.65$101.18M-0.8%
Apr 4$5.65$101.12M-0.9%
Apr 5$5.65$101.06M-1.0%
Apr 6$5.64$101.00M-1.0%
Apr 7$5.64$100.94M-1.1%
Apr 8$5.64$100.89M-1.1%
Apr 9$5.63$100.83M-1.2%
Apr 10$5.63$100.78M-1.2%
Apr 11$5.63$100.73M-1.3%
Apr 12$5.62$100.69M-1.3%
Apr 13$5.62$100.64M-1.4%
Apr 14$5.62$100.59M-1.4%
Apr 15$5.62$100.55M-1.5%
Apr 16$5.61$100.50M-1.5%
Apr 17$5.61$100.46M-1.5%
Apr 18$5.61$100.42M-1.6%
Apr 19$5.61$100.38M-1.6%
Apr 20$5.61$100.34M-1.7%
Rango probable 30d $3.94 — $9.28
$70.51M — $166.17M
S/R (30d)
Supports
$5.44 -4.6%
$97.32M
100
$5.19 -9.0%
$92.83M
38
$4.95 -13.1%
$88.67M
10
$3.94 -30.9%
$70.51M
Bottom 95%
Resistances
$5.94 +4.2%
$106.31M
68
$6.22 +9.2%
$111.42M
23
$6.52 +14.5%
$116.79M
18
$7.01 +23.0%
$125.48M
18
Confianza: Alta H=0.12
TREND
Sideways
The price is not showing a clear upward or downward direction, despite a strong underlying trend strength.
VOLUME
Current volume is significantly higher than the average, indicating increased trading activity, with more sell orders than buy orders in the last 6 hours.
RISK
Medium
The asset has fallen drastically from its peak, suggesting a high potential for further volatility.
CATALYST
A significant positive news event or a clear break above key resistance levels could change the current sideways trend.
SUMMARY
The asset is in a sideways trend with low confidence, suggesting a period of consolidation after a significant price drop, with mixed signals for future direction.

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