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Uzun VadeliYeni İşlemVadeli

LTCLTC Uzun Vadeli AI Analizi

YönDüşüş
Güven70%
Risk Orta

Giriş Bölgeleri

Optimal78.50
Alternatif80.00

Zarar Durdur

82.00

Kâr Al Hedefleri

TP174.00
TP270.00
TP365.00

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MACRO OVERVIEW: LTC/USDT is in a clear multi-week downtrend after peaking above 110, with price breaking below key daily moving averages and testing major support around 75. The market structure shows a sequence of lower highs and lower lows, indicating bearish dominance, supported by high volume on declines and weak momentum indicators. Current phase is decline, with potential for accumulation if support holds, but no reversal signals yet.

TREND ANALYSIS:

  • Primary Trend: DOWNTREND
  • Trend Health: Moderate to Strong - consistent lower lows and bearish momentum indicators.
  • Market Phase: Decline - following distribution from higher levels.
  • Evidence: Daily candles show closes declining from 110.31 to 77.55, ADX minus_di (29.13) > plus_di (14.21), RSI at 34.12 below 50, price below EMA9 (82.56) and EMA20 (86.64).

POSITION STRATEGY:

  • Direction: SHORT favored for trend alignment; LONG only on reversal confirmation.
  • Building Zone for SHORT: 78.00 - 80.00 (resistance zone for adding).
  • Ideal Average Price for SHORT: 78.50
  • Position Size: Half position initially, scale in if trend confirms.
  • Timeframe: 2-4 weeks, until trend invalidation or targets reached.

MAJOR LEVELS:

  • Critical Support: 74.66 (recent low), 70.00 (psychological/historical)
  • Critical Resistance: 82.50 (recent swing high), 85.00 (key MA resistance), 90.00 (previous consolidation)
  • Trend Invalidation: Break above 85.00 would signal end of downtrend.

LONG-TERM SCENARIOS:

  • Bull Case: If price holds 74.66 and accumulates, rally to 90-100 possible over months.
  • Bear Case: Downtrend continues to 70.00, then 65.00 or lower.
  • Probability Assessment: Bear case more likely (60%) based on current structure and momentum.

RISK MANAGEMENT:

  • Position Stop for SHORT: 82.00 (above recent resistance)
  • Maximum Risk: 3% of capital per position
  • Add-on Levels for SHORT: Add at break below 76.00 or pullbacks to 79.00
  • Exit Signals: Close SHORT on break above 85.00 or daily RSI > 50.

VOLUME & MOMENTUM: Daily volume spikes on down candles (e.g., 59M) indicate selling pressure; OBV declining, CMF negative. 4h momentum weak with RSI 30-40, no strong reversal signs.