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1010 analiz
Uzun VadeliYeni İşlemSpot

TRUMPTRUMP Uzun Vadeli AI Analizi

YönYükseliş
Güven40%
Risk Yüksek

Giriş Bölgeleri

Optimal5.70
Alternatif5.60

Zarar Durdur

5.50

Kâr Al Hedefleri

TP16.00
TP26.50
TP37.00

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MACRO OVERVIEW: TRUMP/USDT is in a multi-week downtrend, declining from highs above 9.0 to current levels near 5.7. The market is consolidating around the 5.6-5.7 zone, which may indicate early accumulation, but the overall structure remains bearish with lower highs and lower lows on the daily chart.

TREND ANALYSIS:

  • Primary Trend: DOWNTREND
  • Trend Health: Moderate, with consistent lower highs and lower lows.
  • Market Phase: Late decline or potential accumulation phase.
  • Evidence: Daily candles show a sequence of declining peaks (e.g., 9.571, 8.945) and troughs (e.g., 5.608, 5.683), with recent price action hovering near 5.7.

POSITION STRATEGY:

  • Direction: BUY (cautious, for a potential reversal bounce)
  • Building Zone: 5.60 - 5.80 for gradual accumulation.
  • Ideal Average Price: 5.70
  • Position Size: Quarter position to manage risk.
  • Timeframe: 2-4 weeks, dependent on trend confirmation.

MAJOR LEVELS:

  • Critical Support: 5.60 (historical low from data)
  • Critical Resistance: 6.50 (recent swing high)
  • Trend Invalidation: A break above 6.50 could signal a trend reversal to bullish.

LONG-TERM SCENARIOS:

  • Bull Case: If accumulation holds and buying pressure increases, price could target 6.50, 7.00, and higher towards previous highs.
  • Bear Case: If support at 5.60 breaks, downside targets could extend to 5.00 or lower.
  • Probability Assessment: The downtrend suggests a higher probability of bearish continuation, but oversold conditions and consolidation may support a short-term bounce.

RISK MANAGEMENT:

  • Position Stop: 5.50 (wide stop below key support)
  • Maximum Risk: 5% of capital per position.
  • Add-on Levels: Consider adding if price breaks above 6.00 with increased volume.
  • Exit Signals: Exit if price breaks below 5.50 or forms new lower lows, indicating downtrend resumption.

VOLUME & MOMENTUM: Daily volume shows spikes during declines (e.g., high volume at 9.571 peak), but recent volume is moderate. RSI at 56.02 is neutral, while OBV trends negative, indicating distribution. Accumulation signals are weak; confirmation requires sustained volume at support levels.