BRIDGE_ORACLE Telegram 1285
πŸ“Š $S / USDT – Post-Crash Precision Setup
πŸ•’ Date: October 12, 2025
🧠 β€œIn aftershock markets, the first breakout belongs to the market maker. The second pays the patient.”

πŸ”Ή Current Market Context:
After a brutal liquidation event, price has stabilized between $0.176 – $0.184. This range represents a post-capitulation compression zone, where market makers reload and trap impatient traders.

βΈ»

🎯 Key Price Levels & Triggers:

Bullish Scenario:
β€’βœ… Confirmation: 4H candle closes above $0.1839
β€’πŸŽ― Targets:
β€’ T1 = $0.1892 (lower-high shelf)
β€’ T2 = $0.1947 (prior 4H supply zone)
β€’ T3 = $0.2030 (swing pivot)
β€’ Final Runner = ~$0.2200 (4H mid-band)

Bearish Scenario:
β€’βœ… Breakdown Trigger: 4H close below $0.1757
β€’πŸŽ― Targets:
β€’ T1 = $0.1680
β€’ T2 = $0.1614 (major support)
β€’ Final Panic Wick = $0.1385

βΈ»

πŸ“Œ Actionable Blueprint:
1.Do not front-run. Wait for 4H confirmation – traps are likely in the first move.
2.If $0.1839 flips on 4H close β†’ long bias becomes valid.
3.If $0.1757 breaks and retests from below β†’ short bias confirmed.
4.Critical level to monitor = $0.1802 (intermediate shelf – fakeouts likely here).
5.Tight stop-loss management required. Volatility remains elevated.

βΈ»

πŸ“ˆ Expected R:R Examples:
β€’Long from $0.184 β†’ $0.2030 = +10.3% | vs stop at $0.175 = βˆ’4.9%
β€’Short from $0.175 β†’ $0.1614 = βˆ’7.8% | vs stop at $0.1839 = βˆ’5%

βΈ»

πŸ’‘ Meta-Lesson for Traders:
Markets don’t crash randomly. They follow the scripts of human emotion.
After major crashes, the first breakout is usually fake. The real move comes later β€” after the weak hands are purged.

Stay calm. Trade structure, not emotion. Let price confirm your bias.

βΈ»

πŸ“Œ Risk Rating: ⚠️ High Volatility
➀ Suggested: Reduce position size, tighter risk.
➀ Ideal for: Swing setups, not scalping.

πŸ” Save this setup. Review the reaction to $0.1839 and $0.1757 closely.

@Neurashi
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πŸ“Š $S / USDT – Post-Crash Precision Setup
πŸ•’ Date: October 12, 2025
🧠 β€œIn aftershock markets, the first breakout belongs to the market maker. The second pays the patient.”

πŸ”Ή Current Market Context:
After a brutal liquidation event, price has stabilized between $0.176 – $0.184. This range represents a post-capitulation compression zone, where market makers reload and trap impatient traders.

βΈ»

🎯 Key Price Levels & Triggers:

Bullish Scenario:
β€’βœ… Confirmation: 4H candle closes above $0.1839
β€’πŸŽ― Targets:
β€’ T1 = $0.1892 (lower-high shelf)
β€’ T2 = $0.1947 (prior 4H supply zone)
β€’ T3 = $0.2030 (swing pivot)
β€’ Final Runner = ~$0.2200 (4H mid-band)

Bearish Scenario:
β€’βœ… Breakdown Trigger: 4H close below $0.1757
β€’πŸŽ― Targets:
β€’ T1 = $0.1680
β€’ T2 = $0.1614 (major support)
β€’ Final Panic Wick = $0.1385

βΈ»

πŸ“Œ Actionable Blueprint:
1.Do not front-run. Wait for 4H confirmation – traps are likely in the first move.
2.If $0.1839 flips on 4H close β†’ long bias becomes valid.
3.If $0.1757 breaks and retests from below β†’ short bias confirmed.
4.Critical level to monitor = $0.1802 (intermediate shelf – fakeouts likely here).
5.Tight stop-loss management required. Volatility remains elevated.

βΈ»

πŸ“ˆ Expected R:R Examples:
β€’Long from $0.184 β†’ $0.2030 = +10.3% | vs stop at $0.175 = βˆ’4.9%
β€’Short from $0.175 β†’ $0.1614 = βˆ’7.8% | vs stop at $0.1839 = βˆ’5%

βΈ»

πŸ’‘ Meta-Lesson for Traders:
Markets don’t crash randomly. They follow the scripts of human emotion.
After major crashes, the first breakout is usually fake. The real move comes later β€” after the weak hands are purged.

Stay calm. Trade structure, not emotion. Let price confirm your bias.

βΈ»

πŸ“Œ Risk Rating: ⚠️ High Volatility
➀ Suggested: Reduce position size, tighter risk.
➀ Ideal for: Swing setups, not scalping.

πŸ” Save this setup. Review the reaction to $0.1839 and $0.1757 closely.

@Neurashi

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