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BROCCOLI714 has gained 20% in the past 24 hours, looking very promising, but I have to be honest—the hidden risks behind this are frightening.
A close look at the 1-hour chart makes it clear—it's already turning down, with trading volume plummeting by 98%, which is a typical sign of liquidity exhaustion. Simply put, buying pressure is rapidly fading. Chasing long positions within this time frame carries an extremely high risk.
What’s the worst-case scenario? If 0.02 is truly a short-term top, then a complete retracement of the gains is entirely possible. The 4-hour RSI is still holding on, but the 1-hour MACD is already showing signs of a bearish crossover—the histogram turning negative, indicating that momentum is clearly waning. Upward movement is being stifled by volume-driven stagnation, and downward movement lacks solid support levels. This risk-reward ratio is simply unacceptable.
My decision is straightforward: **Wait and see**.
The current price level and the volume-price structure are not tradable at all. I am waiting for one of two signals. The first: a strong breakout above the previous high followed by stabilization, confirming a trend reversal. The second: a deep correction back to the volume-driven breakout point, which would be the place to look for value support.
The most important thing now is to manage positions carefully, hold cash, and continue to observe with a cool head. Better to miss some gains than to get caught in the wrong position.