BTC/USDT: Sector Momentum and Decision Zone Ahead of the Fed

63
__________________________________________________________________________________

Technical Overview – Summary Points
➤ Strong multi-timeframe bullish momentum, confirmed by the Risk On / Risk Off Indicator signaling “Strong Buy” across all timeframes (daily, 12H, 6H, 4H down to intraday).
➤ Major supports (102,600–104,250 $) act as the market’s anchor; the 105,800–106,100 $ resistance remains the key level to break for a confirmed further bullish leg.
➤ Volumes are weak to normal, with no recent distribution, climax, or panic/extreme behavior (ISPD DIV neutral); market remains rational.
➤ Short-term TFs (1H, 2H) are more hesitant—favoring consolidation/range, suitable for scalping or risk management rather than directional breakout trades.

__________________________________________________________________________________

Strategic Summary
➤ Dominant bullish technical context, but facing key resistance, with macro and on-chain signaling for active caution.
➤ Opportunity: Buying pullbacks on 104,250–102,600 $, targeting extension if clean breakout above 106,100 $. Partial profit-taking into the 110–111k $ highs.
➤ Risk zone: Invalidation if there is a decisive break <102,000 $ or major red volume climax on failed resistance retest.
➤ Key catalysts this week: Fed/FOMC decision, major geopolitical events.
➤ Plan: Favour methodical accumulation pre-Fed, reinforce/swing post-announcement according to technical resolution.

__________________________________________________________________________________

Multi-Timeframe Analysis
  • 1D: Trading below broad 105,800–111,000 $ resistance, Risk On / Risk Off Indicator strongly positive, normal volumes, no euphoria (ISPD DIV neutral). Healthy structure, upward bias confirmed.
  • 12H/6H: Consolidation at major support; recent rebounds from 102–104k, no exhaustion signals. MTFTI Up but 2H-1H corrective divergence.
  • 4H/2H: Range market, major supports defended, no breakout yet. MTFTI locally Down, indicating mild internal corrective dynamic.
  • 1H/30min/15min: Intraday range, technical micro-bounces, weak directional bias, moderate volumes, no abnormal behavior. Scalping preferred below resistance, rigorous risk management.
  • Risk On / Risk Off Indicator: Strong aligned buy signal across all TFs, sector environment supportive.


__________________________________________________________________________________

Multi-Timeframe Key Points Summary
  • Strong bullish market, behavioral and technical stability.
  • Breakout >106,100 $ = legitimate bullish extension, 110k+ target.
  • Invalidation below 102k $: go to cash, wait for stabilization.
  • Volatility expected around (Fed/geopolitical) events: adjust sizing/stops accordingly.


__________________________________________________________________________________

Fundamental, Macro & On-Chain Analysis
  • Fed (FOMC June 17–18): Major breakout/volatility catalyst.
  • Geopolitical tensions (Israel/Iran): Risk-off spikes expected, watch liquidity zones.
  • On-chain: Key support at 100–102k $; no major distribution, long-term holders remain strong, options/futures point to underpriced volatility risk.
  • Strategy: Prefer gradual accumulation on supports, reduce exposure pre-Fed, confirm new swings post-FOMC.


__________________________________________________________________________________

Action Plan Summary
  • Accumulate on pullback 104,250–102,600 $, stop below 101,900 $.
  • Breakout >106,100 $: Target 110k–111k $, partial TP, monitor volume/volatility.
  • Avoid overtrading pre-FOMC or amid major geopolitical news.
  • Risk/Reward >2 on pullback – strict management mandatory.


__________________________________________________________________________________

Conclusion & Context Mastery
The market remains structurally bullish and supported by the combination of technical, sector and on-chain factors. However, macro/geopolitical volatility requires increased caution as the FOMC approaches. Focus on support entries, avoid chasing resistance until confirmed, and apply tight stops in this catalyst-rich context.

__________________________________________________________________________________

Penafian

Maklumat dan penerbitan adalah tidak dimaksudkan untuk menjadi, dan tidak membentuk, nasihat untuk kewangan, pelaburan, perdagangan dan jenis-jenis lain atau cadangan yang dibekalkan atau disahkan oleh TradingView. Baca dengan lebih lanjut di Terma Penggunaan.