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AAVE price action and liquidation tone
I’m sharing my take on AAVE after a recent long liquidation event, with an average entry around 289.26 and a total position size of roughly $128,228. The liquidation indicates a strong adverse move that triggered selling pressure, suggesting risk tolerance is stretched and momentum shifted bearish for the near term. The capital at risk is substantial, and the current state reflects pressure via liquidations rather than new bullish catalysts. If holding, consider risk controls or trimming exposure to manage downside and protect capital; if seeking new entries, look for clear signs of stabilization around support zones and improving market structure before sizing up. watchers should monitor grip of liquidity and any turning indicators such as bullish reversals, decreasing funding rates, or macro tailwinds that could reboot demand for AAVE. Overall, this paints a cautious to bearish short- to mid-term outlook unless new positive catalysts emerge.
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Analysis
The report shows a sizable long liquidation on AAVE, implying that traders who previously bought at higher levels were forced to exit as the price moved unfavorably. An average price of 289.26 with a ...
Recommendation
Recommendation: Given the current liquidation-driven weakness, maintain a defensive stance. For existing holders, avoid large new long bets until there are signs of stabilization and a higher probabil...
Disclaimer
The Analysis and recommendations provided are for informational purposes only. Any investment decisions should be made at your own risk. Past performance is not indicative of future results. Always conduct your own research and consider consulting with a financial advisor before making any investment decisions.