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Trader Journals:::2026-08-24T10:35:14

#Bitcoin chart analysis

Macroeconomic Context & Order Flow Dynamics: Bitcoin (BTC) is trading at $77,590, sustaining aggressive upside momentum following a historic weekly surge that caught institutional desks off guard. Order flow has been heavily skewed toward aggressive spot accumulation and a massive wave of short liquidations, catalyzed by shifts in global fixed-income markets and aggressive US Treasury long-end buyback interventions. Macro sentiment reflects a sharp rotation into risk-correlated high-beta assets as sovereign bond yields retreat, easing broader liquidity constraints. Institutional desks indicate that digital asset portfolios are experiencing institutional re-weighting, transforming previous multi-week resistance clusters into a solid base for further structural expansion. Technical Breakdown & Indicator Confluence: On the technical front, Bitcoin is consolidating in a high-conviction breakout continuation setup just beneath immediate overhead ceilings. The primary support floor is well-established within the $75,400–$76,000 structural corridor, aligning with the rising 20-period exponential moving average. Overhead resistance is tightly bound at the $78,500 immediate threshold, with a heavier multi-month liquidity pool resting near the psychological $80,000 level.

#Bitcoin chart analysis

Price action continues to develop within an ascending channel boundary on the 4-hour timeframe, displaying healthy, controlled profit-taking rather than aggressive distribution. Momentum metrics confirm persistent bull control; the Relative Strength Index (RSI) hovers near 58.5, cooling off safely from prior overbought extremes and leaving ample headroom for a fresh push higher. Furthermore, prominent lower-wicks and bullish pin bars formed during minor intraday pullbacks toward the $77,000 sub-tier demonstrate robust institutional demand. This price action confirms that smart money is actively absorbing supply, setting the stage for an assault on primary overhead liquidity. TRADE SETUP & EXECUTION PLAN: Position Bias: Buy / Long Entry Price: $77,590 (Market Execution) Stop Loss (SL): $75,150 Take Profit (TP): $80,500 Market Rationale: This long setup capitalizes on structural continuation following an impulsive weekly recovery from multi-week ranges. Price action is utilizing localized consolidation to absorb order-book liquidity before an expansion toward the major $80,000 resistance pool.
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