SOLUSD long — 6 Sep 2026 (hit target)
This long on SOLUSD entered at 104.2747 and hit its target at 106.9 after 52 minutes, closing at +2.52%.
| Asset | SOLUSD |
| Direction | long |
| Issued (UTC) | 2026-09-06 02:46 |
| Entry | 104.2747 |
| Stop-loss | 102.05 |
| Take-profit 1 | 105.8499 |
| Take-profit 2 (stretch) | 106.9 |
| Reward:risk at entry | 1.18 |
| Outcome | hit its target |
| Close price | 106.9 |
| Realized P&L | +2.52% |
| Time open | 52 minutes |
What the model saw at issue time
AI-generated analysis, written before the outcome was known. Quoted verbatim, never edited after the close.
1. REGIME READ: MTF mixed (5m/15m/4h bull EMA, 1h mixed), 1h ADX 25.8 slope +2.2 (rising, genuine trend edge), ER10 0.21 / ER30 0.30 (path nets modestly), choppiness 55, Hurst 0.47, HMM calm 0.9999 — a low-vol (RV 24h pctile 7%) transitional tape with a firm recovery bid. 2. LEAN CHECK: modest-to-clear long lean — price +2.3% 24h, net +0.87% 4h / +2.27% 24h, top-traders heavily long (pos ratio 2.49), taker 1.11, Fear&Greed 73. 3. DIRECTIONAL THESIS: strongest cluster is trend-aligned momentum — 3 of 4 TFs bull EMA with rising 1h ADX, top-trader positioning heavily long and edging up (4h chg +0.036), agg OI +0.63% expanding into the up-move, price pressing the 5d high (-0.98%). 4. PRE-MORTEM: OI momentum reads accelerating_down and recent-half OI -0.66% while 1h EMA still mixed — a rejection at the 5d high with OI bleeding would invalidate the recovery. 5. LEVEL PLACEMENT: entry 104.27; stop below the recent swing/consolidation at 102.05 (~2.13% risk, near the 24h realized range); stretch TP at 106.90 (~2.52% ≈ 1.18x risk) targeting a clean break of the 5d high — inside 1.5x/4% clamps. 6. EXPECTATION: low realized vol tempers traversal, so meaningful expire share.
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