NEAR Protocol (NEAR)
1.80
8.24
-78.1%
Stage 1 (Bottoming)
Bullish factors: price > 200d, golden cross
Bearish factors: price < 50d, 50d falling, MACD-, RSI weak (41.0), falling 1m & 3m, far below high, distribution (OBV down, vol ratio 0.79)
Low: 0.86
Now: 1.80
Technical Snapshot
| RSI (14) | 41.0 | ADX (14) | 10.6 |
| 50d MA | 1.99 | 200d MA | 1.58 |
| Price vs 50d | ▼ Below | Price vs 200d | ▲ Above |
| Support | 1.74 | Resistance | 2.11 |
| ATR Volatility | 5.45%/day | Trend | HOLD |
Crypto Performance Comparison
| Asset | 1 Month | 3 Months | 6 Months | 1 Year |
| NEAR | -10.3% | -24.6% | +24.2% | -20.2% |
| BTC | +1.2% | -16.4% | -13.0% | -30.1% |
| ETH | +5.4% | -10.5% | -19.0% | -37.9% |
| SOL | -8.1% | -12.2% | -21.0% | -42.8% |
Trend-Following Backtest
2-year simulation of 15,000 using 50d/200d MA crossover + RSI filter. Buy when price > 50d MA (rising) + RSI 40-75. Sell on death cross or RSI > 82.
Strategy vs Buy & Hold
| Asset | Strategy | Buy & Hold | Max DD | Trades | Win Rate |
| NEAR | -48.7% | -43.6% | -59.2% | 54 | 43% |
DCA vs Lump Sum (NEAR)
If you had deployed 15,000 using different timing strategies over the past year.
| Strategy | Return | Value Today |
| Lump Sum (1y ago) | -20.2% | 9,149 |
| DCA — 4 buys | -1.9% | 14,718 |
| DCA — 6 buys | -7.5% | 13,873 |
| DCA — 12 buys | +1.8% | 15,276 |
NEAR Deployment Plan — 15,000 Portfolio
Analysis by Tomas Novak (Momentum / Swing Trader). If you’re managing a 15,000 crypto allocation, here’s the plan:
| Position size | 3,750 (25% of portfolio) |
| Stop loss | 1.61 (-10.9%) |
| Target 1 | 2.00 (10.8%) |
| Target 2 | 2.00 (10.8%) |
| Entry quality | Pullback |
| Max concurrent positions | 4 |
Cash reserve: keep 25% buffer. Deploy in 2 tranches. Portfolio style: Momentum / Swing Trader.
Backtest Trade Log
| Date | Action | Price | P&L |
| 2026-05-12 | BUY | 1.60 | |
| 2026-05-13 | SELL | 1.58 | -1.5% |
| 2026-05-14 | BUY | 1.57 | |
| 2026-05-15 | SELL | 1.54 | -1.8% |
| 2026-05-16 | BUY | 1.50 | |
| 2026-05-17 | SELL | 1.51 | +0.5% |
| 2026-05-18 | BUY | 1.62 | |
| 2026-05-19 | SELL | 1.60 | -1.4% |
| 2026-05-20 | BUY | 1.70 | |
| 2026-05-21 | SELL | 1.92 | +13.2% |
| 2026-05-26 | BUY | 2.54 | |
| 2026-06-23 | SELL | 1.98 | -22.2% |
Trend-following methodology: 50d/200d MA crossover + RSI filter + ADX regime gate
Data via Yahoo Finance / CoinGecko · Not financial advice. For educational purposes only.
HOLD rating with 7 bearish factors and 2 bullish ones? at that ratio just call it what it is, a avoid. 78% drawdown doesnt bottom in a week
support at 1.74 held on the last wick, RSI at 41 is oversold adjacent. not saying aped in but bottoming thesis isnt crazy here
DCA with 12 buys actually returned +1.8% tho. lump sum got annihilated at -20%. timing matters even for dead coins
DCA outperforming doesnt mean the asset is good, it just means your entries averaged down a falling knife. strategy still did -48.7%
DCA returning +1.8% vs lump sum at -20% proves timing matters even for dead bags. the strategy works but the asset is still down 78% from ATH either way
The DCA math checks out but a 1.8% return over that stretch barely beats a savings account. You timed the entries well, the asset just never showed up.
the savings account comparison is brutal because its accurate. 12 entries of effort, full drawdown risk, +1.8 percent. the plan worked and the asset still lost
krona_kev the plan gets an A and the portfolio gets an F. DCA grading itself on effort while the bag bleeds 78 percent is the most honest thing about these deployment systems
effort based grading for a 78 percent drawdown is exactly it. same energy as my 2021 algo bag, the spreadsheet was beautiful and the account was on fire
78% drawdown and they still call it HOLD. near at 1.80 is dead money until they ship something people actually use. nightshade sharding has been 6 months away for 3 years
nightshift_dev nightshade sharding being 6 months away for 3 years is painfully accurate. NEAR ships good dev tooling but the scaling roadmap timeline keeps slipping
nightshift_dev nightshade sharding being 6 months away for 3 years running is the most accurate critique of NEAR. dev tooling is genuinely good though
RSI at 41 with OBV declining is not bottoming its just bleeding slower. i held near from 4 bucks and sold at 2.20. wish i sold at 4
2 bull factors vs 7 bear and the call is HOLD not SELL? feels like the system needs a recalc. near has been congesting at 1.70-1.90 for weeks with no volume
2 bullish factors vs 7 bearish and the rating is HOLD not SELL. the system needs recalibration. 78% drawdown with declining OBV is not a hold scenario
Daniela R. 7 bearish factors and HOLD is generous. my quant screen would slap a SELL on anything with 78% drawdown and declining OBV. system needs a reset
oleg_42 7 bearish factors and still HOLD is generous. any quant model would scream SELL at 78% drawdown with declining OBV. system needs recalibration badly
52W high at 8.24 and current price 1.80. thats not a hold thats a lesson in cutting losses early
agree. held from 6 bucks down to 1.80 telling myself the 15k deployment plan makes it ok. at some point a hold is just cope with a spreadsheet
6 bucks to 1.80 is the ride i took on algo. the spreadsheet is how we rationalize not cutting at the first lower high
stage 1 bottoming label with declining OBV is doing a lot of heavy lifting here. every dead l1 gets the same accumulation zone chart until it isnt
rsi 41 with support at 1.74 holding twice is a range trade at best. the hold rating implies something catalyst shaped and nothing is coming
candle_stub_ every catalyst on this chart is a roadmap item with a slipped date attached. range trade is generous, its just waiting