NEAR Protocol (NEAR)
4.95
8.24
-39.9%
Stage 2 (Uptrend)
Bullish factors: price > 50d, price > 200d, golden cross, 50d rising, MACD+, rising 1m & 3m, strong bull trend (ADX 70.3), vol 1.44x on up day, accumulation (OBV up, vol ratio 2.47)
Bearish factors: far below high
Low: 0.86
Now: 4.95
Technical Snapshot
| RSI (14) | 85.1 | ADX (14) | 70.3 |
| 50d MA | 2.35 | 200d MA | 1.87 |
| Price vs 50d | ▲ Above | Price vs 200d | ▲ Above |
| Support | 1.78 | Resistance | 4.88 |
| ATR Volatility | 7.59%/day | Trend | HOLD |
Crypto Performance Comparison
| Asset | 1 Month | 3 Months | 6 Months | 1 Year |
| NEAR | +127.9% | +174.0% | +228.8% | +182.8% |
| BTC | +6.0% | +31.7% | +9.0% | -11.2% |
| ETH | +9.6% | +44.8% | +26.6% | -18.6% |
| SOL | +15.1% | +58.9% | +37.8% | -18.3% |
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 | -1.8% | +136.0% | -59.9% | 55 | 44% |
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) | +182.8% | 26,705 |
| DCA — 4 buys | +199.7% | 44,958 |
| DCA — 6 buys | +170.5% | 40,569 |
| DCA — 12 buys | +195.5% | 44,326 |
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 | 2.99 (-39.5%) |
| Target 1 | 6.00 (21.2%) |
| Target 2 | 6.00 (21.2%) |
| Entry quality | Extended (R:R 0.58) |
| 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 |
| 2026-05-14 | 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% |
| 2026-08-21 | BUY | 1.97 | |
| 2026-09-18 | SELL | 3.76 | +91.4% |
Trend-following methodology: 50d/200d MA crossover + RSI filter + ADX regime gate
Data via Yahoo Finance / CoinGecko · Not financial advice. For educational purposes only.
targets at 16.00 and 26.00 both showing 21.2%? someone fat-fingered the template on this NEAR piece
caught that too lol. R:R of 0.58 says extended entry anyway so the targets barely matter here
lmao both targets showing 21.2% was my favorite part. at least the 2.99 stop gives the tranches a map even if the template math is sloppy
the 21.2% on both targets bug has shown up on a few of these deep dive templates now. stop at 2.99 is the only number on the page i actually trust rn
lmao the 21.2% glitch strikes again. honestly the 2.99 stop is doing all the real work on this deployment plan anyway
25% position, 25% cash buffer, deploy in 2 tranches. at least the 15k plan is not a straight yolo. HOLD feels right for NEAR
chain abstraction and user growth narratives only carry NEAR if daily actives hold above the Q2 base. without that this 4.95 is just midpoint noise between 1.97 and 8.24
HOLD with 9 bull factors is the right call imo. 50d rising but chasing a 2x at R:R 0.58 is how accounts die. waiting for the retest
9 bull factors vs 1 bear and the verdict is still WAIT lol. tbh fair, R:R 0.58 after that 1.97 to 3.76 run means you’re chasing if you buy here
agreed. trend is real but late. golden cross and both MAs rising is nice, -39.9% off the 8.24 high tho. waiting for a retest closer to 4.20
4.20 retest with a rising 50d is the patient play, but NEAR likes to grind sideways for weeks before giving anyone a clean entry. set the alert, forget the chart
adx 70.3 is basically a vertical move. adding now is just paying top tax
exactly, ADX that hot almost always mean reverts before continuation. 4.95 after the 1.97 run, id rather miss 10% of the move than buy the exhaustion candle
That +91.4% backtest trade looks great on paper, but the stop at 2.99 gives back a third of the move. Waiting for a tranche entry near the 50d makes more sense to me.
OBV accumulation with a 2.47 volume ratio and ADX 70.3 says the trend is strong, but R:R 0.58 after a 1.97 to 3.76 run says the easy part is over. Sitting on hands at 4.95.