Monero (XMR)
529.99
798.91
-33.7%
Stage 2 (Uptrend)
Bullish factors: price > 50d, price > 200d, golden cross, 50d rising, MACD+, rising 1m & 3m, strong bull trend (ADX 53.6), breakout above upper band, vol 2.16x on up day, accumulation (OBV up, vol ratio 2.24)
Bearish factors: far below high
Low: 135.40
Now: 529.99
Technical Snapshot
| RSI (14) | 83.5 | ADX (14) | 53.6 |
| 50d MA | 380.33 | 200d MA | 357.65 |
| Price vs 50d | ▲ Above | Price vs 200d | ▲ Above |
| Support | 346.74 | Resistance | 529.99 |
| ATR Volatility | 4.56%/day | Trend | HOLD |
Crypto Performance Comparison
| Asset | 1 Month | 3 Months | 6 Months | 1 Year |
| XMR | +40.6% | +69.5% | +50.0% | +12.4% |
| BTC | +20.3% | +30.3% | +2.9% | -11.9% |
| ETH | +27.2% | +55.0% | +5.2% | -18.8% |
| SOL | +35.2% | +45.9% | +20.4% | -18.5% |
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 |
| XMR | +43.6% | +155.7% | -51.0% | 64 | 45% |
DCA vs Lump Sum (XMR)
If you had deployed 15,000 using different timing strategies over the past year.
| Strategy | Return | Value Today |
| Lump Sum (1y ago) | +12.4% | 30,722 |
| DCA — 4 buys | +58.4% | 23,753 |
| DCA — 6 buys | +56.4% | 23,467 |
| DCA — 12 buys | +50.6% | 22,588 |
XMR 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 | 411.93 (-22.3%) |
| Target 1 | 590.00 (11.3%) |
| Target 2 | 627.00 (18.3%) |
| Entry quality | Extended (R:R 0.61) |
| 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 |
| 2026-08-07 | BUY | 377.90 | |
| 2026-08-08 | SELL | 377.06 | -0.2% |
| 2026-08-09 | BUY | 394.69 | |
| 2026-08-10 | SELL | 396.81 | +0.5% |
| 2026-08-11 | BUY | 377.19 | |
| 2026-08-12 | SELL | 392.43 | +4.0% |
| 2026-08-13 | BUY | 393.51 | |
| 2026-08-14 | SELL | 399.43 | +1.5% |
| 2026-08-15 | BUY | 410.36 | |
| 2026-08-16 | SELL | 409.80 | -0.1% |
| 2026-08-17 | BUY | 415.66 | |
| 2026-08-31 | SELL | 529.99 | +27.5% |
Trend-following methodology: 50d/200d MA crossover + RSI filter + ADX regime gate
Data via Yahoo Finance / CoinGecko · Not financial advice. For educational purposes only.
RSI at 83.5 and the call is WAIT instead of another degen buy signal. refreshingly honest from this engine
honestly the funnier part is their own backtest returning +43.6% while plain buy and hold did +155.7%. monero does not care about your 50d MA
+155.7% hold vs +43.6% system on a privacy coin is brutal. monero punishes anyone who trades it like a normal altchart
+43.6 vs +155.7 is the funniest honest stat this site has published. most systems would bury that backtest
that stat is also a marketing problem. who keeps publishing a system that trails buy and hold by 100 points, honestly good on them
publishing the ugly backtest is why i actually read these. every signal seller on x would have photoshopped that +43.6 into +250
honest backtest is the whole brand at this point. +43.6 vs +155.7 printed in public, no signal seller survives publishing that
+43.6 vs +155.7 hurts but at least it is real. most backtests in this space are pure fiction with a chart attached
RSI at 83.5 and they still call it a hold. After the run from 346 support I would not want to be the last buyer in before an air pocket.
air pocket is right. 798 high down to 529 and 2.16x volume on an up day smells like distribution not breakout
2.16x volume into an up day right after a 269 dollar air pocket drop, yeah that reads like exit liquidity being manufactured
2.16x volume right after the air pocket drop, agreed something smells. either a real breakout or one last distribution candle
xmr +40% in a month and the signal is WAIT. respect it tbh, most of these analyses would just say buy the breakout at 530
the DCA table is the real takeaway. 4 buys got +58.4% vs +12.4% lump sum, same coin, same year
the DCA edge only shows up if you actually keep buying through the drawdowns. most people here would stop after buy 2 the moment it dips under 450
guilty of exactly this in may. skipped buys 3 and 4, watched the +58.4% line happen without me
skipped buy 3 in may too lol. the table does not lie, four buys beat lump sum by 46 points and i watched from the bench
346 support held twice this year and the call is WAIT at 529, fine. but the moment it tags 600 everyone in this thread flips bullish, guaranteed
the 600 tag flips this thread instantly, you are right. same people WAIT-pilling now will post 800 targets with zero irony next week
RSI 83.5 after a run off 346 and the call is still WAIT. holding through that takes more discipline than the buy signal crowd has
discipline or just inertia lol. half the hold crowd is people too underwater from 700 averages to sell, calling it conviction
guilty as charged. my xmr conviction is a 690 average with good branding. still not selling tho
wait call at rsi 83.5 after the run off 346 is what keeps you out of the top of the air pocket. discipline is the whole edge on xmr
15k deployment while CEXs keep pretending xmr does not exist. the analysis is fine, venue risk is the real variable nobody prices