As of May 22, 2026, SE (Sea Ltd.) is in a bottoming attempt state on the daily chart, with a confidence level of 63%. Key support is at $80.0 and key resistance at $90.0. Price ~$87.27 is basing after a sharp selloff, holding above ~$80 support while still below falling EMA50 (~$90.05) and EMA100 (~$100.37).
Base continues to firm; price grinds up and reclaims EMA50 (~$90) then pushes into the next overhead supply near $100 (EMA100/SMA100 zone).
Failed reclaim at ~$90; price rolls over and retests the base floor, with risk of a breakdown to the next demand band below $80.
2+ daily closes above $90.05 (EMA50) and then a hold above $85.50 on pullback
Daily close below $79.50 (break of the base/swing low reference)
Start near mid-base/value (SMA50/EMA20 area), add at structural support ~$80, heavy add only on capitulation-style flush toward prior demand/likely fib extension zone.
Trim into major moving-average resistance clusters (EMA100/EMA200/SMA200) and prior distribution zone; close into the prior peak supply area if a full cycle recovery occurs.
As of May 22, 2026, SE (Sea Ltd.) is in a bottoming attempt state on the daily chart with 63% confidence. Price ~$87.27 is basing after a sharp selloff, holding above ~$80 support while still below falling EMA50 (~$90.05) and EMA100 (~$100.37).
On the daily timeframe, SE has key support at $80.0 and key resistance at $90.0. The most likely scenario (bullish) targets $90.0 and $100, with a revert level at $85.5.
SE (Sea Ltd.) is currently classified as bottoming attempt on the daily chart, with 63% confidence. Confirmation requires: 2+ daily closes above $90.05 (EMA50) and then a hold above $85.50 on pullback This would be invalidated by: Daily close below $79.50 (break of the base/swing low reference)
The most likely scenario (bullish) targets $90.0 and $100, with a revert level at $85.5. The alternative scenario (bearish) targets $80.0 and $72.0.
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