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Raji_bul

Trade Setups are my Personal Opinions ||. #DYOR
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$POWER really said "new year new me 🚀" then quietly went back to 0.14 no explanation. no apology. nothing 😂
$POWER really said
"new year new me 🚀"
then quietly went back to 0.14
no explanation. no apology. nothing 😂
$FLOW 15M – Bullish Trend With Higher-Low Structure 📈 Scalping Trade Plan (15M) Long Entry (Pullback Zone): 0.0405 – 0.0415 Stop Loss:0.0392 TP1:0.0441 TP2:0.0465 TP3:0.0490 If price closes below 0.0392, bullish structure weakens. Market already cooled after first pump — continuation possible if buyers defend support. Buy pullbacks, avoid chasing spikes. 💰📊
$FLOW 15M – Bullish Trend With Higher-Low Structure 📈
Scalping Trade Plan (15M)
Long Entry (Pullback Zone):
0.0405 – 0.0415
Stop Loss:0.0392
TP1:0.0441
TP2:0.0465
TP3:0.0490

If price closes below 0.0392, bullish structure weakens.
Market already cooled after first pump — continuation possible if buyers defend support.
Buy pullbacks, avoid chasing spikes. 💰📊
🔥 🚀$SIGN (1H) — Strong Momentum After Bullish Breakout... After a powerful expansion move from 0.03 → 0.053, the market is now consolidating near the highs, which often signals potential continuation after liquidity buildup. 🟢 Long Setup (Preferred) Entry:0.046 – 0.048 demand SL:0.043 TP1:0.053 TP2:0.056 TP3:0.060
🔥 🚀$SIGN (1H) — Strong Momentum After Bullish Breakout...
After a powerful expansion move from 0.03 → 0.053, the market is now consolidating near the highs, which often signals potential continuation after liquidity buildup.
🟢 Long Setup (Preferred)
Entry:0.046 – 0.048 demand
SL:0.043
TP1:0.053
TP2:0.056
TP3:0.060
🔥 $UAI — Bullish Continuation After Impulsive BOS Current Price: 0.307 After a strong expansion from 0.22 → 0.31, price is now consolidating near the highs, indicating bullish continuation potential. 🟢 Long Setup (Preferred) Entry:0.29 – 0.295 SL:0.276 TP1:0.315 TP2:0.330 TP3:0.350 Market is bullish after a strong BOS and liquidity build-up. If 0.295 demand holds, next move could target: 0.315 → 0.33 liquidity 🚀
🔥 $UAI — Bullish Continuation After Impulsive BOS
Current Price: 0.307
After a strong expansion from 0.22 → 0.31, price is now consolidating near the highs, indicating bullish continuation potential.

🟢 Long Setup (Preferred)
Entry:0.29 – 0.295
SL:0.276
TP1:0.315
TP2:0.330
TP3:0.350

Market is bullish after a strong BOS and liquidity build-up.
If 0.295 demand holds, next move could target:
0.315 → 0.33 liquidity 🚀
🔥📉$JELLYJELLY (1H) — Liquidity Sweep & Sharp Reversal Current Price: 0.0818 After a strong impulsive rally to 0.115, the market performed a buy-side liquidity sweep and then dumped aggressively, creating a sharp bearish move. 🔴 Short Setup (Preferred) Entry:0.088 – 0.095 SL:0.105 TP1:0.080 TP2:0.075 TP3:0.070 Market did a classic liquidity sweep at 0.115 and is now in a bearish correction phase. If 0.095 supply rejects, next target likely: 0.078 → 0.075 liquidity 📉
🔥📉$JELLYJELLY (1H) — Liquidity Sweep & Sharp Reversal
Current Price: 0.0818
After a strong impulsive rally to 0.115, the market performed a buy-side liquidity sweep and then dumped aggressively, creating a sharp bearish move.

🔴 Short Setup (Preferred)
Entry:0.088 – 0.095
SL:0.105
TP1:0.080
TP2:0.075
TP3:0.070

Market did a classic liquidity sweep at 0.115 and is now in a bearish correction phase.
If 0.095 supply rejects, next target likely:
0.078 → 0.075 liquidity 📉
🔥📈🚀 $SIREN (1H) — Post-Pump Consolidation Near Demand.. After the strong impulsive move to 0.548, price is now cooling down and forming a sideways consolidation above demand. Market is deciding the next direction. 🟢 Long Setup (Preferred) Entry:0.44 – 0.45 demand SL:0.41 TP1:0.50 TP2:0.548 TP3:0.60 🔴 Short Setup (If Rejection) Entry:0.50 – 0.52 supply SL:0.56 TP:0.45 Market is cooling after a liquidity sweep at 0.548. If 0.44 demand holds, next move could target: 0.50 → 0.548 liquidity 🚀
🔥📈🚀 $SIREN (1H) — Post-Pump Consolidation Near Demand..
After the strong impulsive move to 0.548, price is now cooling down and forming a sideways consolidation above demand. Market is deciding the next direction.

🟢 Long Setup (Preferred)
Entry:0.44 – 0.45 demand
SL:0.41
TP1:0.50
TP2:0.548
TP3:0.60

🔴 Short Setup (If Rejection)
Entry:0.50 – 0.52 supply
SL:0.56
TP:0.45

Market is cooling after a liquidity sweep at 0.548.
If 0.44 demand holds, next move could target:
0.50 → 0.548 liquidity 🚀
🔥📈🚀 $BARD (1H) — Pullback After Buy-Side Liquidity Sweep.. After a strong rally, price swept buy-side liquidity at 1.73 and now entering a corrective pullback phase. 🧠 Market Structure.. Strong bullish impulse 1.05 → 1.73. Liquidity grab above highs.Now forming lower highs on lower timeframe. 🟢 Long Setup (Preferred) Entry:1.40 – 1.45 demand SL:1.33 TP1:1.65 TP2:1.73 TP3:1.90 🔴 Short Setup (Scalp) Entry:Rejection near 1.60 SL:1.72 TP:1.45 Market currently correcting after liquidity sweep at 1.73. If 1.40 demand holds, next move could target: 1.65 → 1.73 liquidity 🚀
🔥📈🚀 $BARD (1H) — Pullback After Buy-Side Liquidity Sweep..
After a strong rally, price swept buy-side liquidity at 1.73 and now entering a corrective pullback phase.
🧠 Market Structure..
Strong bullish impulse 1.05 → 1.73. Liquidity grab above highs.Now forming lower highs on lower timeframe.

🟢 Long Setup (Preferred)
Entry:1.40 – 1.45 demand
SL:1.33
TP1:1.65
TP2:1.73
TP3:1.90

🔴 Short Setup (Scalp)
Entry:Rejection near 1.60
SL:1.72
TP:1.45

Market currently correcting after liquidity sweep at 1.73.
If 1.40 demand holds, next move could target:
1.65 → 1.73 liquidity 🚀
🔥📈🚀$RIVER (1H) — Strong Bullish Reversal After Sell-Side Liquidity Sweep.. Market previously swept sell-side liquidity at 13.61 and now delivered a strong bullish reversal rally... 🧠 Market Structure.. Massive dump → sell-side liquidity sweep (13.61)..Strong impulsive move upward.. Now printing Higher Highs & Higher Lows 🟢 Long Setup (Momentum) Entry:Break above 20.40 SL:18.90 TP1:21.80 TP2:23.50 TP3:25.00 🔴 Short Setup (Scalp) Entry:Rejection near 21.50 SL:22.50 TP:19.00 Market already swept major sell liquidity (13.6). Momentum currently very strong. If 20.40 breaks, next liquidity target could be: 21.8 → 23.5 🚀
🔥📈🚀$RIVER (1H) — Strong Bullish Reversal After Sell-Side Liquidity Sweep..
Market previously swept sell-side liquidity at 13.61 and now delivered a strong bullish reversal rally...
🧠 Market Structure..
Massive dump → sell-side liquidity sweep (13.61)..Strong impulsive move upward..
Now printing Higher Highs & Higher Lows

🟢 Long Setup (Momentum)
Entry:Break above 20.40
SL:18.90
TP1:21.80
TP2:23.50
TP3:25.00

🔴 Short Setup (Scalp)
Entry:Rejection near 21.50
SL:22.50
TP:19.00

Market already swept major sell liquidity (13.6).
Momentum currently very strong.
If 20.40 breaks, next liquidity target could be:
21.8 → 23.5 🚀
$ZEC (1H) Bearish Structure After Liquidity Sweep... After a strong rally, price swept buy-side liquidity at 251 and then started a steady bearish correction.. 🧠 Market Structure Strong bullish impulse 215 → 251..Liquidity taken above highs. Now forming lower highs + lower lows 🔴 Short Setup (Preferred) Entry:232 – 236 supply SL:242 TP1:222 TP2:215 TP3:208 Market currently in corrective bearish phase after liquidity sweep. If 220 breaks, next liquidity target could be: 215 → 208 📉
$ZEC (1H) Bearish Structure After Liquidity Sweep...
After a strong rally, price swept buy-side liquidity at 251 and then started a steady bearish correction..
🧠 Market Structure
Strong bullish impulse 215 → 251..Liquidity taken above highs. Now forming lower highs + lower lows
🔴 Short Setup (Preferred)
Entry:232 – 236 supply
SL:242
TP1:222
TP2:215
TP3:208

Market currently in corrective bearish phase after liquidity sweep.
If 220 breaks, next liquidity target could be:
215 → 208 📉
$ANKR 15M – Explosive Breakout, Short-Term Overextension 🚀 Massive impulse from 0.00410 base → vertical breakout to 0.00526 with strong volume expansion. Scalping Trade Plan (15M)... Long Entry (Pullback Zone): 0.00480 – 0.00500 Stop Loss:0.00455 TP1:0.00526 TP2:0.00550 TP3:0.00585 ⚠️ If price drops below 0.00455, momentum likely cools into deeper correction.
$ANKR 15M – Explosive Breakout, Short-Term Overextension 🚀
Massive impulse from 0.00410 base → vertical breakout to 0.00526 with strong volume expansion.
Scalping Trade Plan (15M)...
Long Entry (Pullback Zone):
0.00480 – 0.00500
Stop Loss:0.00455
TP1:0.00526
TP2:0.00550
TP3:0.00585

⚠️ If price drops below 0.00455, momentum likely cools into deeper correction.
$AGT 15M – Bullish Structure Holding After Liquidity Sweep 📈 Strong move from 0.00585 forming higher highs before rejection at 0.00695. Sharp wick down looks like a liquidity grab, Scalping Trade Plan (15M)... Long Entry (Support Zone): 0.00650 – 0.00662 Stop Loss:0.00630 TP1:0.00695 TP2:0.00720 TP3:0.00760 If price closes below 0.00630, bullish structure weakens.
$AGT 15M – Bullish Structure Holding After Liquidity Sweep 📈
Strong move from 0.00585 forming higher highs before rejection at 0.00695.
Sharp wick down looks like a liquidity grab,

Scalping Trade Plan (15M)...
Long Entry (Support Zone):
0.00650 – 0.00662
Stop Loss:0.00630
TP1:0.00695
TP2:0.00720
TP3:0.00760

If price closes below 0.00630, bullish structure weakens.
$ALLO (1H) — Liquidity Sweep → Bearish Pullback.. Market rallied strongly and then grabbed buy-side liquidity near 0.125, followed by a sharp rejection. 🧠 Market Structure.. Strong bullish impulse 0.100 → 0.124.. Liquidity taken at 0.1248..Current move = pullback / correction 🟢 Long Setup (Preferred) Entry:0.108 – 0.110 demand SL:0.104 TP1:0.120 TP2:0.125 TP3:0.132 🔴 Short Setup (Scalp) Entry: Rejection near 0.120 SL:0.126 TP:0.112 → 0.108 Market currently correcting after liquidity grab. If 0.110 demand holds, next move likely targets: 0.120 → 0.125 liquidity 🚀
$ALLO (1H) — Liquidity Sweep → Bearish Pullback..
Market rallied strongly and then grabbed buy-side liquidity near 0.125, followed by a sharp rejection.
🧠 Market Structure..
Strong bullish impulse 0.100 → 0.124..
Liquidity taken at 0.1248..Current move = pullback / correction

🟢 Long Setup (Preferred)
Entry:0.108 – 0.110 demand
SL:0.104
TP1:0.120
TP2:0.125
TP3:0.132

🔴 Short Setup (Scalp)
Entry:
Rejection near 0.120
SL:0.126
TP:0.112 → 0.108

Market currently correcting after liquidity grab.
If 0.110 demand holds, next move likely targets:
0.120 → 0.125 liquidity 🚀
🔥📈🚀 $SIREN (1H) — Bullish Structure Holding After Pullback.. After the strong pump, price is now cooling down and forming a healthy consolidation. 🧠 Market Structure.. Long consolidation around 0.35 – 0.40 Strong impulsive breakout created Bullish BOS..Price pulled back from 0.548 liquidity 🟢 Long Setup (Preferred) Entry:0.44 – 0.46 demand SL:0.41 TP1:0.55 TP2:0.60 TP3:0.68 🔴 Short Setup (Scalp) Entry:Rejection near 0.53 – 0.55 SL:0.57 TP:0.46 Market just did a liquidity grab at 0.548. If 0.46 demand holds, next move likely targets: 0.55 → 0.60 liquidity 🚀
🔥📈🚀 $SIREN (1H) — Bullish Structure Holding After Pullback..
After the strong pump, price is now cooling down and forming a healthy consolidation.
🧠 Market Structure..
Long consolidation around 0.35 – 0.40
Strong impulsive breakout created Bullish BOS..Price pulled back from 0.548 liquidity

🟢 Long Setup (Preferred)
Entry:0.44 – 0.46 demand
SL:0.41
TP1:0.55
TP2:0.60
TP3:0.68
🔴 Short Setup (Scalp)
Entry:Rejection near 0.53 – 0.55
SL:0.57
TP:0.46

Market just did a liquidity grab at 0.548.
If 0.46 demand holds, next move likely targets:
0.55 → 0.60 liquidity 🚀
The Market Thinks This Is Chaos. I See a Free Trade.I've watched this happen more times than I can count. $BTC gets volatile. Correlated assets that normally move together suddenly go out of sync. $ETH drops 8%. Its L2 token drops 3%. That gap between them? That's not noise — that's an opportunity with a timer on it. The setup is simple in theory: long the lagging asset, short the one that moved too far, wait for them to snap back together. Pocket the convergence. --- Here's where most people get wrecked on this trade though. It's not the idea that fails. It's the execution. You place both legs. One fills instantly. The other lags by even half a second. Now you're not market-neutral anymore — you're accidentally directional in a volatile market, exposed on one side, with no hedge. In fast-moving conditions, that half-second gap can cost you more than the entire trade was worth. I've seen it happen. It's ugly. --- The difference between this trade working and blowing up isn't the analysis. It's whether both legs fill simultaneously. That's an infrastructure problem, not a strategy problem. When you have deep liquidity, fast connectivity, and synchronized execution across both positions — the strategy works exactly like it's supposed to. Correlation realigns, you close both legs, you're out clean. When you don't — you're just gambling with extra steps. --- The idea creates the edge. Execution either protects it or destroys it. Make sure your infrastructure matches your strategy before you run plays like this. #BTC #ETH #cryptotrading #tradingStrategy

The Market Thinks This Is Chaos. I See a Free Trade.

I've watched this happen more times than I can count.
$BTC gets volatile. Correlated assets that normally move together suddenly go out of sync. $ETH drops 8%. Its L2 token drops 3%. That gap between them? That's not noise — that's an opportunity with a timer on it.
The setup is simple in theory: long the lagging asset, short the one that moved too far, wait for them to snap back together. Pocket the convergence.
---
Here's where most people get wrecked on this trade though.
It's not the idea that fails. It's the execution.
You place both legs. One fills instantly. The other lags by even half a second. Now you're not market-neutral anymore — you're accidentally directional in a volatile market, exposed on one side, with no hedge.
In fast-moving conditions, that half-second gap can cost you more than the entire trade was worth. I've seen it happen. It's ugly.
---
The difference between this trade working and blowing up isn't the analysis. It's whether both legs fill simultaneously.
That's an infrastructure problem, not a strategy problem.
When you have deep liquidity, fast connectivity, and synchronized execution across both positions — the strategy works exactly like it's supposed to. Correlation realigns, you close both legs, you're out clean.
When you don't — you're just gambling with extra steps.
---
The idea creates the edge. Execution either protects it or destroys it.
Make sure your infrastructure matches your strategy before you run plays like this.
#BTC #ETH #cryptotrading #tradingStrategy
🔥📈🚀 $PHA (1H) — Pullback After Liquidity Sweep.. After a strong rally, price is now cooling down and testing support... 🧠 Market Structure... Strong bullish trend from 0.024 → 0.055.. Market printed higher highs & higher lows.. Now experiencing healthy pullback.. 🟢 Long Setup (Preferred) Entry:0.042 – 0.044 demand SL:0.039 TP1:0.050 TP2:0.055 TP3:0.062 🔴 Short Setup (If breakdown) Entry:Break below 0.044 SL:0.047 TP:0.041 → 0.039 Current move looks like profit-taking after strong pump. If 0.042 demand holds, next move could target: 0.052 → 0.055 liquidity 🚀
🔥📈🚀 $PHA (1H) — Pullback After Liquidity Sweep..
After a strong rally, price is now cooling down and testing support...
🧠 Market Structure...
Strong bullish trend from 0.024 → 0.055..
Market printed higher highs & higher lows..
Now experiencing healthy pullback..

🟢 Long Setup (Preferred)
Entry:0.042 – 0.044 demand
SL:0.039
TP1:0.050
TP2:0.055
TP3:0.062

🔴 Short Setup (If breakdown)
Entry:Break below 0.044
SL:0.047
TP:0.041 → 0.039

Current move looks like profit-taking after strong pump.
If 0.042 demand holds, next move could target:
0.052 → 0.055 liquidity 🚀
🔥📉 $RIVER (1H) — Bearish CHOCH After Liquidity Grab... Market just delivered a sharp bearish breakdown after sweeping buy-side liquidity. 🧠 Market Structure... Uptrend formed higher highs → 21.77..Liquidity taken above previous highs..Strong impulsive drop broke structure.. 🔴 Short Setup (Preferred) Entry:16.00 – 16.50 supply SL:17.30 TP1:14.20 TP2:13.60 TP3:12.80 🟢 Long Setup (Scalp) Entry:13.50 demand SL:12.90 TP:15.50 overall structure remains bearish. Next liquidity targets: 14.20 → 13.60 📉
🔥📉 $RIVER (1H) — Bearish CHOCH After Liquidity Grab...
Market just delivered a sharp bearish breakdown after sweeping buy-side liquidity.
🧠 Market Structure...
Uptrend formed higher highs → 21.77..Liquidity taken above previous highs..Strong impulsive drop broke structure..

🔴 Short Setup (Preferred)
Entry:16.00 – 16.50 supply
SL:17.30
TP1:14.20
TP2:13.60
TP3:12.80
🟢 Long Setup (Scalp)
Entry:13.50 demand
SL:12.90
TP:15.50

overall structure remains bearish.
Next liquidity targets:
14.20 → 13.60 📉
🔥📈🚀 $BARD (1H) — Bullish Expansion After Liquidity Sweep.. Market just moved from accumulation → explosive breakout. 🧠 Market Structure Long sideways consolidation around 1.05. Sell-side liquidity swept at 0.90.. Massive impulsive move created new Higher High.. 🟢 Long Setup (Pullback) Entry:1.38 – 1.42 demand SL:1.30 TP1:1.70 TP2:1.90 TP3:2.10 🔴 Short Setup (Scalp) Entry:Rejection from 1.70 supply SL:1.80 TP:1.42 structure still strong bullish continuation. Next liquidity targets: 1.70 → 1.90 → 2.10 🚀
🔥📈🚀 $BARD (1H) — Bullish Expansion After Liquidity Sweep..
Market just moved from accumulation → explosive breakout.
🧠 Market Structure
Long sideways consolidation around 1.05.
Sell-side liquidity swept at 0.90.. Massive impulsive move created new Higher High..

🟢 Long Setup (Pullback)
Entry:1.38 – 1.42 demand
SL:1.30
TP1:1.70
TP2:1.90
TP3:2.10

🔴 Short Setup (Scalp)
Entry:Rejection from 1.70 supply
SL:1.80
TP:1.42

structure still strong bullish continuation.
Next liquidity targets:
1.70 → 1.90 → 2.10 🚀
🔥📈🚀 $SIREN (1H) — Parabolic Expansion After Bullish BOS.. Market just delivered a strong momentum breakout after long consolidation. 🧠 Market Structure Long consolidation around 0.33 – 0.39. Strong impulsive rally created Bullish BOS. Market printing Higher Highs & Higher Lows. 🟢 Long Setup (Pullback) Entry:0.45 – 0.47 demand SL:0.42 TP1:0.55 TP2:0.60 TP3:0.66 🔴 Short Setup (Scalp Only) Entry:Rejection from 0.55 – 0.57 supply SL:0.59 TP:0.48 overall structure remains strong bullish continuation. Next liquidity targets: 0.60 → 0.65 🚀
🔥📈🚀 $SIREN (1H) — Parabolic Expansion After Bullish BOS..
Market just delivered a strong momentum breakout after long consolidation.
🧠 Market Structure
Long consolidation around 0.33 – 0.39.
Strong impulsive rally created Bullish BOS.
Market printing Higher Highs & Higher Lows.

🟢 Long Setup (Pullback)
Entry:0.45 – 0.47 demand
SL:0.42
TP1:0.55
TP2:0.60
TP3:0.66
🔴 Short Setup (Scalp Only)
Entry:Rejection from 0.55 – 0.57 supply
SL:0.59
TP:0.48

overall structure remains strong bullish continuation.
Next liquidity targets:
0.60 → 0.65 🚀
XRP at $1,000 Before 2030? Let's Actually Talk About This.I know how that sounds. Hear me out. This isn't another $XRP to the moon" post. There's a real argument here — and a real problem with it. Both matter. --- The bull case isn't hype. It's infrastructure math. If XRP ever becomes the settlement layer for tokenized stocks, FX, and real-world assets globally — the network needs to reprice before institutions trust it with serious money. You need deep liquidity, serious bandwidth, and enough supply absorbed to handle flows without the price collapsing mid-settlement. Basically: the price has to be high enough for the network to work at scale. Three digits gets you there functionally. Four digits? That's a post-regulatory, supply-shock, everything-lines-up-at-once scenario. --- Here's where I keep it real with you though. XRP sitting at $1.40 right now needs a +71,000% move to hit $1,000. At that price, we're talking a market cap larger than most countries' GDPs. Bigger than gold. Bigger than Apple, Microsoft, and Nvidia combined. Possible? Sure. In theory. Probable before 2030? That's a much harder yes. --- The thesis is clean. The execution has been "any day now" for years. And that gap — between a great narrative and actual synchronized demand from ETFs, institutions, and exchanges all moving together — is exactly where XRP holders have been waiting a long time. The idea is right. The timeline is the gamble. So if you're holding — hold with structure, not hope. #XRP #Ripple #CryptoAnalysis #altcoinseason #BTC

XRP at $1,000 Before 2030? Let's Actually Talk About This.

I know how that sounds. Hear me out.
This isn't another $XRP to the moon" post. There's a real argument here — and a real problem with it. Both matter.
---
The bull case isn't hype. It's infrastructure math.
If XRP ever becomes the settlement layer for tokenized stocks, FX, and real-world assets globally — the network needs to reprice before institutions trust it with serious money. You need deep liquidity, serious bandwidth, and enough supply absorbed to handle flows without the price collapsing mid-settlement.
Basically: the price has to be high enough for the network to work at scale.
Three digits gets you there functionally. Four digits? That's a post-regulatory, supply-shock, everything-lines-up-at-once scenario.
---
Here's where I keep it real with you though.
XRP sitting at $1.40 right now needs a +71,000% move to hit $1,000. At that price, we're talking a market cap larger than most countries' GDPs. Bigger than gold. Bigger than Apple, Microsoft, and Nvidia combined.
Possible? Sure. In theory.
Probable before 2030? That's a much harder yes.
---
The thesis is clean. The execution has been "any day now" for years.
And that gap — between a great narrative and actual synchronized demand from ETFs, institutions, and exchanges all moving together — is exactly where XRP holders have been waiting a long time.
The idea is right. The timeline is the gamble.
So if you're holding — hold with structure, not hope.
#XRP #Ripple #CryptoAnalysis #altcoinseason #BTC
$VVV (1H) — Sell Liquidity Sweep → Bullish CHOCH → Momentum Expansion.. Market dumped hard → swept sell-side liquidity at 5.45 → strong recovery rally → structure shifting bullish. Market Structure (1H) Downtrend from 8.3 → 5.45..Sell-side liquidity taken at 5.455..Strong bullish impulse forming higher highs + higher lows 🟢 Long Setup (Trend Continuation) Entry: Break & hold above 7.30 SL: Below 6.80 TP1: 7.80 TP2: 8.40 TP3: 9.20 🔴 Short Setup (If Supply Rejects) Entry: Rejection around 7.30 SL: Above 7.70 TP: 6.70 → 6.30 Liquidity below already taken at 5.45. Structure flipped bullish. If 7.30 breaks, next liquidity magnet sits at 7.8 → 8.4 zone 🚀📈
$VVV (1H) — Sell Liquidity Sweep → Bullish CHOCH → Momentum Expansion..
Market dumped hard → swept sell-side liquidity at 5.45 → strong recovery rally → structure shifting bullish. Market Structure (1H) Downtrend from 8.3 → 5.45..Sell-side liquidity taken at 5.455..Strong bullish impulse forming higher highs + higher lows

🟢 Long Setup (Trend Continuation)
Entry: Break & hold above 7.30
SL: Below 6.80
TP1: 7.80
TP2: 8.40
TP3: 9.20

🔴 Short Setup (If Supply Rejects)
Entry: Rejection around 7.30
SL: Above 7.70
TP: 6.70 → 6.30

Liquidity below already taken at 5.45.
Structure flipped bullish.
If 7.30 breaks, next liquidity magnet sits at 7.8 → 8.4 zone 🚀📈
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