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Kagemusha-id

High-Frequency Trader
6.7 Years
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Posts
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Strategy 1 — Smart LONG (Safer Direction) Use this if price pulls back and holds support. ✅ Entry Zone 0.032 – 0.034 (previous breakout + MA support) OR bullish rejection candle on 4H 🛑 Stop Loss 0.0295 (below structure + liquidity sweep area) 🎯 Take Profit TP1: 0.042 TP2: 0.048 TP3: 0.052 (previous high test) Why this works Trend still up Buying where fear appears Better risk/reward than chasing green candles 🔻 Strategy 2 — SHORT the Exhaustion (High Risk / Pro Setup) Only if market shows clear rejection. ✅ Entry 0.045 – 0.050 rejection zone Look for: Long upper wick Bearish engulfing on 4H 🛑 Stop Loss 0.0525 (above liquidity + high) 🎯 Take Profit TP1: 0.038 TP2: 0.034 TP3: 0.030 strong support Why this works After vertical pump → corrections are common Liquidity sits under breakout area $TAKE {future}(TAKEUSDT)
Strategy 1 — Smart LONG (Safer Direction)
Use this if price pulls back and holds support.
✅ Entry Zone
0.032 – 0.034 (previous breakout + MA support)
OR bullish rejection candle on 4H
🛑 Stop Loss
0.0295 (below structure + liquidity sweep area)
🎯 Take Profit
TP1: 0.042
TP2: 0.048
TP3: 0.052 (previous high test)
Why this works
Trend still up
Buying where fear appears
Better risk/reward than chasing green candles
🔻 Strategy 2 — SHORT the Exhaustion (High Risk / Pro Setup)
Only if market shows clear rejection.
✅ Entry
0.045 – 0.050 rejection zone
Look for:
Long upper wick
Bearish engulfing on 4H
🛑 Stop Loss
0.0525 (above liquidity + high)
🎯 Take Profit
TP1: 0.038
TP2: 0.034
TP3: 0.030 strong support
Why this works
After vertical pump → corrections are common
Liquidity sits under breakout area
$TAKE
Strategy Futures — High Probability (not reckless) 🟢 PLAN A — Smart Long (safer) Wait for a retrace first. Entry Long: 👉 0.64 – 0.66 Stop Loss: 👉 0.60 Take Profit: TP1: 0.75 TP2: 0.82 TP3 (if hype continues): 0.90 Why? Retest breakout area near short MA risk:reward good 🔴 PLAN B — Aggressive Short (counter trend) Only if there is strong rejection above. Signals to look for: shooting star red engulfing volume spike then drop Entry Short: 👉 0.70 – 0.72 Stop Loss: 👉 0.75 Take Profit: TP1: 0.64 TP2: 0.60 TP3: 0.55 $BERA {future}(BERAUSDT)
Strategy Futures — High Probability (not reckless)
🟢 PLAN A — Smart Long (safer)
Wait for a retrace first.
Entry Long:
👉 0.64 – 0.66
Stop Loss:
👉 0.60
Take Profit:
TP1: 0.75
TP2: 0.82
TP3 (if hype continues): 0.90
Why?
Retest breakout area
near short MA
risk:reward good
🔴 PLAN B — Aggressive Short (counter trend)
Only if there is strong rejection above.
Signals to look for:
shooting star
red engulfing
volume spike then drop
Entry Short:
👉 0.70 – 0.72
Stop Loss:
👉 0.75
Take Profit:
TP1: 0.64
TP2: 0.60
TP3: 0.55
$BERA
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Bearish
$CLANKER {future}(CLANKERUSDT) 4H Futures Trading Plan (Primary LONG Setup) ✅ Entry 👉 $34.20 (wait for pullback + bullish candle confirmation) ❌ Stop Loss 👉 $32.80 (Under structure + liquidity sweep zone) 🎯 Take Profit Targets TP1: $36.50 → partial close TP2: $38.80 → main target TP3 (aggressive): $39.50 – $40.00 📈 Risk/Reward Approx 1 : 3.5 (good for futures)
$CLANKER
4H Futures Trading Plan (Primary LONG Setup)
✅ Entry
👉 $34.20 (wait for pullback + bullish candle confirmation)
❌ Stop Loss
👉 $32.80
(Under structure + liquidity sweep zone)
🎯 Take Profit Targets
TP1: $36.50 → partial close
TP2: $38.80 → main target
TP3 (aggressive): $39.50 – $40.00
📈 Risk/Reward
Approx 1 : 3.5 (good for futures)
4-hour Futures Trading Plan (clear, actionable) 🟥Aggressive Long (higher probability, medium R:R) Use when you expect trend to resume up after pullback. Zone to watch (buy area): 18.8 – 19.6 Entry: scale in between 19.6 → 19.0 → 18.8 (partial entries; if filled lower add another tranche) Stop-loss (hard): 17.7 (a little below MA99 17.69 — invalidates this long view if broken) Take-profit (targets): TP1 (partial) = 21.0 (first resistance / MA7) TP2 = 22.4 – 22.6 (MA25 zone) TP3 = 24.5 – 24.8 (recent swing high / supply) Risk/Reward example: entry 19.0 SL 17.7 → risk 1.3; TP1 21.0 reward 2.0 → R:R ≈ 1.5:1; TP2 reward ≈ 3.4 → R:R ≈ 2.6:1. Leverage: conservative — 3–5x max. Adjust size so SL risk = 0.5–1% of account per full trade. Notes: if price rallies above 22.6 with a confirmed 4h close and volume, move stops to break-even and consider adding. 🟡 Conservative Long (trend-confirmation breakout) Use if you prefer confirmation before buying. Trigger / Entry: buy on 4-hour close above 22.6–22.8 (break and hold above MA25) Entry: market or limit at 22.7 on confirmed close Stop-loss: 21.0 (below MA7 / prior structure) TPs: TP1 = 24.8, TP2 = 28–30 (if momentum strong) R:R: entry 22.7 SL 21.0 → risk 1.7; TP1 reward 2.1 → R:R ≈ 1.2:1 (but TP2 gives larger R:R) Notes: This avoids being caught in a false bounce. ⚪Short (if breakdown / bearish continuation) Use if price fails and momentum flips lower (volume confirms). Short trigger: 4-hour close below 17.6–17.7 (break MA99) with increased selling volume Entry: short on break 17.6 (or on retest back to 18.2–18.8) Stop-loss: 18.6–19.0 (above retest zone) Take-profit: TP1 = 15.0 (prior swing low) TP2 = 12.5–13.0 (24h low area shown 10.255 historically but middle target here) Notes: Avoid shorting into strong support unless clear follow-through. $RIVER {future}(RIVERUSDT)
4-hour Futures Trading Plan (clear, actionable)

🟥Aggressive Long (higher probability, medium R:R)
Use when you expect trend to resume up after pullback.
Zone to watch (buy area): 18.8 – 19.6
Entry: scale in between 19.6 → 19.0 → 18.8 (partial entries; if filled lower add another tranche)
Stop-loss (hard): 17.7 (a little below MA99 17.69 — invalidates this long view if broken)
Take-profit (targets):
TP1 (partial) = 21.0 (first resistance / MA7)
TP2 = 22.4 – 22.6 (MA25 zone)
TP3 = 24.5 – 24.8 (recent swing high / supply)
Risk/Reward example: entry 19.0 SL 17.7 → risk 1.3; TP1 21.0 reward 2.0 → R:R ≈ 1.5:1; TP2 reward ≈ 3.4 → R:R ≈ 2.6:1.
Leverage: conservative — 3–5x max. Adjust size so SL risk = 0.5–1% of account per full trade.
Notes: if price rallies above 22.6 with a confirmed 4h close and volume, move stops to break-even and consider adding.

🟡 Conservative Long (trend-confirmation breakout)
Use if you prefer confirmation before buying.
Trigger / Entry: buy on 4-hour close above 22.6–22.8 (break and hold above MA25)
Entry: market or limit at 22.7 on confirmed close
Stop-loss: 21.0 (below MA7 / prior structure)
TPs: TP1 = 24.8, TP2 = 28–30 (if momentum strong)
R:R: entry 22.7 SL 21.0 → risk 1.7; TP1 reward 2.1 → R:R ≈ 1.2:1 (but TP2 gives larger R:R)
Notes: This avoids being caught in a false bounce.

⚪Short (if breakdown / bearish continuation)
Use if price fails and momentum flips lower (volume confirms).
Short trigger: 4-hour close below 17.6–17.7 (break MA99) with increased selling volume
Entry: short on break 17.6 (or on retest back to 18.2–18.8)
Stop-loss: 18.6–19.0 (above retest zone)
Take-profit:
TP1 = 15.0 (prior swing low)
TP2 = 12.5–13.0 (24h low area shown 10.255 historically but middle target here)
Notes: Avoid shorting into strong support unless clear follow-through.
$RIVER
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Join Now!
don't forget to join WOH, click here!
BNB is trading around $757, down about 7% in the last 24 hours, reflecting a sharp pullback after recent highs near $810. The decline comes amid a broader crypto market correction, with Bitcoin and other major altcoins also in the red. Technical charts show BNB struggling to hold above the $750–$760 support zone, while resistance remains heavy near $830. Short-term traders are watching these key levels closely — a bounce above $780 could open the door for recovery, but losing $740 may trigger further downside pressure. Despite today’s bearish tone, BNB remains one of the most actively traded altcoins, supported by continued ecosystem growth within the Binance Smart Chain. #BNB_Market_Update #CZAMAonBinanceSquare $BNB {future}(BNBUSDT)
BNB is trading around $757, down about 7% in the last 24 hours, reflecting a sharp pullback after recent highs near $810.
The decline comes amid a broader crypto market correction, with Bitcoin and other major altcoins also in the red. Technical charts show BNB struggling to hold above the $750–$760 support zone, while resistance remains heavy near $830.
Short-term traders are watching these key levels closely — a bounce above $780 could open the door for recovery, but losing $740 may trigger further downside pressure.
Despite today’s bearish tone, BNB remains one of the most actively traded altcoins, supported by continued ecosystem growth within the Binance Smart Chain.

#BNB_Market_Update #CZAMAonBinanceSquare $BNB
$LIGHT #MarketAnalysis {future}(LIGHTUSDT) 🟡Aggressive long (for traders who accept more risk) Entry: market ~0.406–0.409 (current price) Stop-loss (hard): 0.337 (just below pink MA support / structure) TP1 (partial take): 0.4486 (24h high — likely first resistance) TP2 (add or partial): ~0.5866 (measured move: 0.4486 + (0.4486−0.315) ≈ 0.5866) TP3 (extension): ~0.7246 (2× measured move) — optional trailing. Rationale: momentum continuation — use small size / low leverage. 🟩Conservative / scaled approach (better risk control) Entry ladder / limit orders: Scale-in 1: 0.385–0.395 (light fill) Scale-in 2 (main): 0.366–0.375 (pullback to MA/support area) Stop-loss for scale-in plan: 0.308 (below consolidation) TP1: 0.4486, TP2: ~0.5866, TP3: ~0.7246 Rationale: buy the breakout on weakness — better risk:reward and smaller SL.
$LIGHT #MarketAnalysis
🟡Aggressive long (for traders who accept more risk)
Entry: market ~0.406–0.409 (current price)
Stop-loss (hard): 0.337 (just below pink MA support / structure)
TP1 (partial take): 0.4486 (24h high — likely first resistance)
TP2 (add or partial): ~0.5866 (measured move: 0.4486 + (0.4486−0.315) ≈ 0.5866)
TP3 (extension): ~0.7246 (2× measured move) — optional trailing.
Rationale: momentum continuation — use small size / low leverage.

🟩Conservative / scaled approach (better risk control)
Entry ladder / limit orders:
Scale-in 1: 0.385–0.395 (light fill)
Scale-in 2 (main): 0.366–0.375 (pullback to MA/support area)
Stop-loss for scale-in plan: 0.308 (below consolidation)
TP1: 0.4486, TP2: ~0.5866, TP3: ~0.7246
Rationale: buy the breakout on weakness — better risk:reward and smaller SL.
$SOMI {future}(SOMIUSDT) 4-Hour Futures Trading Plan (Bullish Scenario) Objective: Catch the continuation of the uptrend after a short pullback. 🟩 Entry Zone Buy Entry (Zone): 0.295 – 0.305 → Ideal “buy-the-dip” area near MA(7) and recent support. Aggressive entry: 0.3135 (current price), higher risk, smaller reward window. 🛑 Stop-Loss Stop: 0.275 → Below MA(25) and structure support. If price breaks below, setup is invalid. 🎯 Take-Profit Targets Target Price (USDT) Rationale TP1 0.3398 Previous local high — take partial profits TP2 0.385 Next resistance zone / measured continuation TP3 0.465 Extended breakout target (projected move)
$SOMI
4-Hour Futures Trading Plan (Bullish Scenario)
Objective: Catch the continuation of the uptrend after a short pullback.
🟩 Entry Zone
Buy Entry (Zone): 0.295 – 0.305
→ Ideal “buy-the-dip” area near MA(7) and recent support.
Aggressive entry: 0.3135 (current price), higher risk, smaller reward window.
🛑 Stop-Loss
Stop: 0.275
→ Below MA(25) and structure support. If price breaks below, setup is invalid.
🎯 Take-Profit Targets
Target
Price (USDT)
Rationale
TP1
0.3398
Previous local high — take partial profits
TP2
0.385
Next resistance zone / measured continuation
TP3
0.465
Extended breakout target (projected move)
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Bullish
Since its initial listing on Binance Exchange, River token has demonstrated a strong post-listing performance. At launch, River entered the market in a low price discovery range, as early participants and market makers established initial liquidity. $ Within the first phase after listing, the token experienced a brief consolidation period, followed by a sharp expansion driven by rising buy pressure. From its initial listing price, River has recorded an increase of over 200–300%, reflecting accelerating demand and growing market confidence. As trading volume continued to expand, River successfully broke multiple resistance levels and formed a higher-high, higher-low structure — a classic bullish market pattern. This move was supported by sustained liquidity inflows and active participation from both spot traders and short-term momentum players. Currently, River token is trading near its post-listing highs on Binance, with elevated daily volume and strong volatility, indicating that the asset has transitioned from an early accumulation phase into a momentum-driven growth phase. While short-term pullbacks remain possible after such rapid appreciation, the overall trend since listing remains structurally bullish $RIVER {future}(RIVERUSDT) #RİVER #MarketSentimentToday
Since its initial listing on Binance Exchange, River token has demonstrated a strong post-listing performance. At launch, River entered the market in a low price discovery range, as early participants and market makers established initial liquidity.
$
Within the first phase after listing, the token experienced a brief consolidation period, followed by a sharp expansion driven by rising buy pressure. From its initial listing price, River has recorded an increase of over 200–300%, reflecting accelerating demand and growing market confidence.
As trading volume continued to expand, River successfully broke multiple resistance levels and formed a higher-high, higher-low structure — a classic bullish market pattern. This move was supported by sustained liquidity inflows and active participation from both spot traders and short-term momentum players.

Currently, River token is trading near its post-listing highs on Binance, with elevated daily volume and strong volatility, indicating that the asset has transitioned from an early accumulation phase into a momentum-driven growth phase. While short-term pullbacks remain possible after such rapid appreciation, the overall trend since listing remains structurally bullish

$RIVER
#RİVER #MarketSentimentToday
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DK鼓山老鱼
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#Trendcoin
#Trendcoin
Trend Coin
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Bullish
Crypto rewards shouldn’t be complicated 💡
Earn by being active, not by guessing charts. 🚀
#TrendCoin
$IN {future}(INUSDT) Pick one entry style depending on your risk appetite: Aggressive, Standard (recommended), or Conservative. 1) Aggressive / Momentum entry Entry: market or limit 0.079–0.081 (near current price) Stop-loss: 0.068 (just below MA99 0.0687; tight SL for momentum trade) TP1: 0.093–0.095 (first resistance / near 23.6% retrace and prior smaller wicks) TP2: 0.1015 (previous high) TP3 (trail/scale out): 0.127–0.158 if strong continuation (use trailing) R:R: if entry 0.080 → SL 0.068 (12 pts), TP1 0.095 (15 pts) ≈ 1.25:1 to TP1, better to scale. 2) Standard / Recommended (pullback confirmation) Entry: limit 0.0740–0.0765 (around 61.8% retrace and MA7 confluence) Stop-loss: 0.0666 (just below 78.6% retrace 0.06663 and below MA25) TP1: 0.0845 (38.2% retrace / first resistance) TP2: 0.093–0.095 TP3: 0.1015 R:R example: Entry 0.075 → SL 0.0666 (0.0084 risk). TP1 0.0845 = gain 0.0095 → ~1.13:1 (better for TP2/TP3). 3) Conservative / Confirmation entry Entry: wait for close above 0.086–0.088 (break above the pullback high / confirmation) Stop-loss: 0.076 (below MA7 and recent pullback zone) TPs: same as above — prioritize TP2/TP3 R:R often >2:1 depending on where you enter.
$IN

Pick one entry style depending on your risk appetite: Aggressive, Standard (recommended), or Conservative.

1) Aggressive / Momentum entry
Entry: market or limit 0.079–0.081 (near current price)
Stop-loss: 0.068 (just below MA99 0.0687; tight SL for momentum trade)
TP1: 0.093–0.095 (first resistance / near 23.6% retrace and prior smaller wicks)
TP2: 0.1015 (previous high)
TP3 (trail/scale out): 0.127–0.158 if strong continuation (use trailing)
R:R: if entry 0.080 → SL 0.068 (12 pts), TP1 0.095 (15 pts) ≈ 1.25:1 to TP1, better to scale.

2) Standard / Recommended (pullback confirmation)
Entry: limit 0.0740–0.0765 (around 61.8% retrace and MA7 confluence)
Stop-loss: 0.0666 (just below 78.6% retrace 0.06663 and below MA25)
TP1: 0.0845 (38.2% retrace / first resistance)
TP2: 0.093–0.095
TP3: 0.1015
R:R example: Entry 0.075 → SL 0.0666 (0.0084 risk). TP1 0.0845 = gain 0.0095 → ~1.13:1 (better for TP2/TP3).

3) Conservative / Confirmation entry
Entry: wait for close above 0.086–0.088 (break above the pullback high / confirmation)
Stop-loss: 0.076 (below MA7 and recent pullback zone)
TPs: same as above — prioritize TP2/TP3
R:R often >2:1 depending on where you enter.
⭕Aggressive — Breakout entry Condition: Wait for a confirmed 4-hour close above 0.32000 (confirmation of continuation). Entry: market or limit near 0.325 after confirmation. Stop loss: ~0.295 (just under the recent minor support / psychological area). Take-profits: scale out — T1=0.378, T2=0.452, T3=0.639. R/R example: entry 0.325 → SL 0.295 (risk 0.03). T1 reward ~0.053 → R:R ≈ 1.8:1. 🟡Conservative — Pullback entry Condition: Wait for a healthy pullback/retest into the green pullback zone on chart. Entry zone: 0.240 − 0.265 (prefer a bullish 4H confirmation candle inside this zone). Stop loss: ~0.198 (below the MA(7) area shown ~0.210 and below support). Targets: same T1/T2/T3 above, scale position as price moves in your favor. R/R example: entry 0.255 → SL 0.198 (risk 0.057). T1 reward ~0.123 → R:R ≈ 2.1:1. 🟢If you’re already long (managing existing position) Use a trailing stop below short-term swing lows (e.g., under last 4H low) rather than a fixed SL to lock profit. Reduce leverage or take partial profits at T1/T2 to reduce liquidation risk.$ACU {future}(ACUUSDT)
⭕Aggressive — Breakout entry
Condition: Wait for a confirmed 4-hour close above 0.32000 (confirmation of continuation).
Entry: market or limit near 0.325 after confirmation.
Stop loss: ~0.295 (just under the recent minor support / psychological area).
Take-profits: scale out — T1=0.378, T2=0.452, T3=0.639.
R/R example: entry 0.325 → SL 0.295 (risk 0.03). T1 reward ~0.053 → R:R ≈ 1.8:1.

🟡Conservative — Pullback entry
Condition: Wait for a healthy pullback/retest into the green pullback zone on chart.
Entry zone: 0.240 − 0.265 (prefer a bullish 4H confirmation candle inside this zone).
Stop loss: ~0.198 (below the MA(7) area shown ~0.210 and below support).
Targets: same T1/T2/T3 above, scale position as price moves in your favor.
R/R example: entry 0.255 → SL 0.198 (risk 0.057). T1 reward ~0.123 → R:R ≈ 2.1:1.

🟢If you’re already long (managing existing position)
Use a trailing stop below short-term swing lows (e.g., under last 4H low) rather than a fixed SL to lock profit.
Reduce leverage or take partial profits at T1/T2 to reduce liquidation risk.$ACU
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