Binance Square

Archaos

This is my Trading Journal. Swiss Sigma tier Thoughts. follow on X @mindblowing_exp
39 Följer
36 Följare
84 Gilla-markeringar
9 Delade
Inlägg
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$AAVE — LONG (6x) OTE + FVG overlap Entry: 117.66 SL: 114.41 TP: 127.81 TP: 127.91 TP: 131.98 #Perps — — — Reforge Institute — — — Built from ash. Engineered for war. {future}(AAVEUSDT)
$AAVE — LONG (6x)
OTE + FVG overlap

Entry: 117.66
SL: 114.41

TP: 127.81
TP: 127.91
TP: 131.98

#Perps

— — — Reforge Institute — — —
Built from ash. Engineered for war.
i have exact, rule-based strategy with 85% winrate for shorting new binance listings. you have a lot of followers. if you mention me in the title by @Archart i will give it to you
i have exact, rule-based strategy with 85% winrate for shorting new binance listings. you have a lot of followers. if you mention me in the title by @Archaos i will give it to you
Crypto_Psychic
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Baisse (björn)
🔴 SHORT $OPN

Supply Zone Reaction – Bearish Setup Forming

Price approaching 0.627–0.645 resistance band.
Weak continuation above resistance suggests downside potential.

📊 Trade Setup (Short)

Entry Zone: 0.627 – 0.645
Stop Loss: 0.735

Targets:
TP1: 0.590
TP2: 0.555
TP3: 0.520

🔎 Structure Insight:

Rejection near resistance

Lower timeframe weakness developing

Breakdown below 0.610 accelerates downside

Strong R:R toward 0.55 liquidity pocket

⚠️ Clean breakout above 0.735 invalidates short bias.

Click here 👇 and trade to support me 💛
{future}(OPNUSDT)
#OPNUSDT
this was my initial plan. but longed @ market in the end (560 or so) just not coming down meaningfully. i think not too far away we have breakout on the monthly on bch
this was my initial plan. but longed @ market in the end (560 or so) just not coming down meaningfully. i think not too far away we have breakout on the monthly on bch
Crypto_Psychic
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Baisse (björn)
🟠 $BCH — Compression Phase, Expansion Incoming

Price is tightening between key levels. Liquidity is building on both sides, so we prepare for reaction — not prediction.

🔼 Breakout Strategy (Bullish Continuation)

Trigger: Strong candle close above 577

Entry Area: 573 – 578
Invalidation: 565

Upside Targets:
• 585
• 592
• 600

If buyers secure acceptance above 577, continuation toward 600 liquidity zone becomes likely.

🔽 Breakdown Strategy (Bearish Flush)

Trigger: Clear close below 559

Entry Area: 558 – 555
Invalidation: 568

Downside Targets:
• 550
• 544
• 538

Losing 559 shifts short-term structure bearish and opens room for a fast liquidity sweep lower.

🔄 Support Reaction Play (Conservative)

Buy Area: 560 – 563
Invalidation: 556

Targets:
• 572
• 576

This is a range reaction trade — not a trend trade.

⚡ Key Idea:
Market is coiling. The real move begins once one side of liquidity gets taken.

Trade confirmation. Avoid anticipation.

Click here 👇 and trade to support me 💛
{future}(BCHUSDT)
its a compliment 🫡
its a compliment 🫡
Crypto_Psychic
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Baisse (björn)
🟠 $BCH — Compression Phase, Expansion Incoming

Price is tightening between key levels. Liquidity is building on both sides, so we prepare for reaction — not prediction.

🔼 Breakout Strategy (Bullish Continuation)

Trigger: Strong candle close above 577

Entry Area: 573 – 578
Invalidation: 565

Upside Targets:
• 585
• 592
• 600

If buyers secure acceptance above 577, continuation toward 600 liquidity zone becomes likely.

🔽 Breakdown Strategy (Bearish Flush)

Trigger: Clear close below 559

Entry Area: 558 – 555
Invalidation: 568

Downside Targets:
• 550
• 544
• 538

Losing 559 shifts short-term structure bearish and opens room for a fast liquidity sweep lower.

🔄 Support Reaction Play (Conservative)

Buy Area: 560 – 563
Invalidation: 556

Targets:
• 572
• 576

This is a range reaction trade — not a trend trade.

⚡ Key Idea:
Market is coiling. The real move begins once one side of liquidity gets taken.

Trade confirmation. Avoid anticipation.

Click here 👇 and trade to support me 💛
{future}(BCHUSDT)
what the… what a trade
what the… what a trade
Tawhid Crypto Insight
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Baisse (björn)
When coin get burn it reduces supply then only some chance price have to go high
but when coin gets more supply on market that mean price will go more down in near future. Always DYOR.

Still Wonder how this people's making this type of post🤧
$RIVER you unreal 😭😂
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Baisse (björn)
{future}(OPNUSDT) $OPN Maximum Asymmetry Extraction entry: 0.65 tp 0.5895, 0.5568. 0..4913, 0.4585, 0.3930, 0.3275 sl 0.75 #PredictionMarketsCFTCBacking — — — Reforge Institute — — — *Built from ash. Engineered for war.*
$OPN Maximum Asymmetry Extraction

entry: 0.65
tp 0.5895, 0.5568. 0..4913, 0.4585, 0.3930, 0.3275
sl 0.75

#PredictionMarketsCFTCBacking
— — — Reforge Institute — — —
*Built from ash. Engineered for war.*
no bro. this is how to play this 🤙
no bro. this is how to play this 🤙
The BlockchainWhale
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$OPN has pumped +102% 📈
If the short whales get liquidated, the market could go to $1 — so be careful.
$OPN Long Now ⤴️
TP:0.75
want to make a bet? 😁
want to make a bet? 😁
Crypto_Psychic
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Baisse (björn)
🔴 SHORT $AAVE

1D timeframe rejection from resistance — bearish continuation setup

Price reacting strongly from higher timeframe supply zone.
Daily rejection confirms weakness near 121–124 region.

📊 Trade Setup (Short)

Entry Zone: 120.8– 124.5
Stop Loss: 131.2

Targets:
TP1: 114
TP2: 108
TP3: 98

🔎 Structure Insight:

Clear 1D rejection wick at resistance

Lower high forming on daily

Momentum fading after relief bounce

Break below 114 opens path toward 100 liquidity zone

⚠️ Daily close above 131 invalidates bearish bias.

Click here 👇 and trade to support me 💛
{future}(AAVEUSDT)
#AAVEUSDT #AAVE.智能策略库🏆🏆 #AAVE.每日智能策略 #AAVEUSD #AAVE.24小时交易策略
in my opinion you should structure the trade like this: Entry 0.073250 SL 0.070070 TP1 0.095000 (6.84R) and leave a minor runner. i dont take partials on ESP
in my opinion you should structure the trade like this:

Entry
0.073250
SL 0.070070
TP1 0.095000 (6.84R)

and leave a minor runner. i dont take partials on ESP
612 Ceros
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Hausse
They're whispering about a hidden breakout on $ESP /USDT. Are you listening?

$ESP - LONG

Trade Plan:
Entry: 0.081161 – 0.082799
SL: 0.077066
TP1: 0.086894
TP2: 0.088532
TP3: 0.091808

Why this setup?
4H setup is ARMED. Key reasons for a LONG now:
- Price is consolidating in a tight range (0.08116 - 0.08280), coiling for a move.
- 15m RSI at 72 shows momentum, but not yet overbought on higher timeframes.
- Clear TP levels mapped to 0.0869, 0.0885, and 0.0918 with a tight stop.

Debate:
Is this the calm before the storm, or a bull trap in the making?

Click here to Trade 👇️
$TRX — LONG (10x) Entry: 0.276 SL: 0.2729 (-11.2% @10x) TPs: 0.285 / 0.295 / 0.305 R: 2.9 / 6.1 / 9.3 Plan: Bounce try only — if 0.275 breaks, I’m out. #TRX #Altcoins {future}(TRXUSDT)
$TRX — LONG (10x)
Entry: 0.276
SL: 0.2729 (-11.2% @10x)

TPs: 0.285 / 0.295 / 0.305
R: 2.9 / 6.1 / 9.3

Plan: Bounce try only — if 0.275 breaks, I’m out.

#TRX #Altcoins
earlier days i builtidentity around being superior (in sense of: i can move profitable in this world where practically no one cant) then this identity gets attacked with each loss.
earlier days i builtidentity around being superior (in sense of: i can move profitable in this world where practically no one cant) then this identity gets attacked with each loss.
Crypto_Psychic
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The Day I Stopped Trying to Be Right
There was a time when being right meant everything to me.
If I called the direction correctly, I felt validated. If I got stopped out, it felt personal. I would sit there staring at the chart after a loss, not because of the money — but because I needed the market to admit I was correct.
That mindset cost me more than any liquidation ever did.
I remember one specific trade. Bitcoin was trending down. Structure was clearly bearish. I caught a short from a clean retest. Perfect entry. Good size. It moved in my favor immediately. Instead of managing it calmly, I started calculating how much more I could make if I just held longer. I ignored weakening momentum. I ignored rising spot demand. I ignored the fact that the move had already extended.
I didn’t want profit.
I wanted to be right about the bigger move.
Price reversed sharply. Not violently — just enough to take back most of the gains. I closed in frustration. What should have been a disciplined win turned into an emotional scratch.
That was the moment something clicked.
The market doesn’t reward being right.
It rewards managing risk.

You can be right on direction and still lose money. You can be wrong initially and still make money if you manage the position properly.
Most traders aren’t addicted to profit.
They’re addicted to validation.
Once I stopped needing the market to confirm my intelligence, my trading changed.
I started: • Taking profits when structure weakened
• Accepting small losses without defending bias
• Reducing size when conviction turned emotional
• Letting trades go without chasing re-entry
The goal shifted from “calling moves” to executing cleanly.
My win rate didn’t magically increase.
My consistency did.
Crypto doesn’t care how well you analyze. It cares how well you adapt. The moment ego enters the trade, objectivity leaves.
The best traders I know aren’t obsessed with being correct. They’re obsessed with protecting capital when they’re wrong.
That shift is subtle — but it changes everything.
If you’ve ever held too long just to prove a point, you know exactly what I mean.
Comment if being right has ever cost you money.
Share this with someone arguing with the market.
Follow for real trading lessons — earned the hard way.

I'm expecting $BTC 👇👇

#WhenWillCLARITYActPass #StrategyBTCPurchase #PredictionMarketsCFTCBacking
awesome trade. congrats. no everyday stuff.
awesome trade. congrats. no everyday stuff.
Tawhid Crypto Insight
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The journey of $RIVER was excellent.

I bought at $13 people keep saying it will drop down to $1 but keep holding it and made it to $80 mark then again shorted$RIVER at $83 when they hyping it will go $100 now it's $9 🥂

Believe in own analysis no hype, no FOMO, discipline said it everything🔥
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Hausse
$ESP — Trade Management Update Locking in a big win. ESP expanded faster than expected and cleared all targets. From here, the focus shifts from making more to protecting what’s already made. Current steps: • Reduced exposure • SL moved to last 1H higher low (~0.070) Reasoning: After fast expansions, the main risk isn’t being wrong - it’s giving profits back. As long as higher lows hold, I stay. First clean break, I’m out. Execution → defense mode. #altcoins #Espresso {future}(ESPUSDT)
$ESP — Trade Management Update

Locking in a big win.

ESP expanded faster than expected and cleared all targets.

From here, the focus shifts from making more to protecting what’s already made.

Current steps:
• Reduced exposure
• SL moved to last 1H higher low (~0.070)

Reasoning:
After fast expansions, the main risk isn’t being wrong - it’s giving profits back.

As long as higher lows hold, I stay.
First clean break, I’m out.

Execution → defense mode.

#altcoins #Espresso
i feel you. try to set up rules for yourself in the future. i try to never lose more than 30% on a trade for example
i feel you. try to set up rules for yourself in the future. i try to never lose more than 30% on a trade for example
The BlockchainWhale
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$RIVER Distroy me guys💔💔
My portfolio is gone💔💔
wtf your stats are insane man congrats
wtf your stats are insane man congrats
Crypto_Psychic
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Baisse (björn)
🥲 $BTC
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Hausse
$ESP - LONG (Structure Reclaim, wide SL) The average time window for shorting new listings has closed. longs become interesting. risk: longer sideways phase Entry: 0.0560 (limit) SL (wide ~3x): 0.0505 → acceptance below impulse base = structure failed → not a wick stop TP ladder: TP1: 0.0600 → trim 20–25% TP2: 0.0640 → trim 20–25% TP3: 0.0680 → trim 20–30% TP4: 0.072–0.075 (prior high) → trail / exit remainder #MarketRebound {future}(ESPUSDT)
$ESP - LONG (Structure Reclaim, wide SL)

The average time window for shorting new listings has closed. longs become interesting. risk: longer sideways phase

Entry:
0.0560 (limit)

SL (wide ~3x):
0.0505
→ acceptance below impulse base = structure failed
→ not a wick stop

TP ladder:
TP1: 0.0600 → trim 20–25%
TP2: 0.0640 → trim 20–25%
TP3: 0.0680 → trim 20–30%
TP4: 0.072–0.075 (prior high) → trail / exit remainder

#MarketRebound
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Hausse
$BCH LONG @ Market (560) {future}(BCHUSDT) I allowed myself to enter @ market. initially planned entry ladder down to 500 but i dont see that coming guys. Initial plan: (now @ market) BCH – Pullback Long 6x expansion from 460, i am expecting a pullback into structure, probably by tomorrow. looking there for a higher low continuation. my limit orders 530 small size (20–30%) 517 core position (40–50%) 500–505 → liquidity sweep fill (10–20%) Targets 580, 630, 670 + leaving a runner invalidation 4h close below 498 #MarketRebound
$BCH LONG @ Market (560)
I allowed myself to enter @ market. initially planned entry ladder down to 500 but i dont see that coming guys.

Initial plan: (now @ market)

BCH – Pullback Long 6x

expansion from 460, i am expecting a pullback into structure, probably by tomorrow. looking there for a higher low continuation.

my limit orders
530 small size (20–30%)
517 core position (40–50%)
500–505 → liquidity sweep fill (10–20%)

Targets
580, 630, 670 + leaving a runner

invalidation 4h close below 498

#MarketRebound
greetings. offering my highest conviction setup.
greetings. offering my highest conviction setup.
Monad Media
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Even if you have just 01 follower $INIT

Just comment "Hello" 👋 $MUBARAK

People will follow you... $SIREN
how i intend to play it:
how i intend to play it:
chivas vQoV
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$BCH — ф’ючерси не жартують: ринок торгується з тиском і великим OI, а навіть funding сигналить про медвежу структуру.

📌 Ціна BCH ~ $520–$560 USD на ф’ючерсних ринках — волатильність висока, але вони не ведуть себе як бичачий актив. Funding rates часто негативні або близькі до нуля, що означає, що шорти мають перевагу і ринок не кредитує довгі участю.

📊 Open Interest у BCH‑ф’ючерсах ~ $650M+ із позитивною динамікою відкритих контрактів навіть під тиском падіння ціни — це сигнал, що ринок активно готує великі позиції (часто short), а не однозначний бичачий імпульс.

💥 Funding rate у деяких перпах залишається негативним або мінімальним, показуючи, що довгі не платять премію за утримання — ринок не хоче бути бичачим.

⚠️ Технічні сигнали ф’ючерсів:
✔️ Великий OI + слабка ціна = ризик ліквідацій довгих
✔️ Funding близький до нуля / негатив = перевага шортів
✔️ Висока волатильність = сильні рухи з обох сторін

Питання:
➡️ чи твої стоп‑лоси на BCH налаштовані так, щоб уникнути зливу перед новим імпульсом?

#BCH #BitcoinCash #Futures #Derivatives #Crypto #BinanceSquare #Trading #RiskManagement

{future}(BCHUSDT)
your success as a trader wont be defined by big wins. it will be defined how you manage losses.
your success as a trader wont be defined by big wins. it will be defined how you manage losses.
MR-YUVI
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Hold Or Close ?? 😭😭

$VVV $1800 loss 😭😭
$FHE $600 loss 😭❌
$INIT $200 loss 😭
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