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$BULLA TP đánh trúng
$BULLA TP đánh trúng
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$BULLA / USDT Short Trade Setup ... Entry : 0.03185 SL : 0.03225 TP : 0.03090
$BULLA / USDT Short Trade Setup ...

Entry : 0.03185

SL : 0.03225

TP : 0.03090
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Long $KGEN now (or on dips) Entry Zone: 0.315 – 0.335 (adjusted slightly lower to catch current levels and any pullback) Take-Profit Targets: TP1: 0.348 (first resistance / quick scalp) TP2: 0.365 (previous swing high area) TP3: 0.388 (extended target / next major resistance) Stretch TP4 (optional): 0.42+ if momentum continues (watch for volume surge) Stop-Loss: 0.308 (below recent swing low / invalidation level – tight risk ~6-8% from entry) {future}(KGENUSDT)
Long $KGEN now (or on dips)
Entry Zone: 0.315 – 0.335 (adjusted slightly lower to catch current levels and any pullback)
Take-Profit Targets:
TP1: 0.348 (first resistance / quick scalp)
TP2: 0.365 (previous swing high area)
TP3: 0.388 (extended target / next major resistance)
Stretch TP4 (optional): 0.42+ if momentum continues (watch for volume surge)
Stop-Loss: 0.308 (below recent swing low / invalidation level – tight risk ~6-8% from entry)
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$MINA is facing strong rejection at the 0.094–0.096 resistance after its recent bullish surge. The 1H chart shows consistent bearish candles, signaling waning momentum and a likely pullback to key support levels. Trade Setup (Short): Entry Zone: 0.0885 – 0.0920 Targets: 0.0865 0.0835 0.0800 Stop-Loss: Above 0.0975 This counter-trend short aims to capitalize on the post-rally correction. Secure profits progressively at each target, maintain a 1% risk per trade, and monitor for any bullish reversal signals. R/R ~1:2. Click below to Take Trade {spot}(MINAUSDT)
$MINA is facing strong rejection at the 0.094–0.096 resistance after its recent bullish surge. The 1H chart shows consistent bearish candles, signaling waning momentum and a likely pullback to key support levels.
Trade Setup (Short):
Entry Zone: 0.0885 – 0.0920
Targets:
0.0865
0.0835
0.0800
Stop-Loss: Above 0.0975
This counter-trend short aims to capitalize on the post-rally correction. Secure profits progressively at each target, maintain a 1% risk per trade, and monitor for any bullish reversal signals. R/R ~1:2.
Click below to Take Trade
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🔥 Panic Sell Over? Bounce Zone Loading for $AIA 🚀 Heavy capitulation dump done — stabilization kicking in around $0.215–$0.225. Selling pressure fading fast — eyes on short-term relief rally. Trade Setup (15m): • Entry: 0.220 – 0.228 • SL: 0.210 (tight below recent lows) • TP: 0.245 → 0.265 → 0.285 (partial exits) Hold above 0.210 = strong bounce potential. Break & close below 0.210 = invalid, no trade — wait for retest.
🔥 Panic Sell Over? Bounce Zone Loading for $AIA 🚀
Heavy capitulation dump done — stabilization kicking in around $0.215–$0.225. Selling pressure fading fast — eyes on short-term relief rally.
Trade Setup (15m):
• Entry: 0.220 – 0.228
• SL: 0.210 (tight below recent lows)
• TP: 0.245 → 0.265 → 0.285 (partial exits)
Hold above 0.210 = strong bounce potential.
Break & close below 0.210 = invalid, no trade — wait for retest.
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$ACU – Cooling After the Spike or Just a Healthy Pullback? 👀 Strong impulsive move higher earlier today → now price is consolidating / pulling back and tightening around the 0.128 – 0.129 zone. Volatility is clearly cooling off → we’re in a high-probability decision zone. 15m Chart Setup Entry Zone: 0.126 – 0.129 (ideally on a strong bounce + volume) Stop Loss: 0.120 (below recent swing low & psychological level) Take Profit 1: 0.140 (first major resistance / ~10% move) Take Profit 2: 0.155 (extension target / ~20% from entry) Bias Hold & close above 0.126–0.129 support → bullish continuation likely Breakdown & close below 0.120 → invalidation → stay out / look for shorts
$ACU – Cooling After the Spike or Just a Healthy Pullback? 👀
Strong impulsive move higher earlier today → now price is consolidating / pulling back and tightening around the 0.128 – 0.129 zone.
Volatility is clearly cooling off → we’re in a high-probability decision zone.
15m Chart Setup
Entry Zone: 0.126 – 0.129 (ideally on a strong bounce + volume)
Stop Loss: 0.120 (below recent swing low & psychological level)
Take Profit 1: 0.140 (first major resistance / ~10% move)
Take Profit 2: 0.155 (extension target / ~20% from entry)
Bias
Hold & close above 0.126–0.129 support → bullish continuation likely
Breakdown & close below 0.120 → invalidation → stay out / look for shorts
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$SXT Market structure on $SXT remains bullish overall, but we're now in a healthy consolidation/pullback after the recent strong impulsive expansion from the ~$0.027–$0.028 lows. Price aggressively swept buy-side liquidity above $0.043, then pulled back sharply, shaking out weak hands. This is a classic reset phase — not a reversal. Liquidity was grabbed below $0.035 during the dip, but price has reclaimed and is holding above the prior breakout zone (~$0.035–$0.036), preserving the higher low structure. Trend strength is still bullish on higher timeframes. EP (Entry Price) $0.0355 – $0.0365 (current consolidation zone for better R:R; wait for a dip or confirmation here) TP (Take Profit) TP1: $0.0395 (next minor resistance) TP2: $0.0430 (recent high / liquidity pool) TP3: $0.0480+ (extension toward previous cycle highs if momentum returns) SL (Stop Loss) $0.0340 (below recent swing low and key support to invalidate the setup) Momentum has cooled after the sharp expansion, allowing price to build a base above support. Liquidity rests above $0.0395 and $0.0430, and as long as $0.0340 holds, continuation toward those levels is favored. Watch for volume pickup on any retest of support
$SXT
Market structure on $SXT remains bullish overall, but we're now in a healthy consolidation/pullback after the recent strong impulsive expansion from the ~$0.027–$0.028 lows. Price aggressively swept buy-side liquidity above $0.043, then pulled back sharply, shaking out weak hands.
This is a classic reset phase — not a reversal. Liquidity was grabbed below $0.035 during the dip, but price has reclaimed and is holding above the prior breakout zone (~$0.035–$0.036), preserving the higher low structure. Trend strength is still bullish on higher timeframes.
EP (Entry Price)
$0.0355 – $0.0365 (current consolidation zone for better R:R; wait for a dip or confirmation here)
TP (Take Profit)
TP1: $0.0395 (next minor resistance)
TP2: $0.0430 (recent high / liquidity pool)
TP3: $0.0480+ (extension toward previous cycle highs if momentum returns)
SL (Stop Loss)
$0.0340 (below recent swing low and key support to invalidate the setup)
Momentum has cooled after the sharp expansion, allowing price to build a base above support. Liquidity rests above $0.0395 and $0.0430, and as long as $0.0340 holds, continuation toward those levels is favored. Watch for volume pickup on any retest of support
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Updated Short Setup: $DUSK 🩸 Pump ran dry fast — $DUSK spiked hard but cracked under heavy supply, now rejecting highs with fading volume. SHORT $DUSK 👉 Entry: 0.238 – 0.255 (better zone now that it's pulled back from the recent peak) 👉 Stop Loss (SL): 0.268 (above recent swing high for safety) 👉 Take Profit 1 (TP1): 0.195 (first major support) 👉 Take Profit 2 (TP2): 0.165 (deeper target if sellers dominate) 👉 Risk-Reward: ~1:3+ on full targets Why short? Price pumped aggressively but volume dried up at the highs → classic exhaustion. Rejected hard around 0.26x resistance, structure remains bearish as long as we stay capped below 0.265–0.27. Broader momentum cooling after the massive 7-day run (over 200% gains recently).
Updated Short Setup: $DUSK
🩸 Pump ran dry fast — $DUSK spiked hard but cracked under heavy supply, now rejecting highs with fading volume.
SHORT $DUSK
👉 Entry: 0.238 – 0.255 (better zone now that it's pulled back from the recent peak)
👉 Stop Loss (SL): 0.268 (above recent swing high for safety)
👉 Take Profit 1 (TP1): 0.195 (first major support)
👉 Take Profit 2 (TP2): 0.165 (deeper target if sellers dominate)
👉 Risk-Reward: ~1:3+ on full targets
Why short?
Price pumped aggressively but volume dried up at the highs → classic exhaustion.
Rejected hard around 0.26x resistance, structure remains bearish as long as we stay capped below 0.265–0.27.
Broader momentum cooling after the massive 7-day run (over 200% gains recently).
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$BOME / USDT Current Price: 0.000606 (+4.12%) Direction: Long Entry Zone: 0.000585 – 0.000600 Take Profit Levels: TP1: 0.000630 (≈ +7–8% from entry) TP2: 0.000660 Final Target: 0.000690 (≈ +15–18% from entry) Stop Loss: 0.000558 (below key support – invalidation level) Recommended Leverage: 3x – 5x Risk per Trade: 1–2% of account (adjust position size accordingly) Trade Rationale / Technical Note: Price showed a strong bounce from the 0.000558 major support zone with increasing buying volume and clear rejection candles. Momentum is rebuilding after the recent sharp dip. As long as price holds above 0.000590 (key short-term support), continuation to the upside remains likely. Watch for a clean break above 0.000615 for stronger confirmation. Risk/Reward: ≈ 1:3+ (depending on which TP is hit) Click below to Take Trade {spot}(BOMEUSDT)
$BOME / USDT
Current Price: 0.000606 (+4.12%)
Direction: Long
Entry Zone: 0.000585 – 0.000600
Take Profit Levels:
TP1: 0.000630 (≈ +7–8% from entry)
TP2: 0.000660
Final Target: 0.000690 (≈ +15–18% from entry)
Stop Loss: 0.000558 (below key support – invalidation level)
Recommended Leverage: 3x – 5x
Risk per Trade: 1–2% of account (adjust position size accordingly)
Trade Rationale / Technical Note:
Price showed a strong bounce from the 0.000558 major support zone with increasing buying volume and clear rejection candles. Momentum is rebuilding after the recent sharp dip. As long as price holds above 0.000590 (key short-term support), continuation to the upside remains likely. Watch for a clean break above 0.000615 for stronger confirmation.
Risk/Reward: ≈ 1:3+ (depending on which TP is hit)
Click below to Take Trade
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$STG Current: ~0.1690 (+~18–20% from recent lows) Trade: Long Entry: 0.1650 – 0.1680 (pullback zone / retest of breakout level) TP1: 0.1850 TP2: 0.1950 Final Target: 0.2050 – 0.2200 Stop Loss: 0.1580 (below recent swing low and 0.16 psychological level) Leverage: 3x – 5x (use lower leverage if volatility spikes) Note: Strong bullish continuation after breaking and holding above 0.17. Buyers are firmly in control with clean higher-highs and higher-lows on multiple timeframes. As long as price holds above 0.165, momentum favors further upside toward 0.19–0.22 zone. Watch for volume confirmation on any pullback. If it breaks below 0.158, invalidate the setup and consider exiting.
$STG
Current: ~0.1690 (+~18–20% from recent lows)
Trade: Long
Entry: 0.1650 – 0.1680 (pullback zone / retest of breakout level)
TP1: 0.1850
TP2: 0.1950
Final Target: 0.2050 – 0.2200
Stop Loss: 0.1580 (below recent swing low and 0.16 psychological level)
Leverage: 3x – 5x (use lower leverage if volatility spikes)
Note: Strong bullish continuation after breaking and holding above 0.17. Buyers are firmly in control with clean higher-highs and higher-lows on multiple timeframes. As long as price holds above 0.165, momentum favors further upside toward 0.19–0.22 zone. Watch for volume confirmation on any pullback. If it breaks below 0.158, invalidate the setup and consider exiting.
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SPOT AND FUTURE TRADE – $PLUME 4H Bias: Bullish pullback → continuation (potential swing low after recent dump) Entry Zone: 0.0142 – 0.0139 (Improved alignment with current demand zone + recent reaction lows around 0.0138–0.0140; better confluence for bounce) Stop Loss: 0.0134 (Placed below the recent absolute low/invalidation level; tighter than original for better R:R while still respecting structure) Targets: TP1: 0.0160 (first liquidity grab + previous resistance) TP2: 0.0172 (higher target near recent highs/liquidity pool) TP3 (optional extension): 0.0185+ (if strong volume breakout) Risk-Reward Ratio: ~1:2.5+ on TP1, ~1:4+ on TP2 (excellent for spot or 2–5x leverage) Why this works: Sharp sell-off + strong bullish reaction candle(s) on 4H = classic swing low formation. Price is retracing into high-confluence demand (previous lows + potential order block) without breaking higher structure yet. Clear upside liquidity above recent highs (~0.017–0.019) — smart money likely reloading here after the dump. RWA narrative still strong for PLUME (tokenization focus), with potential catalysts like ecosystem unlocks or partnerships. Risks & Invalidations: Spot or light leverage only (max 5x recommended — avoid over-leveraging in volatile RWA tokens). Setup invalid if 4H closes decisively below 0.0134 (breaks demand + swing low). Market has already dumped heavily — this is prime reload zone for accumulation, not panic selling. Watch volume on bounce. Let me know what specific changes you had in mind (e.g., different bias, wider entry, higher targets, or adding indicators like RSI/volume), and I can tweak it further! 🚀
SPOT AND FUTURE TRADE – $PLUME 4H
Bias: Bullish pullback → continuation (potential swing low after recent dump)
Entry Zone: 0.0142 – 0.0139
(Improved alignment with current demand zone + recent reaction lows around 0.0138–0.0140; better confluence for bounce)
Stop Loss: 0.0134
(Placed below the recent absolute low/invalidation level; tighter than original for better R:R while still respecting structure)
Targets:
TP1: 0.0160 (first liquidity grab + previous resistance)
TP2: 0.0172 (higher target near recent highs/liquidity pool)
TP3 (optional extension): 0.0185+ (if strong volume breakout)
Risk-Reward Ratio: ~1:2.5+ on TP1, ~1:4+ on TP2 (excellent for spot or 2–5x leverage)
Why this works:
Sharp sell-off + strong bullish reaction candle(s) on 4H = classic swing low formation.
Price is retracing into high-confluence demand (previous lows + potential order block) without breaking higher structure yet.
Clear upside liquidity above recent highs (~0.017–0.019) — smart money likely reloading here after the dump.
RWA narrative still strong for PLUME (tokenization focus), with potential catalysts like ecosystem unlocks or partnerships.
Risks & Invalidations:
Spot or light leverage only (max 5x recommended — avoid over-leveraging in volatile RWA tokens).
Setup invalid if 4H closes decisively below 0.0134 (breaks demand + swing low).
Market has already dumped heavily — this is prime reload zone for accumulation, not panic selling. Watch volume on bounce.
Let me know what specific changes you had in mind (e.g., different bias, wider entry, higher targets, or adding indicators like RSI/volume), and I can tweak it further! 🚀
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According to my analysis, $CVX (Convex Finance) is showing a strong bullish recovery after a clean bounce from the key demand zone around $1.93–$2.00. The price has reclaimed short-term resistance and is holding firmly above the previous base, with improving momentum indicators (higher lows and strong bullish candles). This confirms ongoing buyer strength and accumulation following the recent pullback. As long as price holds above the $1.95–$2.00 support zone, the bullish bias remains intact. The current structure strongly favors continuation to the upside rather than reversal. For spot traders, this remains a solid buy-and-hold setup. I am bullish on $CVX in spot and expect further upside in the near term. Updated Targets: TP1: $2.25 (first resistance area) TP2: $2.40 (next major level) TP3: $2.60+ (extended target if momentum accelerates) Let me know what specific changes you'd like — e.g., adjust the support/resistance levels, add risk management (stop-loss), make it more aggressive/conservative, shorten it, or add chart references? I can refine it further! 🚀
According to my analysis, $CVX (Convex Finance) is showing a strong bullish recovery after a clean bounce from the key demand zone around $1.93–$2.00. The price has reclaimed short-term resistance and is holding firmly above the previous base, with improving momentum indicators (higher lows and strong bullish candles).
This confirms ongoing buyer strength and accumulation following the recent pullback. As long as price holds above the $1.95–$2.00 support zone, the bullish bias remains intact.
The current structure strongly favors continuation to the upside rather than reversal.
For spot traders, this remains a solid buy-and-hold setup.
I am bullish on $CVX in spot and expect further upside in the near term.
Updated Targets:
TP1: $2.25 (first resistance area)
TP2: $2.40 (next major level)
TP3: $2.60+ (extended target if momentum accelerates)
Let me know what specific changes you'd like — e.g., adjust the support/resistance levels, add risk management (stop-loss), make it more aggressive/conservative, shorten it, or add chart references? I can refine it further! 🚀
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🔴 $FHE – Second Chance Short Opportunity SHORT $FHE Entry: 0.202 – 0.208 Stop Loss: Close above 0.216 (tightened to reduce risk) Take Profit 1: 0.192 (first target, ~6-7% potential) Take Profit 2: 0.180 (extended target, ~12-14% potential) $FHE has retested the same heavy supply zone after the initial drop, but the bounce lacks conviction—weak volume and rejection at 0.20+ confirm sellers are still in control. This looks like a classic dead-cat bounce into resistance, not a genuine reversal. As long as price fails to break and hold above 0.215, downside momentum should resume. High-probability continuation short here. Trade $FHE carefully 👇 {future}(FHEUSDT)
🔴 $FHE – Second Chance Short Opportunity
SHORT $FHE
Entry: 0.202 – 0.208
Stop Loss: Close above 0.216 (tightened to reduce risk)
Take Profit 1: 0.192 (first target, ~6-7% potential)
Take Profit 2: 0.180 (extended target, ~12-14% potential)
$FHE has retested the same heavy supply zone after the initial drop, but the bounce lacks conviction—weak volume and rejection at 0.20+ confirm sellers are still in control. This looks like a classic dead-cat bounce into resistance, not a genuine reversal. As long as price fails to break and hold above 0.215, downside momentum should resume.
High-probability continuation short here. Trade $FHE carefully 👇
$IOTA /USDT Thiết lập Sự phục hồi đã làm dịu đà tăng sau một đợt tăng gần đây — giá đã bật mạnh từ mức thấp và hiện đang ổn định/phá vỡ trên các mức cấu trúc quan trọng để thử nghiệm phục hồi tiếp theo. Khu vực Mua (điều chỉnh cho hành động giá hiện tại): 0.0860 – 0.0875 (Vẫn là khu vực vào lệnh hợp lệ trên bất kỳ sự phục hồi nhỏ nào, nhưng giá đã đang tăng cao hơn) Mức Chốt Lợi (được điều chỉnh nhẹ cho đà tăng hiện tại): TP1: 0.0905 TP2: 0.0930 TP3: 0.0970 Mức Dừng Lỗ (thắt chặt một chút để cải thiện tỷ lệ rủi ro-phần thưởng): 0.0840 Tỷ lệ Rủi Ro-Phần Thưởng: ~1:3+ trên các mục tiêu đầy đủ Hãy cho tôi biết những thay đổi cụ thể mà bạn muốn (ví dụ: dừng lỗ chặt chẽ hơn, các TP khác nhau, thêm các tín hiệu vào lệnh, hoặc làm cho nó bảo thủ hơn) — tôi có thể tinh chỉnh nó thêm! 🚀
$IOTA /USDT Thiết lập
Sự phục hồi đã làm dịu đà tăng sau một đợt tăng gần đây — giá đã bật mạnh từ mức thấp và hiện đang ổn định/phá vỡ trên các mức cấu trúc quan trọng để thử nghiệm phục hồi tiếp theo.
Khu vực Mua (điều chỉnh cho hành động giá hiện tại): 0.0860 – 0.0875
(Vẫn là khu vực vào lệnh hợp lệ trên bất kỳ sự phục hồi nhỏ nào, nhưng giá đã đang tăng cao hơn)
Mức Chốt Lợi (được điều chỉnh nhẹ cho đà tăng hiện tại):
TP1: 0.0905
TP2: 0.0930
TP3: 0.0970
Mức Dừng Lỗ (thắt chặt một chút để cải thiện tỷ lệ rủi ro-phần thưởng): 0.0840
Tỷ lệ Rủi Ro-Phần Thưởng: ~1:3+ trên các mục tiêu đầy đủ
Hãy cho tôi biết những thay đổi cụ thể mà bạn muốn (ví dụ: dừng lỗ chặt chẽ hơn, các TP khác nhau, thêm các tín hiệu vào lệnh, hoặc làm cho nó bảo thủ hơn) — tôi có thể tinh chỉnh nó thêm! 🚀
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$JST /USDT {spot}(JSTUSDT) Range compression after a steady climb — liquidity building for a directional breakout (likely bullish continuation). Buy Zone: 0.0429 – 0.0434 Take Profit Levels: TP1: 0.0446 (first resistance / ~3.5–4% gain) TP2: 0.0462 (next major level / ~7–8% gain) TP3: 0.0485 (extended target / ~12–13% gain) Stop Loss: 0.0419 (below recent swing low / invalidation point)
$JST /USDT

Range compression after a steady climb — liquidity building for a directional breakout (likely bullish continuation).
Buy Zone: 0.0429 – 0.0434
Take Profit Levels:
TP1: 0.0446 (first resistance / ~3.5–4% gain)
TP2: 0.0462 (next major level / ~7–8% gain)
TP3: 0.0485 (extended target / ~12–13% gain)
Stop Loss: 0.0419 (below recent swing low / invalidation point)
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$FF / USDT Vertical impulse broke the range earlier, now coiling tight in consolidation near recent highs — watching for the next expansion leg higher if volume picks up. Buy Zone: 0.0780 – 0.0820 (adjusted lower for better risk/reward in current consolidation) TP1: 0.0895 TP2: 0.0940 TP3: 0.0990 – 0.1020 (added slight extension target) Stop Loss: 0.0750 (tighter stop to protect against downside break)
$FF / USDT Vertical impulse broke the range earlier, now coiling tight in consolidation near recent highs — watching for the next expansion leg higher if volume picks up.
Buy Zone: 0.0780 – 0.0820 (adjusted lower for better risk/reward in current consolidation)
TP1: 0.0895
TP2: 0.0940
TP3: 0.0990 – 0.1020 (added slight extension target)
Stop Loss: 0.0750 (tighter stop to protect against downside break)
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$HEI / USDT Higher lows are stacking nicely after the recent shakeout ✅ Momentum is rebuilding → continuation push looking very likely 🚀 Buy Zone: 0.1365 – 0.1395 Targets: TP1: 0.1465 (+4.9%) TP2: 0.1540 (+9.8%) TP3: 0.1620 (+15.7%) Stop Loss: 0.1318 (-5.0%) Risk:Reward (to TP3): ≈ 1 : 3.1
$HEI / USDT Higher lows are stacking nicely after the recent shakeout ✅
Momentum is rebuilding → continuation push looking very likely 🚀
Buy Zone: 0.1365 – 0.1395
Targets:
TP1: 0.1465 (+4.9%)
TP2: 0.1540 (+9.8%)
TP3: 0.1620 (+15.7%)
Stop Loss: 0.1318 (-5.0%)
Risk:Reward (to TP3): ≈ 1 : 3.1
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$D / USDT Momentum has flipped strongly bullish after a clean base sweep. Buyers are actively defending pullbacks while volatility is expanding — classic setup for continuation. Buy Zone: 0.0146 – 0.0150 Take-Profit Targets: TP1: 0.0163 (+10.1%) TP2: 0.0178 (+19.5%) TP3: 0.0195 (+31.1%) Stop Loss: 0.0139 (-5.4% from zone midpoint) Risk-Reward (from zone midpoint ~0.0148): ≈ 1:5.7 on TP3
$D / USDT
Momentum has flipped strongly bullish after a clean base sweep. Buyers are actively defending pullbacks while volatility is expanding — classic setup for continuation.
Buy Zone: 0.0146 – 0.0150
Take-Profit Targets:
TP1: 0.0163 (+10.1%)
TP2: 0.0178 (+19.5%)
TP3: 0.0195 (+31.1%)
Stop Loss: 0.0139 (-5.4% from zone midpoint)
Risk-Reward (from zone midpoint ~0.0148): ≈ 1:5.7 on TP3
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Listen — $STG is not done yet, this move has real strength behind it. That push from the lows wasn’t luck. Clean structure shift, strong impulse wave, and price is holding firmly above the breakout zone with increasing volume. STG/USDT Long Setup (1H) Entry Zone: 0.162 – 0.166 (tighter for better confirmation on retest) Stop-Loss: 0.157 (below recent swing low + buffer) Take Profit: TP1: 0.178 (first resistance, ~8-10% from entry) TP2: 0.190 (next major level) TP3: 0.205 (extended target if momentum continues) Why this setup looks strong: Clear higher high + higher low structure on the 1H/4H. Strong bullish candles with minimal pullback and solid volume support. Buyers defended the 0.155–0.158 zone aggressively and pushed straight through resistance. Momentum indicators (RSI above 60, MACD bullish crossover) still intact — this screams continuation, not exhaustion. Risk management note: Invalidation below 0.157 would likely signal a fakeout. Use proper position sizing (1-2% risk max).
Listen — $STG is not done yet, this move has real strength behind it.
That push from the lows wasn’t luck. Clean structure shift, strong impulse wave, and price is holding firmly above the breakout zone with increasing volume.
STG/USDT Long Setup (1H)
Entry Zone: 0.162 – 0.166 (tighter for better confirmation on retest)
Stop-Loss: 0.157 (below recent swing low + buffer)
Take Profit:
TP1: 0.178 (first resistance, ~8-10% from entry)
TP2: 0.190 (next major level)
TP3: 0.205 (extended target if momentum continues)
Why this setup looks strong:
Clear higher high + higher low structure on the 1H/4H. Strong bullish candles with minimal pullback and solid volume support. Buyers defended the 0.155–0.158 zone aggressively and pushed straight through resistance. Momentum indicators (RSI above 60, MACD bullish crossover) still intact — this screams continuation, not exhaustion.
Risk management note:
Invalidation below 0.157 would likely signal a fakeout. Use proper position sizing (1-2% risk max).
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$FHE /USDT has shown a strong impulsive rally followed by clear rejection from higher levels (~0.28–0.30 zone). We're now seeing volatility expansion and a corrective pullback as late buyers unwind. As long as price remains below the key rejection zone, downside continuation is favored in the short term. Trade Setup (Short) Entry: 0.235 – 0.248 (better risk-reward zone after recent pullback) Target 1: 0.220 (first support / quick scalp) Target 2: 0.208 (deeper correction target) Target 3: 0.195 (extended target if momentum builds) Stop Loss: 0.258 (above recent swing high / invalidation level)
$FHE /USDT has shown a strong impulsive rally followed by clear rejection from higher levels (~0.28–0.30 zone). We're now seeing volatility expansion and a corrective pullback as late buyers unwind. As long as price remains below the key rejection zone, downside continuation is favored in the short term.
Trade Setup (Short)
Entry: 0.235 – 0.248 (better risk-reward zone after recent pullback)
Target 1: 0.220 (first support / quick scalp)
Target 2: 0.208 (deeper correction target)
Target 3: 0.195 (extended target if momentum builds)
Stop Loss: 0.258 (above recent swing high / invalidation level)
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