$BEAT Long 10x | Zone triggered, risk locked in.
BEAT has finally entered the zone where the risk-to-reward equation flips in our favor. I am already positioned, and the invalidation is clearly defined in the plan below.
Trade Plan:
- Entry: 3.91000 – 3.95600
- TP1: 4.09800 (R:R 1:0.8)
- TP2: 4.20800 (R:R 1:1.3)
- TP3: 4.37300 (R:R 1:2.0)
- SL: 3.71300
Why this setup?
- The structure remains intact: 4h holds as long as price stays within 3.91000–3.95600 near 3.93300.
- RSI on the 15m timeframe sits at 55, showing neutral momentum that still allows for upside continuation without overextension.
- Volume confirms real participation: 3.84x the average, with 13.16K traded versus 3.43K expected, signaling genuine buy-side interest.
My call. Your execution..
Trade here 👇 and After TP1, do you tighten the stop to lock profit or let the full runner breathe for a bigger move?
BEAT has finally entered the zone where the risk-to-reward equation flips in our favor. I am already positioned, and the invalidation is clearly defined in the plan below.
Trade Plan:
- Entry: 3.91000 – 3.95600
- TP1: 4.09800 (R:R 1:0.8)
- TP2: 4.20800 (R:R 1:1.3)
- TP3: 4.37300 (R:R 1:2.0)
- SL: 3.71300
Why this setup?
- The structure remains intact: 4h holds as long as price stays within 3.91000–3.95600 near 3.93300.
- RSI on the 15m timeframe sits at 55, showing neutral momentum that still allows for upside continuation without overextension.
- Volume confirms real participation: 3.84x the average, with 13.16K traded versus 3.43K expected, signaling genuine buy-side interest.
My call. Your execution..
Trade here 👇 and After TP1, do you tighten the stop to lock profit or let the full runner breathe for a bigger move?