$ZEC Short 75x | Short is live at supply, risk defined.
ZEC has finally reached the supply zone I mapped out—this is where the plan gets tested, not where hope gets born. This is a managed short with a clear invalidation—not a guess from the middle of nowhere.
Trade Plan:
- Entry: 779.36406 – 794.11495
- TP1: 683.18828 (R:R 1:0.8)
- TP2: 614.15414 (R:R 1:1.2)
- TP3: 510.60292 (R:R 1:2.0)
- SL: 924.80779
Why this setup?
- The 4h chart still gives me a valid short map, with a bullish 1D backdrop and price reacting from 779.36406–794.11495 near 786.73950.
- 15m RSI at 50 shows neutral momentum, leaving room for downside continuation if sellers defend this zone.
- Volume is not silent here: 4.03x pace, 52.64K traded versus 13.05K expected, showing real sell-side participation.
My call. Your execution..
Trade here 👇 and Which entry do you trust more: the first touch or the second rejection?