Short Summary of the Trade Idea:

Asset: $MAGMA (Bearish / Short)

Strategy: Trading a rejection of the $0.235–$0.240 supply zone after a liquidity sweep.

Entry: 0.2335 – 0.2350

Target: 0.2180 (filling lower voids)

Stop Loss: 0.2405

Trigger: A breakdown below the $0.2300 pivot will likely accelerate the move down.

If you'd like, let me know:

Is there a specific holding time you prefer for this trade (e.g., scalp, swing)?

What is your typical risk per trade?

I can help calculate your optimal position size.