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$ZEREBRO {future}(ZEREBROUSDT) Recommended Short Setup Leverage 3-5x max; 1:2+ R:R. Entry: $0.0385–$0.0390 (wick at resistance). Confirm bearish 1H close (engulfing, vol fade >$16M) Stop Loss: $0.041 (above extension + buffer; ~4% risk). Trail to $0.0388 on drop. Take Profits: TP1: $0.0365 (~5% gain; scale 30%)—pivot. TP2: $0.034 (~11%; scale 40%)—Fib 38.2%. TP3: $0.032 (extension; scale rest for 15%+ R:R)—61.8%. Why Short?: Neutral-to-bearish momentum + predictions = reversion play; invalidates above $0.0405 (flip long to $0.042) Alternative Long (Bounce Continuation): Entry $0.0365–$0.037; SL $0.034; TPs $0.038/$0.042/$0.049. Prob ~35%, on vol rebound. Execution Tips: US/Asia overlap for vol; alerts on $0.0385 reject/$0.0365 hold. Risk 1%—low-liq token swings wild. DYOR, watch Binance news for rugs. Neutral setup—trade the fade cautiously!
$ZEREBRO


Recommended Short Setup Leverage 3-5x max; 1:2+ R:R.

Entry: $0.0385–$0.0390 (wick at resistance). Confirm bearish 1H close (engulfing, vol fade >$16M)

Stop Loss: $0.041 (above extension + buffer; ~4% risk). Trail to $0.0388 on drop.

Take Profits:
TP1: $0.0365 (~5% gain; scale 30%)—pivot.
TP2: $0.034 (~11%; scale 40%)—Fib 38.2%.
TP3: $0.032 (extension; scale rest for 15%+ R:R)—61.8%.

Why Short?: Neutral-to-bearish momentum + predictions = reversion play; invalidates above $0.0405 (flip long to $0.042)

Alternative Long (Bounce Continuation): Entry $0.0365–$0.037; SL $0.034; TPs $0.038/$0.042/$0.049. Prob ~35%, on vol rebound.

Execution Tips: US/Asia overlap for vol; alerts on $0.0385 reject/$0.0365 hold. Risk 1%—low-liq token swings wild. DYOR, watch Binance news for rugs. Neutral setup—trade the fade cautiously!
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Recommended Short Setup Leverage 3-5x; 1:4+ R:R. $ESPORTS {future}(ESPORTSUSDT) Entry: $0.385–$0.390 (wick rejection). Confirm bearish 1H (engulfing, vol fade >$20M). Stop Loss: $0.400 (above ATH + buffer; ~3-4% risk). Trail to $0.388. Take Profits: TP1: $0.37 (~5% gain; scale 30%)—pivot. TP2: $0.33 (~15%; scale 40%)—Fib. TP3: $0.30 (extension; scale rest for 25%+ R:R)—EMA20. Why Short?: Overbought exhaustion = reversion; invalidates above $0.40 (long to $0.42). Alt Long: Entry $0.37; SL $0.35; TPs $0.39/$0.42/$0.45. Prob ~20%. Tips: Asia/US vol; alerts $0.39 reject. Risk 1%—gaming vol wild. DYOR!
Recommended Short Setup Leverage 3-5x; 1:4+ R:R.

$ESPORTS

Entry: $0.385–$0.390 (wick rejection). Confirm bearish 1H (engulfing, vol fade >$20M).

Stop Loss: $0.400 (above ATH + buffer; ~3-4% risk). Trail to $0.388.

Take Profits:
TP1: $0.37 (~5% gain; scale 30%)—pivot.
TP2: $0.33 (~15%; scale 40%)—Fib.
TP3: $0.30 (extension; scale rest for 25%+ R:R)—EMA20.

Why Short?: Overbought exhaustion = reversion; invalidates above $0.40 (long to $0.42).

Alt Long: Entry $0.37; SL $0.35; TPs $0.39/$0.42/$0.45. Prob ~20%.

Tips: Asia/US vol; alerts $0.39 reject. Risk 1%—gaming vol wild. DYOR!
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$RESOLV {future}(RESOLVUSDT) Recommended Long Setup Leverage 3-5x max; 1:3+ R:R. Entry: $0.144–$0.146 (current pivot retest). Confirm bullish 1H close (hammer, vol >$130M). Stop Loss: $0.138 (below Fib + buffer; ~4-5% risk). Trail to $0.148 on gains. Take Profits: TP1: $0.152 (~4% gain; scale 30%)—127.2% Fib. TP2: $0.160 (~10%; scale 40%)—psych level. TP3: $0.18 (extension; scale rest for 20%+ R:R)—200 EMA. Why Long?: MACD/RSI momentum + catalysts = upside bias; invalidates below $0.138 (short to $0.12). Alternative Short (Rejection Fade): Entry $0.153–$0.155; SL $0.160; TPs $0.144/$0.13/$0.12. Prob ~30%, on divergence spike. Execution Tips: US close/Asia open vol; alerts on $0.152 break/$0.144 hold. Risk 1%—DeFi pumps volatile. DYOR, track fee switch adoption. Momentum favors bulls—ride it smart!
$RESOLV

Recommended Long Setup Leverage 3-5x max; 1:3+ R:R.

Entry: $0.144–$0.146 (current pivot retest). Confirm bullish 1H close (hammer, vol >$130M).

Stop Loss: $0.138 (below Fib + buffer; ~4-5% risk). Trail to $0.148 on gains.

Take Profits:
TP1: $0.152 (~4% gain; scale 30%)—127.2% Fib.
TP2: $0.160 (~10%; scale 40%)—psych level.
TP3: $0.18 (extension; scale rest for 20%+ R:R)—200 EMA.

Why Long?: MACD/RSI momentum + catalysts = upside bias; invalidates below $0.138 (short to $0.12).

Alternative Short (Rejection Fade): Entry $0.153–$0.155; SL $0.160; TPs $0.144/$0.13/$0.12. Prob ~30%, on divergence spike.

Execution Tips: US close/Asia open vol; alerts on $0.152 break/$0.144 hold. Risk 1%—DeFi pumps volatile. DYOR, track fee switch adoption. Momentum favors bulls—ride it smart!
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Medvědí
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$LSK {future}(LSKUSDT) Recommended Short Setup Leverage 3-5x max; 1:3+ R:R. Entry: $0.320–$0.325 (wick at extension). Confirm bearish 1H close (engulfing, vol fade >$100M). Stop Loss: $0.330 (above high + buffer; ~3-4% risk). Trail to $0.318 on drop. Take Profits: TP1: $0.315 (~2% gain; scale 30%)—pivot. TP2: $0.27 (~15%; scale 40%)—Fib 38.2%. TP3: $0.24 (extension; scale rest for 25%+ R:R)—61.8%. Why Short?: Overbought exhaustion + divergence = reversion play; invalidates above $0.330 (flip long to $0.35). Alternative Long (Continuation): Entry $0.315–$0.317; SL $0.30; TPs $0.32/$0.35/$0.40. Prob ~30%, on vol surge. Execution Tips: US/Asia overlap for vol; alerts on $0.32 reject/$0.315 hold. Risk 1%—LSK's beta amplifies. DYOR, watch IDRX news for catalysts. Fade the rip, or ride if breaks!
$LSK

Recommended Short Setup Leverage 3-5x max; 1:3+ R:R.

Entry: $0.320–$0.325 (wick at extension). Confirm bearish 1H close (engulfing, vol fade >$100M).
Stop Loss: $0.330 (above high + buffer; ~3-4% risk). Trail to $0.318 on drop.

Take Profits:
TP1: $0.315 (~2% gain; scale 30%)—pivot.
TP2: $0.27 (~15%; scale 40%)—Fib 38.2%.
TP3: $0.24 (extension; scale rest for 25%+ R:R)—61.8%.

Why Short?: Overbought exhaustion + divergence = reversion play; invalidates above $0.330 (flip long to $0.35).

Alternative Long (Continuation): Entry $0.315–$0.317; SL $0.30; TPs $0.32/$0.35/$0.40. Prob ~30%, on vol surge.

Execution Tips: US/Asia overlap for vol; alerts on $0.32 reject/$0.315 hold. Risk 1%—LSK's beta amplifies. DYOR, watch IDRX news for catalysts. Fade the rip, or ride if breaks!
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$ALCH {future}(ALCHUSDT) Recommended Short Setup Leverage 3-5x max; 1:3+ R:R. Entry: $0.126–$0.128 (rejection wick at high). Confirm bearish 1H close (engulfing, vol fade >$70M). Stop Loss: $0.132 (above extension + buffer; ~4-5% risk). Trail to $0.125 on downside. Take Profits: TP1: $0.122 (~3% gain; scale 30%)—pivot. TP2: $0.11 (~13%; scale 40%)—Fib 38.2%. TP3: $0.095 (extension; scale rest for 25%+ R:R)—EMA20. Why Short?: Overbought trap + divergence = mean reversion; invalidates above $0.132 (flip long to $0.14). Alternative Long (Dip Continuation): Entry $0.122–$0.124; SL $0.115; TPs $0.127/$0.14/$0.16. Prob ~25%, on vol hold. Execution Tips: US/Asia vol overlap; alerts on $0.127 reject/$0.122 hold. Risk 1%—AI tokens volatile. DYOR, monitor FET for sector cues. Fade first, ride if breaks!
$ALCH
Recommended Short Setup Leverage 3-5x max; 1:3+ R:R.

Entry: $0.126–$0.128 (rejection wick at high). Confirm bearish 1H close (engulfing, vol fade >$70M).

Stop Loss: $0.132 (above extension + buffer; ~4-5% risk). Trail to $0.125 on downside.

Take Profits:
TP1: $0.122 (~3% gain; scale 30%)—pivot.
TP2: $0.11 (~13%; scale 40%)—Fib 38.2%.
TP3: $0.095 (extension; scale rest for 25%+ R:R)—EMA20.

Why Short?: Overbought trap + divergence = mean reversion; invalidates above $0.132 (flip long to $0.14).

Alternative Long (Dip Continuation): Entry $0.122–$0.124; SL $0.115; TPs $0.127/$0.14/$0.16. Prob ~25%, on vol hold.

Execution Tips: US/Asia vol overlap; alerts on $0.127 reject/$0.122 hold. Risk 1%—AI tokens volatile. DYOR, monitor FET for sector cues. Fade first, ride if breaks!
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$MELANIA {future}(MELANIAUSDT) Doporučené krátké nastavení páky 3-5x max; 1:3+ R:R. Vstup: $0.225–$0.230 (knoflík/odmítnutí při prodloužení). Potvrďte medvědí uzavření 1H (pohlcení, objem dolů >$70M). Stop Loss: $0.235 (nad maximem + rezerva; ~4-5% riziko). Trail na $0.228 při poklesu. Zisky: TP1: $0.215 (~5% zisk; měřítko 30%)—pivot. TP2: $0.18 (~20%; měřítko 40%)—Fib 38.2%. TP3: $0.16 (prodloužení; měřítko zbytek pro 30%+ R:R)—61.8%. Proč krátce?: Překoupené vyčerpání + divergence = vysoká pravděpodobnost střední reversion; neplatí nad $0.235 (přepnout na dlouho na $0.27). Alternativní dlouho (pokračování): Vstup $0.215–$0.220; SL $0.205; TPs $0.23/$0.27/$0.30. Pravděpodobnost ~25%, při zvýšení objemu. Tipy pro provádění: US/Asie překryv objemu; upozornění na $0.23 odmítnutí/$0.215 držení. Riziko 1%—memes likvidní rychle. DYOR, sledujte korelaci $TRUMP. Pokud hype vydrží, stlačit výše; jinak, fade vyhrává. Obchodujte ostře!
$MELANIA
Doporučené krátké nastavení páky 3-5x max; 1:3+ R:R.

Vstup: $0.225–$0.230 (knoflík/odmítnutí při prodloužení). Potvrďte medvědí uzavření 1H (pohlcení, objem dolů >$70M).

Stop Loss: $0.235 (nad maximem + rezerva; ~4-5% riziko). Trail na $0.228 při poklesu.

Zisky:
TP1: $0.215 (~5% zisk; měřítko 30%)—pivot.
TP2: $0.18 (~20%; měřítko 40%)—Fib 38.2%.
TP3: $0.16 (prodloužení; měřítko zbytek pro 30%+ R:R)—61.8%.

Proč krátce?: Překoupené vyčerpání + divergence = vysoká pravděpodobnost střední reversion; neplatí nad $0.235 (přepnout na dlouho na $0.27).

Alternativní dlouho (pokračování): Vstup $0.215–$0.220; SL $0.205; TPs $0.23/$0.27/$0.30. Pravděpodobnost ~25%, při zvýšení objemu.

Tipy pro provádění: US/Asie překryv objemu; upozornění na $0.23 odmítnutí/$0.215 držení. Riziko 1%—memes likvidní rychle. DYOR, sledujte korelaci $TRUMP. Pokud hype vydrží, stlačit výše; jinak, fade vyhrává. Obchodujte ostře!
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$SOL {future}(SOLUSDT) Doporučené dlouhé nastavení (překoupený odraz) Páka 3-5x; 1:3+ R:R (vysoká odměna po vyplavení). Vstup: 163–165 USD (aktuální retest nízké hodnoty). Potvrďte 1H býčí obrat (kladivo/doji, objem >9 miliard USD stabilizující). Stop Loss: 160 USD (pod rozšířením + rezerva; ~2-3% riziko). Okamžitě trail na 167 USD. Zisky: TP1: 170 USD (~4% zisk; škála 30%)—pivot znovu získán. TP2: 180 USD (~10%; škála 40%)—SMA200. TP3: 190–200 USD (rozšíření; škála zbytek pro 20%+ R:R)—R1 retest. Proč silný dlouhý?: Extrémně překoupené + divergence = palivo pro squeeze; neplatí pod 160 USD (short na 150 USD) Alternativní short (další pokles): Vstup 167–170 USD; SL 173 USD; TPs 163/160/155 USD. Pravděpodobnost ~30%, při neúspěšném odrazu. Tipy pro provedení: Sledujte uzavření USA/otevření Asie pro obrat; upozornění na udržení 165 USD/porušení 160 USD. Riziko 1%—objem SOL amplifikuje pohyby. DYOR, tento pokles voní jako příležitost. Obchodujte zodpovědně!
$SOL
Doporučené dlouhé nastavení (překoupený odraz)
Páka 3-5x; 1:3+ R:R (vysoká odměna po vyplavení).

Vstup: 163–165 USD (aktuální retest nízké hodnoty). Potvrďte 1H býčí obrat (kladivo/doji, objem >9 miliard USD stabilizující).

Stop Loss: 160 USD (pod rozšířením + rezerva; ~2-3% riziko). Okamžitě trail na 167 USD.

Zisky:
TP1: 170 USD (~4% zisk; škála 30%)—pivot znovu získán.
TP2: 180 USD (~10%; škála 40%)—SMA200.
TP3: 190–200 USD (rozšíření; škála zbytek pro 20%+ R:R)—R1 retest.

Proč silný dlouhý?: Extrémně překoupené + divergence = palivo pro squeeze; neplatí pod 160 USD (short na 150 USD)

Alternativní short (další pokles): Vstup 167–170 USD; SL 173 USD; TPs 163/160/155 USD. Pravděpodobnost ~30%, při neúspěšném odrazu.

Tipy pro provedení: Sledujte uzavření USA/otevření Asie pro obrat; upozornění na udržení 165 USD/porušení 160 USD. Riziko 1%—objem SOL amplifikuje pohyby. DYOR, tento pokles voní jako příležitost. Obchodujte zodpovědně!
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$JELLYJELLY {future}(JELLYJELLYUSDT) Recommended Short Setup (Rejection Fade) Leverage 3-5x max; 1:3+ R:R. Entry: $0.185–$0.190 (wick/rejection at resistance). Confirm bearish 1H close (engulfing, vol spike down >$180M). Stop Loss: $0.195 (above high + buffer; ~5-6% risk). Trail to $0.188 on downside. Take Profits: TP1: $0.162 (~12% gain; scale 30%)—pivot support. TP2: $0.145 (~22%; scale 40%)—Fib 38.2%. TP3: $0.128 (extension; scale rest for 30%+ R:R)—61.8% Fib. Why Short?: Overbought exhaustion + divergence = mean reversion; invalidates above $0.197 (flip long to $0.21). Alternative Long (Dip Buy): Entry $0.162–$0.165; SL $0.154; TPs $0.190/$0.205/$0.210. Prob ~30%, only on volume rebound. Execution Tips: Asia/US overlap for vol; alerts on $0.190 reject/$0.165 hold. Risk 1%—memecoins nuke fast (e.g., 1h centralized). DYOR, watch SOL for correlation. If listings confirm, squeeze to $0.25 possible, but trade the fade first!
$JELLYJELLY
Recommended Short Setup (Rejection Fade)
Leverage 3-5x max; 1:3+ R:R.

Entry: $0.185–$0.190 (wick/rejection at resistance).
Confirm bearish 1H close (engulfing, vol spike down >$180M).

Stop Loss: $0.195 (above high + buffer; ~5-6% risk). Trail to $0.188 on downside.

Take Profits:
TP1: $0.162 (~12% gain; scale 30%)—pivot support.
TP2: $0.145 (~22%; scale 40%)—Fib 38.2%.
TP3: $0.128 (extension; scale rest for 30%+ R:R)—61.8% Fib.

Why Short?: Overbought exhaustion + divergence = mean reversion; invalidates above $0.197 (flip long to $0.21).

Alternative Long (Dip Buy): Entry $0.162–$0.165; SL $0.154; TPs $0.190/$0.205/$0.210. Prob ~30%, only on volume rebound.

Execution Tips: Asia/US overlap for vol; alerts on $0.190 reject/$0.165 hold. Risk 1%—memecoins nuke fast (e.g., 1h centralized). DYOR, watch SOL for correlation.
If listings confirm, squeeze to $0.25 possible, but trade the fade first!
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Medvědí
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$0G {future}(0GUSDT) Short Futures (Bearish Bias for Correction) Given extreme RSI (95+) and post-pump fatigue, short is the higher-prob play for mean-reversion. Use 5–10x leverage (1% account risk max). Focus 1H/4H for entry on rejection. Entry: Short $1.42–$1.50 (wick rejection at R1, bearish candle or MACD flip). Confirm volume drop or RSI divergence. Stop Loss: $1.58 (above R2; ~4–5% risk) Targets (Tiered; R:R 1:3+): TP1: $1.30 (38.2% Fib/S1; +9%; close 30%). TP2: $1.17 (61.8% Fib; +18%; close 40%). TP3: $1.00 (S2; +30%; trail 30%). Invalidation/Exit: Cover if closes above $1.55 (bull trap). Monitor news (e.g., APAC dev incentives). Hold 4–24h. Win Probability Edge: ~68% (post-overbought pullbacks to 50% Fib in 7/10 historical cases; squeeze fatigue). Long alternative: If dips to $1.20 hold with volume, enter long targeting $1.65 (R:R 1:2), but current setup favors short
$0G
Short Futures (Bearish Bias for Correction)

Given extreme RSI (95+) and post-pump fatigue, short is the higher-prob play for mean-reversion. Use 5–10x leverage (1% account risk max). Focus 1H/4H for entry on rejection.

Entry: Short $1.42–$1.50 (wick rejection at R1, bearish candle or MACD flip). Confirm volume drop or RSI divergence.

Stop Loss: $1.58 (above R2; ~4–5% risk)

Targets (Tiered; R:R 1:3+):
TP1: $1.30 (38.2% Fib/S1; +9%; close 30%).
TP2: $1.17 (61.8% Fib; +18%; close 40%).
TP3: $1.00 (S2; +30%; trail 30%).

Invalidation/Exit: Cover if closes above $1.55 (bull trap). Monitor news (e.g., APAC dev incentives). Hold 4–24h.

Win Probability Edge: ~68% (post-overbought pullbacks to 50% Fib in 7/10 historical cases; squeeze fatigue).

Long alternative: If dips to $1.20 hold with volume, enter long targeting $1.65 (R:R 1:2), but current setup favors short
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$DASH {future}(DASHUSDT) Recommended Long Setup Perps Leverage 3-5x max; target 1:2+ R:R. Entry: $84–$86 (current levels or retest $82 support). Confirm with 1H bullish close (e.g., volume >$1B, hammer candle). Stop Loss: $78 (below 24h low + buffer; ~7-9% risk). Trail to $85 on gains. Take Profits: TP1: $90 (resistance retest, ~5% gain; scale 30%). TP2: $96 (key level, ~12%; scale 40%). TP3: $105 (extension/squeeze target; scale rest for 20%+ R:R). Why Solid Long?: Narrative strength (Evolution, milestones), short dominance for fuel, neutral-to-buy techs—invalidates on $78 break (then short to $68). Alternative Short (Rejection Fade): Entry $92–$95 on bearish wick; SL $98; TPs $86 / $82 / $76. Prob ~35%, only if RSI spikes >85 and volume fades. Execution Tips: Time for US session vol; alerts on $82 hold or $90 break. High beta to alts—risk 1-2% portfolio, DYOR. If squeeze ignites, $150+ feasible short-term, but watch regs/delists. Trade smart!
$DASH
Recommended Long Setup Perps Leverage 3-5x max; target 1:2+ R:R.

Entry: $84–$86 (current levels or retest $82 support).
Confirm with 1H bullish close (e.g., volume >$1B, hammer candle).

Stop Loss: $78 (below 24h low + buffer; ~7-9% risk). Trail to $85 on gains.

Take Profits:
TP1: $90 (resistance retest, ~5% gain; scale 30%).
TP2: $96 (key level, ~12%; scale 40%).
TP3: $105 (extension/squeeze target; scale rest for 20%+ R:R).

Why Solid Long?: Narrative strength (Evolution, milestones), short dominance for fuel, neutral-to-buy techs—invalidates on $78 break (then short to $68).

Alternative Short (Rejection Fade):
Entry $92–$95 on bearish wick;
SL $98; TPs $86 / $82 / $76.
Prob ~35%, only if RSI spikes >85 and volume fades.

Execution Tips: Time for US session vol; alerts on $82 hold or $90 break.
High beta to alts—risk 1-2% portfolio, DYOR.
If squeeze ignites, $150+ feasible short-term, but watch regs/delists. Trade smart!
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$ZK {future}(ZKUSDT) Recommended Long Setup: Leverage 3-5x max; aim for R:R 1:2+ Entry: $0.062–$0.064 (current dip or retest support). Confirm with 1H bullish close (e.g., hammer candle) or volume rebound >$700M. Stop Loss: $0.058 (below Fib + buffer; ~6-8% risk). Trail to $0.063 on gains. Take Profits: TP1: $0.070 (resistance, ~8% gain; scale 30%). TP2: $0.080 (extension, psych level; scale 40%). TP3: $0.090+ (ambitious if hype builds; scale rest for 20%+ R:R). Why Solid Long?: Catalyst intact (Vitalik, upgrades), neutral RSI room, sector strength—invalidates only on $0.058 break (then short to $0.055). Alternative Short (If Rejection/Deepens): Entry $0.066 on failed bounce; SL $0.070; TPs $0.060 / $0.055 / $0.050. Lower prob (~30%) unless RSI spikes >80 again. Execution Tips: Watch 1H close for confirmation; set alerts on $0.062 hold. High vol means quick moves—risk small (1-2% portfolio), DYOR. If sustains, $0.10+ feasible soon. Trade responsibly!
$ZK
Recommended Long Setup:
Leverage 3-5x max; aim for R:R 1:2+

Entry: $0.062–$0.064 (current dip or retest support).
Confirm with 1H bullish close (e.g., hammer candle) or volume rebound >$700M.

Stop Loss: $0.058 (below Fib + buffer; ~6-8% risk). Trail to $0.063 on gains.

Take Profits:
TP1: $0.070 (resistance, ~8% gain; scale 30%).
TP2: $0.080 (extension, psych level; scale 40%).
TP3: $0.090+ (ambitious if hype builds; scale rest for 20%+ R:R).

Why Solid Long?: Catalyst intact (Vitalik, upgrades), neutral RSI room, sector strength—invalidates only on $0.058 break (then short to $0.055).

Alternative Short (If Rejection/Deepens):
Entry $0.066 on failed bounce;
SL $0.070;
TPs $0.060 / $0.055 / $0.050.
Lower prob (~30%) unless RSI spikes >80 again.

Execution Tips:
Watch 1H close for confirmation; set alerts on $0.062 hold. High vol means quick moves—risk small (1-2% portfolio), DYOR. If sustains, $0.10+ feasible soon. Trade responsibly!
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Update on $ZEN {future}(ZENUSDT) First set-up hit TP1 and bounced back SL hit on small profit The bounce suggests momentum isn't dead—favor a long for now (~60% prob upside continuation if $19 holds), but have a short contingency if rejects $21 Long Setup (Breakout/Continuation): Entry: $19.50–$20.00 (current levels or dip to $19.20 support). Confirm with bullish candle close above $20 or volume spike >$500M. Stop Loss: $18.50 (below bounce low + buffer; ~5-7% risk). Trail to $19.80 on upside. Take Profits: TP1: $21.50 (prior high, ~8% gain; scale 30%). TP2: $23.00 (Fib extension, volume resistance; scale 40%). TP3: $25.00 (psychological/2025 targets; scale rest for 20%+ R:R). Alternative Short Setup (If Rejection): Entry: $20.50–$21.00 (wick up with bearish close). Wait for overbought RSI confirmation or fading volume. Stop Loss: $22.00 (above extension). Take Profits: TP1 $18.50, TP2 $17.00, TP3 $15.00. Why?: If fails $21, correction to fill gaps likely (prob ~40%, per similar pumps).89136a
Update on $ZEN


First set-up hit TP1 and bounced back
SL hit on small profit

The bounce suggests momentum isn't dead—favor a long for now (~60% prob upside continuation if $19 holds), but have a short contingency if rejects $21

Long Setup (Breakout/Continuation):

Entry: $19.50–$20.00 (current levels or dip to $19.20 support).
Confirm with bullish candle close above $20 or volume spike >$500M.

Stop Loss: $18.50 (below bounce low + buffer; ~5-7% risk).
Trail to $19.80 on upside.

Take Profits:

TP1: $21.50 (prior high, ~8% gain; scale 30%).

TP2: $23.00 (Fib extension, volume resistance; scale 40%).

TP3: $25.00 (psychological/2025 targets; scale rest for 20%+ R:R).

Alternative Short Setup (If Rejection):

Entry: $20.50–$21.00 (wick up with bearish close). Wait for overbought RSI confirmation or fading volume.

Stop Loss: $22.00 (above extension).

Take Profits: TP1 $18.50, TP2 $17.00, TP3 $15.00.

Why?: If fails $21, correction to fill gaps likely (prob ~40%, per similar pumps).89136a
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$ZEN {future}(ZENUSDT) Expecting correction Short set up Entry: $20.00–$20.50 (current levels or minor pullback to test $19.80 support-turned-resistance). Wait for rejection (e.g., wick above $20.50 with close below). Avoid if breaks $21 cleanly (invalidates short). Stop Loss (SL): $21.50 (above recent high + buffer for volatility; ~7-8% risk from entry). Trail to $20.80 if momentum builds down. Take Profits (TP): TP1: $18.00 (first support, ~10% gain; scale 30% position) TP2: $16.00 (38.2% Fib, volume cluster; scale 40%). TP3: $14.00 (prior low/200 EMA; scale rest for 30%+ R:R). Risk:Reward: 1:2+ minimum (e.g., risk $1.50 to make $3+). Position size: Max 5-10x leverage if experienced; lower for safety. Invalidation/Exit Signals: Close if RSI drops <50 (oversold bounce) or volume surges bullish. Watch funding rates (positive = shorts pay longs, adds cost).
$ZEN
Expecting correction
Short set up

Entry: $20.00–$20.50 (current levels or minor pullback to test $19.80 support-turned-resistance).

Wait for rejection (e.g., wick above $20.50 with close below). Avoid if breaks $21 cleanly (invalidates short).

Stop Loss (SL): $21.50 (above recent high + buffer for volatility; ~7-8% risk from entry). Trail to $20.80 if momentum builds down.

Take Profits (TP):

TP1: $18.00 (first support, ~10% gain; scale 30% position)

TP2: $16.00 (38.2% Fib, volume cluster; scale 40%).

TP3: $14.00 (prior low/200 EMA; scale rest for 30%+ R:R).

Risk:Reward: 1:2+ minimum (e.g., risk $1.50 to make $3+).
Position size: Max 5-10x leverage if experienced; lower for safety.

Invalidation/Exit Signals: Close if RSI drops <50 (oversold bounce) or volume surges bullish. Watch funding rates (positive = shorts pay longs, adds cost).
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