Setup 1: Range Support Long (Safer) Only if 0.00190–0.00200 holds. Entry: 0.00195–0.00200 Stop: Below 0.00185 Target 1: 0.00230 Target 2: 0.00250 This is a short-term bounce trade.
Setup 2: Breakdown Short (Higher Probability If Weakness Continues) If daily closes below 0.00185: Entry: 0.00182–0.00185 Stop: 0.00200 Target 1: 0.00166 Target 2: 0.00155 Trend-following setup.
Setup 3: Trend Reversal Long (Confirmation Needed) Only if: Strong daily close above 0.00250 Volume expansion Entry: 0.00255 breakout Stop: 0.00230 Target: 0.00290–0.00320 Without reclaiming 0.00250, upside is limited.
Current Best Play? Right now price is mid-range → not at ideal entry. Better to: Wait for support test (0.00190) OR Wait for breakdown confirmation.
Setup 1: Pullback Long (High Probability) Best play. Entry: 0.038–0.040 Stop: Below 0.034 Target 1: 0.050 Target 2: 0.060 Target 3: 0.064 retest R:R approx 1:3 or better.
Setup 2: Exhaustion Short (Aggressive) Only if price shows: Bearish engulfing on 4H Or fails to hold above 0.048–0.050 Entry: 0.048–0.050 rejection Stop: 0.052–0.054 Target 1: 0.040 Target 2: 0.034 Counter-trend → reduce size.
Best Strategy Right Now? Wait. After vertical expansion, market usually: Pulls back Or ranges before next move The highest probability trade is buying pullback into 0.038–0.040.
✅ Setup 1: Rejection Short (Higher Probability) If price rejects at 0.100–0.105 Entry: 0.100 rejection Stop: 0.108 Targets: 0.088 0.076 This aligns with macro trend.
Setup 2: Breakdown Short If price loses 0.088 Entry: 0.087 breakdown Stop: 0.095 Targets: 0.075 0.069 Continuation of bearish structure.
Setup 2: Retest Long (Higher Probability) Wait for pullback into 0.063–0.066 Entry: 0.065 Stop: 0.057 Targets: 0.083 0.095 0.104 This is cleaner and safer.
✅ Setup 1: Break & Hold Long (Best Setup) Wait for daily close above 0.0288 – 0.0290 Entry: 0.0292 Stop Loss: 0.0258 Targets: TP1: 0.0345 TP2: 0.0395 TP3: 0.044+ extension R:R approx 1:2 to 1:3.5 👉 Confirms continuation toward previous high.
Setup 2: Pullback Long (Safer) If price retraces: Entry: 0.0235 – 0.0240 Stop: 0.0215 Targets: 0.0285 0.0345 👉 High probability zone based on structure.
✅ Nastavení 1: Pullback Long (Bezpečnější) Vstup: 0.66 – 0.68 Stop Loss: 0.62 Cíle: TP1: 0.75 TP2: 0.81 TP3: 0.95 Riziko/Odměna: ~1:2 až 1:4 👉 Nejlepší, pokud cena klesne k MA25 a ukáže silný odraz.
Nastavení 2: Breakout Long Pouze pokud denní svíčka zavře nad 0.80–0.82 Vstup: 0.82 breakout Stop Loss: 0.74 Cíle: TP1: 0.95 TP2: 1.05 TP3: 1.20 👉 Potvrzuje obrácenou strukturu.