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Tropical Crypto

I’m just a tropical guy that loves to trade.
Trader s vysokou frekvencí obchodů
Počet let: 8
0 Sledujících
260 Sledujících
1.0K+ Označeno To se mi líbí
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Příspěvky
PINNED
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Moje pravidlo: 1. Ve chvíli, kdy váš plovoucí zisk dosáhne čísla, které vás přiměje si pomyslet
"Byl bych naprosto spokojený, kdyby obchod skončil právě tady" 
→ okamžitě uzavřete 50–70 % pozice (jakékoli velikosti, která odstraní stres). 2. Posuňte stop-loss na zbývajících 30–50 % na breakeven +0.5–1 % (nyní to může doslova jít jen nahoru odtud). 3. Zapomeňte, že obchod existuje na následujících 24–72 hodin.
Běžecký závod nyní může dosáhnout TP1 nebo TP2, nebo jít –60 %, nebo cokoli jiného — je to 100 % volné peníze. #psychology #RiskManagement #Crypto
Moje pravidlo:
1. Ve chvíli, kdy váš plovoucí zisk dosáhne čísla, které vás přiměje si pomyslet
"Byl bych naprosto spokojený, kdyby obchod skončil právě tady" 
→ okamžitě uzavřete 50–70 % pozice (jakékoli velikosti, která odstraní stres).
2. Posuňte stop-loss na zbývajících 30–50 % na breakeven +0.5–1 % (nyní to může doslova jít jen nahoru odtud).
3. Zapomeňte, že obchod existuje na následujících 24–72 hodin.
Běžecký závod nyní může dosáhnout TP1 nebo TP2, nebo jít –60 %, nebo cokoli jiného — je to 100 % volné peníze.

#psychology #RiskManagement #Crypto
PINNED
Obchodím často, rád vám všem pomohu. Stačí sledovat každý můj krok a vaše bilance se bude zvyšovat. Pamatujte, že vždy existují obchodní příležitosti, nikdy se nepřipoutávejte k žádné minci! #Crypto #BinanceFutures #psychology
Obchodím často, rád vám všem pomohu. Stačí sledovat každý můj krok a vaše bilance se bude zvyšovat. Pamatujte, že vždy existují obchodní příležitosti, nikdy se nepřipoutávejte k žádné minci!

#Crypto #BinanceFutures #psychology
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Medvědí
$HANA Short – Hana Network/USDT Entry: ~0.036 TP: 0.0295 (≈ -19%) Signals: Aggressive target hit at 0.036, triggering profit-taking. OI dropping while price high = short squeeze ending, no new buyers. Funding rates spiked positive, smart money incentivized to sell. Rally driven by derivatives unwind, not organic demand. Setup: Derivative profit-taking → correction toward psychological 0.03 zone and support at 0.029. Risk Factor: Medium-High (profit-taking pressure, fading demand).
$HANA Short – Hana Network/USDT
Entry: ~0.036
TP: 0.0295 (≈ -19%)
Signals: Aggressive target hit at 0.036, triggering profit-taking. OI dropping while price high = short squeeze ending, no new buyers. Funding rates spiked positive, smart money incentivized to sell. Rally driven by derivatives unwind, not organic demand.
Setup: Derivative profit-taking → correction toward psychological 0.03 zone and support at 0.029.
Risk Factor: Medium-High (profit-taking pressure, fading demand).
Closed $ENSO short 50x ✅ +127.78% 🔥🔥 Proof 👇
Closed $ENSO short 50x ✅
+127.78% 🔥🔥

Proof 👇
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Medvědí
$HYPE Short – Hyperliquid/USDT Entry: ~34.80–35.10 TP1: 31.38 (≈ -10%) TP2: 29.98 (≈ -14%) Signals: Testing triple top at $35 psychological resistance. Pump failed to trigger liquidation squeeze = momentum fading. Coinalyze shows heavy short build-up over 3 months, phase shift from pump to dump. Company likely offloading tokens during market crash. Rejection at $35 followed by break below $33 local support = crash trigger. Setup: Structural resistance rejection → correction toward liquidity zone and psychological floor. Risk Factor: Medium-High (proxy asset, sector sentiment).
$HYPE Short – Hyperliquid/USDT
Entry: ~34.80–35.10
TP1: 31.38 (≈ -10%)
TP2: 29.98 (≈ -14%)
Signals: Testing triple top at $35 psychological resistance. Pump failed to trigger liquidation squeeze = momentum fading. Coinalyze shows heavy short build-up over 3 months, phase shift from pump to dump. Company likely offloading tokens during market crash. Rejection at $35 followed by break below $33 local support = crash trigger.
Setup: Structural resistance rejection → correction toward liquidity zone and psychological floor.
Risk Factor: Medium-High (proxy asset, sector sentiment).
Closed $ZAMA short 20x ✅ +40.42% 🔥🔥 Proof 👇
Closed $ZAMA short 20x ✅
+40.42% 🔥🔥

Proof 👇
Closed $BTR short 10x ✅ +30.91% 🔥🔥 Proof 👇
Closed $BTR short 10x ✅
+30.91% 🔥🔥

Proof 👇
Closed $RIVER short 20x ✅ +54.02% 🔥🔥 Proof 👇
Closed $RIVER short 20x ✅
+54.02% 🔥🔥

Proof 👇
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Medvědí
$ENSO Short – ENSO/USDT Entry: ~1.368 TP1: 1.277 (≈ -7%) TP2: 1.160 (≈ -15%) Signals: Strong performer in Berachain hype but hitting resistance. CVD divergence (price up, spot flow down) = futures-driven pump. RSI near overbought on 4h. Descending wedge pattern at $1.36–$1.39 = rejection zone. Sector peers already down 15%, ENSO lagging = catch-up crash likely. Setup: Exhausted recovery → reversal from resistance, correction toward major support and 200-day MA. Risk Factor: High (sector parity move, leverage-driven pump).
$ENSO Short – ENSO/USDT
Entry: ~1.368
TP1: 1.277 (≈ -7%)
TP2: 1.160 (≈ -15%)
Signals: Strong performer in Berachain hype but hitting resistance. CVD divergence (price up, spot flow down) = futures-driven pump. RSI near overbought on 4h. Descending wedge pattern at $1.36–$1.39 = rejection zone. Sector peers already down 15%, ENSO lagging = catch-up crash likely.
Setup: Exhausted recovery → reversal from resistance, correction toward major support and 200-day MA.
Risk Factor: High (sector parity move, leverage-driven pump).
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Medvědí
$ZAMA Short – ZAMA/USDT Entry: ~0.0285 TP1: 0.0215 (≈ -25%) TP2: 0.0185 (≈ -35%) Signals: Fresh listing (Feb 2) with fragile structure. OI spiking while price declines = long-skewed trap. Launchpool rewards (9M tokens) distributed today = heavy sell pressure. Current +4% bounce is low-liquidity exit pump. Likely breakdown once US session volume hits. Setup: Launchpool liquidation trap → correction toward $0.02 psychological level. Risk Factor: Very High (unlock-driven selling, weak holders).
$ZAMA Short – ZAMA/USDT
Entry: ~0.0285
TP1: 0.0215 (≈ -25%)
TP2: 0.0185 (≈ -35%)
Signals: Fresh listing (Feb 2) with fragile structure. OI spiking while price declines = long-skewed trap. Launchpool rewards (9M tokens) distributed today = heavy sell pressure. Current +4% bounce is low-liquidity exit pump. Likely breakdown once US session volume hits.
Setup: Launchpool liquidation trap → correction toward $0.02 psychological level.
Risk Factor: Very High (unlock-driven selling, weak holders).
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Medvědí
$POWER Short – Power Ledger/USDT Entry: ~0.208+ TP: 0.185 (≈ -11%) Signals: OI surged alongside price = crowded longs. CVD flattening on 1h = buyers exhausting, whales absorbing. RSI ~79.6 = deeply overbought. Historically struggles above 0.210 on 4h chart. Classic mean reversion setup toward EMA support. Setup: Overextended rally → correction to gap fill and prior support. Risk Factor: High (crowded longs, overbought conditions).
$POWER Short – Power Ledger/USDT
Entry: ~0.208+
TP: 0.185 (≈ -11%)
Signals: OI surged alongside price = crowded longs. CVD flattening on 1h = buyers exhausting, whales absorbing. RSI ~79.6 = deeply overbought. Historically struggles above 0.210 on 4h chart. Classic mean reversion setup toward EMA support.
Setup: Overextended rally → correction to gap fill and prior support.
Risk Factor: High (crowded longs, overbought conditions).
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Medvědí
$RIVER Short – River Protocol/USDT Entry: ~14.50+ TP: 11.50 (≈ -19%) Signals: Bounce on declining volume = dead cat bounce. Funding rate volatility extreme, long liquidations clustering below $14. Bearish MACD crossover on higher timeframes. Heavy sell wall at $15.50 = bull trap for liquidity exit. January unlock event adds supply pressure. Setup: Bull trap → correction toward local bottom and psychological support. Risk Factor: Very High (long squeeze + unlock distribution).
$RIVER Short – River Protocol/USDT
Entry: ~14.50+
TP: 11.50 (≈ -19%)
Signals: Bounce on declining volume = dead cat bounce. Funding rate volatility extreme, long liquidations clustering below $14. Bearish MACD crossover on higher timeframes. Heavy sell wall at $15.50 = bull trap for liquidity exit. January unlock event adds supply pressure.
Setup: Bull trap → correction toward local bottom and psychological support.
Risk Factor: Very High (long squeeze + unlock distribution).
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Medvědí
$IP Short – Story Protocol/USDT Entry: ~1.204 TP: 1.050 (≈ -13%) Signals: Breached $1.40–$1.35 support, now in “no man’s land.” CVD shows sellers aggressive but price falling slower = iceberg buy orders delaying capitulation. At -5.9%, still “overvalued” compared to peers (-11%). Market efficiency suggests another 5–7% drop to parity. Setup: Incomplete capitulation → correction toward $1.00 psychological magnet. Risk Factor: Medium-High (sector parity move, hidden
$IP Short – Story Protocol/USDT
Entry: ~1.204
TP: 1.050 (≈ -13%)
Signals: Breached $1.40–$1.35 support, now in “no man’s land.” CVD shows sellers aggressive but price falling slower = iceberg buy orders delaying capitulation. At -5.9%, still “overvalued” compared to peers (-11%). Market efficiency suggests another 5–7% drop to parity.
Setup: Incomplete capitulation → correction toward $1.00 psychological magnet.
Risk Factor: Medium-High (sector parity move, hidden
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Medvědí
$PARTI Short – PARTI/USDT Entry: ~0.0825 TP: 0.0735 (≈ -11%) Signals: Double-digit gain into declining 200-day MA = relief rally in bearish macro trend. CVD divergence (price up, order flow weak) = thin liquidity pump. Approaching resistance at $0.088–$0.090, rejection likely to trigger fast drop. Traders using spike as exit liquidity. Setup: Technical weakness → correction toward recent support floor. Risk Factor: High (macro downtrend, fragile structure).
$PARTI Short – PARTI/USDT
Entry: ~0.0825
TP: 0.0735 (≈ -11%)
Signals: Double-digit gain into declining 200-day MA = relief rally in bearish macro trend. CVD divergence (price up, order flow weak) = thin liquidity pump. Approaching resistance at $0.088–$0.090, rejection likely to trigger fast drop. Traders using spike as exit liquidity.
Setup: Technical weakness → correction toward recent support floor.
Risk Factor: High (macro downtrend, fragile structure).
Closed $ALCH short 25x ✅ +48.50% 🔥🔥 Proof 👇
Closed $ALCH short 25x ✅
+48.50% 🔥🔥

Proof 👇
Closed $RIVER short 20x ✅ +39.73% 🔥🔥 Proof 👇
Closed $RIVER short 20x ✅
+39.73% 🔥🔥

Proof 👇
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Medvědí
Uzavřeno $IP short 75x ✅ +147,15 % 🔥🔥 Důkaz 👇
Uzavřeno $IP short 75x ✅
+147,15 % 🔥🔥

Důkaz 👇
Uzavřeno $GPS short 50x ✅ +125,28% 🔥🔥 Důkaz 👇
Uzavřeno $GPS short 50x ✅
+125,28% 🔥🔥

Důkaz 👇
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Medvědí
$RIVER Short – RIVER/USDT Entry: ~14.80 TP1: 12.66 (≈ -14%) TP2: 11.13 (≈ -25%) Signals: Driven by extreme leverage (OI ~$38M). CVD sloping down while price tests highs = bearish divergence. RSI overextended (85+), failing to hold $15 psychological resistance. Token unlock of 1.5M this month = exit liquidity pump. Already showing descent toward $12.66. Setup: Liquidity grab → sharp correction toward daily support and historical demand zone. Risk Factor: Very High (long squeeze + unlock pressure).
$RIVER Short – RIVER/USDT
Entry: ~14.80
TP1: 12.66 (≈ -14%)
TP2: 11.13 (≈ -25%)
Signals: Driven by extreme leverage (OI ~$38M). CVD sloping down while price tests highs = bearish divergence. RSI overextended (85+), failing to hold $15 psychological resistance. Token unlock of 1.5M this month = exit liquidity pump. Already showing descent toward $12.66.
Setup: Liquidity grab → sharp correction toward daily support and historical demand zone.
Risk Factor: Very High (long squeeze + unlock pressure).
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Medvědí
$IP Short – Story Protocol/USDT Entry: ~1.223 TP: 1.100 (≈ -10%) Signals: Outperforming peers despite sector weakness. Liquidation cluster just below $1.15 = magnet for price. OI/Market Cap ratio bloated, over-leveraged longs not flushed. Broken parabolic support, AI narrative cooling. Likely to drop to align with sector’s -10% to -12% correction. Setup: Liquidity hunt → correction toward psychological $1.10 support. Risk Factor: Medium-High (sector parity move).
$IP Short – Story Protocol/USDT
Entry: ~1.223
TP: 1.100 (≈ -10%)
Signals: Outperforming peers despite sector weakness. Liquidation cluster just below $1.15 = magnet for price. OI/Market Cap ratio bloated, over-leveraged longs not flushed. Broken parabolic support, AI narrative cooling. Likely to drop to align with sector’s -10% to -12% correction.
Setup: Liquidity hunt → correction toward psychological $1.10 support.
Risk Factor: Medium-High (sector parity move).
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