Binance Square
M Shayan 786
21.2k Beiträge

M Shayan 786

PREDICTION
Trade eröffnen
Regelmäßiger Trader
4.7 Jahre
222 Following
1.5K+ Follower
7.6K+ Like gegeben
Beiträge
Portfolio
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Bullisch
Übersetzung ansehen
$XLM IS GOING UP 😊 NEXT TARGET IS 0.2750 {future}(XLMUSDT)
$XLM IS GOING UP 😊 NEXT TARGET IS 0.2750
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$DOGE IS GOING UP 😊 NEXT TARGET IS 0.072 {future}(DOGEUSDT)
$DOGE IS GOING UP 😊 NEXT TARGET IS 0.072
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$KOMA $TST what's going on ?
$KOMA $TST what's going on ?
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$KAITO the traders is bullish on KAITOUSDT for a short-term long trade, but only within a very specific price zone.   In simple terms:   They want to enter long around 1.10246–1.10833   They’ve set three take-profit targets at 1.12653, 1.14062, and 1.16175   Their stop-loss is 1.07722, meaning if price drops below that, the setup is considered invalid {future}(KAITOUSDT) $BANK $DEXE
$KAITO the traders is bullish on KAITOUSDT for a short-term long trade, but only within a very specific price zone.

In simple terms:

They want to enter long around 1.10246–1.10833

They’ve set three take-profit targets at 1.12653, 1.14062, and 1.16175

Their stop-loss is 1.07722, meaning if price drops below that, the setup is considered invalid
$BANK $DEXE
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Bärisch
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$BTC expects BTC could reject from this zone and move lower if buyers fail to push higher.   That’s why it suggests a short trade idea — betting on price dropping from the 62,370–63,630 area.   It also includes a stop-loss at 65,700 to limit risk if BTC moves up instead.   The take-profit targets are 61,500, 60,500, and 59,000. {future}(BTCUSDT) $BANK $DEXE
$BTC expects BTC could reject from this zone and move lower if buyers fail to push higher.

That’s why it suggests a short trade idea — betting on price dropping from the 62,370–63,630 area.

It also includes a stop-loss at 65,700 to limit risk if BTC moves up instead.

The take-profit targets are 61,500, 60,500, and 59,000.
$BANK $DEXE
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$GIGGLE The traders thinks selling pressure is strong near 46.08, and if the price drops below 43.21, it could fall further. Their plan is to short GIGGLE in the 44.50–46.50 area, use 48.90 as the stop-loss, and look for downside targets at 37.66, 31.44, and 24.98. {future}(GIGGLEUSDT) $BANK $DEXE
$GIGGLE The traders thinks selling pressure is strong near 46.08, and if the price drops below 43.21, it could fall further. Their plan is to short GIGGLE in the 44.50–46.50 area, use 48.90 as the stop-loss, and look for downside targets at 37.66, 31.44, and 24.98.
$BANK $DEXE
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$BANK the investers is looking at a long trade setup.   In simple terms:   Entry zone: around $0.056–$0.057   Take-profit targets: $0.063, $0.07, and $0.077   Stop-loss: $0.0509   So overall, it’s a bullish trade idea based on a possible rebound, with clear levels for entry, profit-taking, and risk control. {future}(BANKUSDT) $DEXE $GRVT
$BANK the investers is looking at a long trade setup.

In simple terms:

Entry zone: around $0.056–$0.057

Take-profit targets: $0.063, $0.07, and $0.077

Stop-loss: $0.0509

So overall, it’s a bullish trade idea based on a possible rebound, with clear levels for entry, profit-taking, and risk control.
$DEXE $GRVT
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$ACE IS GOING UP 😊 NEXT TARGET IS 0.075 {future}(ACEUSDT)
$ACE IS GOING UP 😊 NEXT TARGET IS 0.075
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$HOME IS GOING UP 😊 NEXT TARGET IS 0.006550 {future}(HOMEUSDT)
$HOME IS GOING UP 😊 NEXT TARGET IS 0.006550
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$ZAMA IS GOING UP 😊 NEXT TARGET IS 0.060 {future}(ZAMAUSDT)
$ZAMA IS GOING UP 😊 NEXT TARGET IS 0.060
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$DEXE IS GOING UP 😊 NEXT TARGET IS 2.70 {future}(DEXEUSDT)
$DEXE IS GOING UP 😊 NEXT TARGET IS 2.70
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$NEAR IS GOING UP 😊 NEXT TARGET IS 1.75 {future}(NEARUSDT)
$NEAR IS GOING UP 😊 NEXT TARGET IS 1.75
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$FET IS GOING UP 😊 NEXT TARGET IS 0.1550 {future}(FETUSDT)
$FET IS GOING UP 😊 NEXT TARGET IS 0.1550
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$BANK IS GOING UP 😊 NEXT TARGET IS 0.0750 {future}(BANKUSDT)
$BANK IS GOING UP 😊 NEXT TARGET IS 0.0750
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$GRVT IS GOING UP 😊 NEXT TARGET IS 0.3050 {future}(GRVTUSDT)
$GRVT IS GOING UP 😊 NEXT TARGET IS 0.3050
Übersetzung ansehen
M Shayan 786
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Bullisch
*$GIGGLE LONG* 😂📈 Max 25×

Buying dips with clear invalidation. Love the tight plan — now it’s all about execution and not letting 25x blow the account.

### *Trade Breakdown*
*Bias*: LONG — Buying the dip/accumulation

*Levels:*
- *Entry Zone*: `42.11 – 46.00` | Mid: `44.055`
- *Stop Loss*: `38.50` → ∼12.59% risk from mid
- *Targets*:
- *TP1*: `46.90` → ∼6.46% | R:R 1:0.51
- *TP2*: `47.44` → ∼7.68% | R:R 1:0.61
- *TP3*: `49.23` → ∼11.75% | R:R 1:0.93

R:R is under 1:1 because the SL is wide. This trade only works if `$38.50` really holds as support.

### *25x Leverage — Critical Safety*
With ∼12.6% SL, 25x = 315% loss if it hits.
1. *Size tiny*: Risk max 0.5% of account. One sweep to `38.50` and 25x is gone
2. *Scale aggressively*:
- Take 50% at TP1 `46.90`. Move SL to BE `44.05`
- Take 30% at TP2 `47.44`
- Trail final 20% to TP3 `49.23` with SL at TP2
3. *Invalidation = Cut*: 4H close below `38.50` = thesis dead. Don’t average down

### *Why This Can Work*
1. *Wide Entry Zone*: `42.11-46.00` gives room to DCA. Bottom buys get best R:R
2. *Clear Support*: `38.50` below zone. If that loses, buyers failed
3. *Quick TPs*: TP1-TP3 are close. On 25x, even 6% = 150% if TP1 hits

### *How to Play It*
1. *Entry*: Don’t market buy `46.00` top. Wait for `42.50 - 43.50`. Better fills = better R:R
2. *Confirmation*: 1H close back above `46.00` means buyers stepped in
3. *Watch Volume*: Needs buyers to show at `42.11`. Low volume bounce = likely sweep to SL

### *Watchouts*
- *BTC*: If BTC dumps, won’t care about your support
- *Liquidity*: Meme/low cap names wick hard. 25x gets liquidated on wicks
- *TP distances*: TPs are close together. Book fast, don’t get greedy

*Not financial advice. DYOR.* This is a high-risk/high-reward bounce play. `$38.50` is the only thing keeping this alive.

You buying low `42.11` or waiting for mid-zone?
Want alerts for `46.00` flip + `38.50` SL so you don’t get caught on the 25x? Stay safe.

$1000RATS $KOMA
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Bullisch
Übersetzung ansehen
*$GIGGLE LONG* 😂📈 Max 25× Buying dips with clear invalidation. Love the tight plan — now it’s all about execution and not letting 25x blow the account. ### *Trade Breakdown* *Bias*: LONG — Buying the dip/accumulation *Levels:* - *Entry Zone*: `42.11 – 46.00` | Mid: `44.055` - *Stop Loss*: `38.50` → ∼12.59% risk from mid - *Targets*: - *TP1*: `46.90` → ∼6.46% | R:R 1:0.51 - *TP2*: `47.44` → ∼7.68% | R:R 1:0.61 - *TP3*: `49.23` → ∼11.75% | R:R 1:0.93 R:R is under 1:1 because the SL is wide. This trade only works if `$38.50` really holds as support. ### *25x Leverage — Critical Safety* With ∼12.6% SL, 25x = 315% loss if it hits. 1. *Size tiny*: Risk max 0.5% of account. One sweep to `38.50` and 25x is gone 2. *Scale aggressively*: - Take 50% at TP1 `46.90`. Move SL to BE `44.05` - Take 30% at TP2 `47.44` - Trail final 20% to TP3 `49.23` with SL at TP2 3. *Invalidation = Cut*: 4H close below `38.50` = thesis dead. Don’t average down ### *Why This Can Work* 1. *Wide Entry Zone*: `42.11-46.00` gives room to DCA. Bottom buys get best R:R 2. *Clear Support*: `38.50` below zone. If that loses, buyers failed 3. *Quick TPs*: TP1-TP3 are close. On 25x, even 6% = 150% if TP1 hits ### *How to Play It* 1. *Entry*: Don’t market buy `46.00` top. Wait for `42.50 - 43.50`. Better fills = better R:R 2. *Confirmation*: 1H close back above `46.00` means buyers stepped in 3. *Watch Volume*: Needs buyers to show at `42.11`. Low volume bounce = likely sweep to SL ### *Watchouts* - *BTC*: If BTC dumps, won’t care about your support - *Liquidity*: Meme/low cap names wick hard. 25x gets liquidated on wicks - *TP distances*: TPs are close together. Book fast, don’t get greedy *Not financial advice. DYOR.* This is a high-risk/high-reward bounce play. `$38.50` is the only thing keeping this alive. You buying low `42.11` or waiting for mid-zone? Want alerts for `46.00` flip + `38.50` SL so you don’t get caught on the 25x? Stay safe. {future}(GIGGLEUSDT) $1000RATS $KOMA
*$GIGGLE LONG* 😂📈 Max 25×

Buying dips with clear invalidation. Love the tight plan — now it’s all about execution and not letting 25x blow the account.

### *Trade Breakdown*
*Bias*: LONG — Buying the dip/accumulation

*Levels:*
- *Entry Zone*: `42.11 – 46.00` | Mid: `44.055`
- *Stop Loss*: `38.50` → ∼12.59% risk from mid
- *Targets*:
- *TP1*: `46.90` → ∼6.46% | R:R 1:0.51
- *TP2*: `47.44` → ∼7.68% | R:R 1:0.61
- *TP3*: `49.23` → ∼11.75% | R:R 1:0.93

R:R is under 1:1 because the SL is wide. This trade only works if `$38.50` really holds as support.

### *25x Leverage — Critical Safety*
With ∼12.6% SL, 25x = 315% loss if it hits.
1. *Size tiny*: Risk max 0.5% of account. One sweep to `38.50` and 25x is gone
2. *Scale aggressively*:
- Take 50% at TP1 `46.90`. Move SL to BE `44.05`
- Take 30% at TP2 `47.44`
- Trail final 20% to TP3 `49.23` with SL at TP2
3. *Invalidation = Cut*: 4H close below `38.50` = thesis dead. Don’t average down

### *Why This Can Work*
1. *Wide Entry Zone*: `42.11-46.00` gives room to DCA. Bottom buys get best R:R
2. *Clear Support*: `38.50` below zone. If that loses, buyers failed
3. *Quick TPs*: TP1-TP3 are close. On 25x, even 6% = 150% if TP1 hits

### *How to Play It*
1. *Entry*: Don’t market buy `46.00` top. Wait for `42.50 - 43.50`. Better fills = better R:R
2. *Confirmation*: 1H close back above `46.00` means buyers stepped in
3. *Watch Volume*: Needs buyers to show at `42.11`. Low volume bounce = likely sweep to SL

### *Watchouts*
- *BTC*: If BTC dumps, won’t care about your support
- *Liquidity*: Meme/low cap names wick hard. 25x gets liquidated on wicks
- *TP distances*: TPs are close together. Book fast, don’t get greedy

*Not financial advice. DYOR.* This is a high-risk/high-reward bounce play. `$38.50` is the only thing keeping this alive.

You buying low `42.11` or waiting for mid-zone?
Want alerts for `46.00` flip + `38.50` SL so you don’t get caught on the 25x? Stay safe.
$1000RATS $KOMA
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