Trader specialized in crypto futures. I share real market setups, risk management strategies, and practical insights based on experience. TLgram:CryptoFrancoARG
Setup Logic: • 0.229800 is the key pivot for this setup • A close above 0.229800 could accelerate the buying move • 0.232982 and 0.235104 are important liquidity zones to the upside • As long as it stays above 0.227254, the bias remains bullish.
The 15m structure shows higher lows, with buyers defending every pullback. Volume confirms real participation behind the move (2.02x the average).
⚠️ Don’t over-leverage and don’t enter out of FOMO. Manage your risk— the market always brings new opportunities.
💎 Premium signals + analysis in my VIP Chat — one-time payment of 12 USDT, lifetime access.
Setup Logic: • 1.7920 is the key pivot for this setup • A close below 1.7920 could accelerate the selling move • 1.7687 and 1.7526 are important downside liquidity zones • As long as it stays below 1.8091, the bias remains bearish.
The 15m structure shows lower highs with sellers pressing on every bounce. Volume confirms real participation behind the move (3.38x the average).
⚠️ Don’t over-leverage or enter out of FOMO. Manage your risk— the market always brings new opportunities.
💎 Premium signals + analysis in my VIP Chat— one-time payment of 12 USDT, lifetime access.
Setup Logic: • 0.227700 is the key pivot for this setup • A close below 0.227700 could accelerate the sell-off • 0.224518 and 0.222396 are important liquidity zones to the downside • As long as it stays below 0.230246, the bias remains bearish.
The 15m structure shows lower highs, with sellers pressing on every bounce. Volume confirms real participation behind the move (1.32x the average).
⚠️ Don’t over-leverage or enter out of FOMO. Manage your risk— the market always brings new opportunities.
💎 Premium signals + analysis in my VIP Chat— one-time payment of 12 USDT, lifetime access.
ISOLATED MARGIN VS CROSS MARGIN — WHICH ONE TO USE?
This doubt always comes up when opening the first futures trade.
CROSS MARGIN: uses all the available balance in your account as collateral. If the trade goes against you, Binance takes funds from your general balance to prevent liquidation. The risk: a single bad trade can empty your entire account.
ISOLATED MARGIN: you only risk the capital you specifically allocate to that trade. If it gets liquidated, you lose only that amount. The rest of your account remains intact.
Which do I recommend?
Always isolated margin, especially if you’re just starting out.
Why?
Because it forces you to decide exactly how much you’re willing to lose before entering. And that is real risk management.
Cross margin can make sense for advanced traders with specific strategies. But for 95% of people, isolated margin is the safest option.
In all my signals I indicate isolated margin for this reason. $BTC $BNB $ETH
💎 Premium signals + analysis in the VIP Chat on my profile — 15 USDT/month.
Setup Logic: • 52.0900 is the key pivot for this setup • A close below 52.0900 could accelerate the selling move • 51.4128 and 50.9440 are important liquidity zones to the downside • As long as it stays below 52.5067, the bias remains bearish.
The 15m structure shows lower highs, with sellers pressing on every rebound. Volume confirms real participation behind the move (1.60x the average).
⚠️ Don’t over-leverage or enter out of FOMO. Manage your risk— the market always offers new opportunities.
💎 Premium signals + analysis in my VIP Chat— one-time payment of 12 USDT, lifetime access.
Setup Logic: • 0.044550 is the key pivot for this setup • A close below 0.044550 could accelerate the selling move • 0.043971 and 0.043570 are important downside liquidity zones • As long as it stays below 0.044906, the bias remains bearish.
The 15m structure shows lower highs with sellers pressing on each bounce. Volume confirms real participation behind the move (1.42x the average).
⚠️ Don’t over-leverage or enter out of FOMO. Manage your risk— the market always gives new opportunities.
💎 Premium signals + analysis in my VIP Chat— one-time payment of 12 USDT, lifetime access.
Setup Logic: • 0.071710 is the key pivot for this setup • A close above 0.071710 could accelerate the buying move • 0.072642 and 0.073288 are important liquidity zones to the upside • As long as it stays above 0.071136, the bias remains bullish.
The 15m structure shows higher lows, with buyers defending every pullback. Volume confirms real participation behind the move (1.45x the average).
⚠️ Don’t over-leverage or enter out of FOMO. Manage your risk— the market always brings new opportunities.
💎 Premium signals + analysis in the VIP Chat on my profile — one-time payment of 12 USDT, lifetime access.
HOW MUCH MONEY SHOULD YOU START TRADING WITH IN FUTURES?
It’s one of the questions I get asked the most.
And many people expect to hear a number.
50 USDT. 100 USDT. 500 USDT.
But the reality is that the answer doesn’t depend on an amount.
It depends on you.
My advice is always the same: start with a capital amount that, if you lose it, won’t change your life.
Why?
Because at the beginning you’re going to make mistakes. It’s normal. All traders make them.
If you trade with money you need to pay your bills, every market move will affect you emotionally. You’ll close positions out of fear. You’ll move the Stop Loss. You’ll enter out of desperation.
On the other hand, when the capital doesn’t represent pressure, you can focus on what truly matters: learning, managing risk, and building good habits.
If you can’t manage 100 USDT, you won’t be able to manage 10,000 USDT either. The problem usually isn’t the account size. It’s the way you manage it.
First prove that you can protect a small amount of capital. Then, growth will be much easier. $BTC $ETH $BNB
💎 Premium signals + analysis in the VIP Chat of my profile — 15 USDT/month.
Setup Logic: • 0.096320 is the key pivot for this setup • A close below 0.096320 could accelerate the selling move • 0.094662 and 0.093558 are important liquidity zones to the downside • As long as price stays below 0.097646 , the bias remains bearish.
The 15m structure shows lower highs, with sellers pressing on every rebound. Volume confirms real participation behind the move (1.33x the average).
⚠️ Don’t over-leverage or enter out of FOMO. Manage your risk— the market always offers new opportunities.
💎 Premium signals + analysis in my VIP Chat — one-time payment of 12 USDT, lifetime access.
Setup Logic: • 2.4350 is the key pivot for this setup • A close above 2.4350 could accelerate the buying move • 2.4781 and 2.5068 are important upside liquidity zones • As long as it stays above 2.4005, the bias remains bullish.
The 15m structure shows higher lows, with buyers defending every pullback. Volume confirms real participation behind the move (1.18x the average).
⚠️ Don’t over-leverage or enter out of FOMO. Manage your risk— the market always brings new opportunities.
💎 Premium signals + analysis in my VIP Chat— one-time payment of 12 USDT, lifetime access.
Setup Logic: • 0.008053 is the key pivot for this setup • A close above 0.008053 could accelerate the buying move • 0.008200 and 0.008298 are important upside liquidity zones • As long as it stays above 0.007935, the bias remains bullish.
The 15m structure shows higher lows, with buyers defending every pullback. Volume confirms real participation behind the move (2.40x the average).
⚠️ Don’t over-leverage or enter out of FOMO. Manage your risk— the market always gives new opportunities.
💎 Premium signals + analysis in my VIP Chat profile — one-time payment of 12 USDT, lifetime access.
Setup Logic: • 0.096310 is the key pivot for this setup • A close below 0.096310 could accelerate the selling move • 0.094835 and 0.093851 are important downside liquidity zones • As long as it stays below 0.097490, the bias remains bearish.
The 15m structure shows lower highs with sellers pressing on every bounce. Volume confirms real participation behind the move (2.34x the average).
⚠️ Don’t over-leverage or enter out of FOMO. Manage your risk— the market always offers new opportunities.
💎 Premium signals + analysis in my VIP Chat profile — one-time payment of 12 USDT, lifetime access.
Setup Logic: • 0.037660 is the key pivot for this setup • A close below 0.037660 could speed up the selling move • 0.036713 and 0.036081 are important liquidity zones to the downside • As long as it stays below 0.038418, the bias remains bearish.
The 15m structure shows lower highs with sellers pressing on every bounce. Volume confirms real participation behind the move (2.27x the average).
⚠️ Don’t over-leverage or enter out of FOMO. Manage your risk— the market always brings new opportunities.
💎 Premium signals + analysis in my VIP Chat — one-time payment of 12 USDT, lifetime access.
Setup Logic: • 0.098070 is the key pivot for this setup • A close above 0.098070 could accelerate the buying move • 0.099345 and 0.100228 are important liquidity zones to the upside • As long as it stays above 0.097285, the bias remains bullish.
The 15m structure shows higher lows, with buyers defending every pullback. Volume confirms real participation behind the move (1.52x the average).
⚠️ Don’t over-leverage or enter out of FOMO. Manage your risk— the market always gives new opportunities.
💎 Premium signals + analysis in my VIP Chat profile — one-time payment of 12 USDT, lifetime access.
The temptation to always be “in the market” is huge. But the most profitable traders don’t trade all the time. They trade when there are clear opportunities.
Why does trading time matter?
Volume and volatility aren’t the same throughout the day.
The best moves usually happen during the London session (8:00-12:00 UTC) and the New York session (13:00-17:00 UTC). These are the times with the most liquidity and where technical setups are more reliable.
In the early hours (UTC time), volume drops, moves become more erratic, and there’s more “noise” than real signal.
Trading while sleepy or during periods of low liquidity increases the risk of making bad decisions.
My advice: set your trading hours. Analyze, enter if there’s a setup, and disconnect. The market will always be there tomorrow. $BTC $ETH $SOL
💎 Premium signals + analysis in my VIP Chat — 15 USDT/month.
Setup Logic: • 0.212800 is the key pivot for this setup • A close below 0.212800 could accelerate the sell-off • 0.210034 and 0.208118 are important downside liquidity zones • As long as it stays below 0.214502, the bias remains bearish.
The 15m structure shows lower highs, with sellers pressing on every bounce. Volume confirms real participation behind the move (1.61x the average).
⚠️ Don’t over-leverage or enter out of FOMO. Manage your risk—markets always bring new opportunities.
💎 Premium signals + analysis in the VIP Chat of my profile — one-time payment of 12 USDT, lifetime access.
Setup Logic: • 0.267800 is the key pivot for this setup • A close below 0.267800 could accelerate the selling move • 0.264319 and 0.261908 are important liquidity zones to the downside • As long as it stays below 0.269942, the bias remains bearish.
The 15m structure shows lower highs with sellers pressing on every bounce. Volume confirms real participation behind the move (2.06x the average).
⚠️ Don’t over-leverage and don’t enter out of FOMO. Manage your risk— the market always offers new opportunities.
💎 Premium signals + analysis in my VIP Chat— one-time payment of 12 USDT, lifetime access.