🟢【Bullish · Go Long】I swept through the market today in a single round—the cleanest structure is still $SYN, up +21.37% in 24H. But since the short-term MACD momentum histogram is already weakening, my stance is very clear: I only buy the pullback—never chase highs.

📊 Key market observations

$SYN The EMA ribbon has a complete bullish alignment on 15m/1H, with higher-timeframe trend confirmation directly adding +15 points. During the impulse leg, volume expanded; on the pullback, volume contracted—this is a textbook “strong rotation/turnover” rather than distribution. The key levels are crystal clear: support at 0.25615, resistance at 0.2704, ATR 3%, and sufficient amplitude to achieve a favorable risk-reward ratio. The only deduction is that the MACD momentum is weakening, which means the area above 0.2704 most likely needs one shakeout to break through. By the way, $OPG also shows an EMA bullish structure plus stronger MACD; however, the volume is a bit weaker, so I’ll treat it as a watchlist alternative.

🎯 My live trading plan (The account is currently in cash, waiting for signals)

• Core asset: $SYN (go long)

• Entry reference: 0.2585 - 0.2610; on pullback, buy in batches from the upper support level

• Stop-loss protection: 0.2559. If it breaks down effectively, exit immediately—no averaging down, no holding the losing position.

• Take-profit targets: TP1 0.2704 (reduce by half at the resistance level), TP2 0.2757 (extension target)

• Risk-reward ratio: R:R ≈ 2.8 or higher—worth taking the trade

Go long $SYN 🚀

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⚠️ Risk control reminders & interaction

Even the best structure requires controlling leverage. My per-trade risk will never exceed 2% of the total position. One question: $SYN This time, will it fake the breakout at 0.2704 and then rally, or will it break through with one bullish candle straight away? Let’s discuss your view in the comments.

#币安广场 #$SYN #看涨 #合约交易 #quant trading