🟢【Bullish · Go Long】$PHA In one day it surged +40.25%. The large-scale “top-tier” volume also increased in sync. The MACD momentum bars are still expanding—this is not a low-volume fake breakout; it’s real, substantial capital switching hands.
📊 Key observations on the chart
Current price: 0.05223. ATR volatility is 4.02%, which means that on a 15-minute timeframe, a typical single candlestick’s normal swing is about 0.002. Position sizing must be reverse-calculated based on this volatility. The resistance above at 0.05608 is the previous high pressure zone. Support below at 0.05079 is the bullish “lifeline” I care about most. The EMA ribbon is still in a bullish alignment. As long as price pulls back without breaking 0.0508, the structure hasn’t been damaged. This is high-level consolidation and rotation after a breakout—not a top. My own take: don’t chase. Wait for the pullback to enter at a better level.
🎯 My live trading plan (currently no positions, orders, etc., waiting for a pullback)
• Core asset: $PHA
• Entry reference: buy in batches in the 0.05150 - 0.05230 range
• Stop-loss protection: 0.050536 (if it breaks below, the structure fails—cut losses decisively and leave, never hold and “tough it out”)
• Take-profit targets: TP1 at 0.055968, take half off the table first; TP2 at 0.05800, with further extension
• Risk-reward ratio: R:R ≈ 2.2—worth taking action
Go long $PHA 🚀
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⚠️ Risk control reminders & interaction
For blowout movers, volatility is extreme—keep your position size within 5% of total funds, leverage no more than 3x. Once the stop-loss is hit, it’s hit—don’t fantasize.
Quick question: do you think this move is the main force washing the market before continuing higher, or are we already in the distribution phase? Share your view in the comments.