🟢 $MON USDT — LONG
Current: ~$0.03444
SETUP:
Wait for pullback OR confirmed breakout.
Do NOT market-buy here.
ENTRY A — PREFERRED
0.03420 – 0.03430
ENTRY B — BREAKOUT
15m candle closes above 0.03466
→ wait for retest of 0.03455–0.03465
→ then LONG
STOP LOSS
0.03385
TAKE PROFITS
TP1: 0.03485
TP2: 0.03535
TP3: 0.03600
TP4: 0.03660+ (runner)
LEVERAGE
2x ISOLATED
MARGIN
10–12 USDT maximum
NO AVERAGING DOWN ❌
MANAGEMENT:
At TP1 → take ~30–40%
At TP2 → take another ~30–40%
Move SL toward entry after TP1/TP2.
Leave the rest for TP3/TP4.
CANCEL LONG IF:
• 15m closes below 0.03385
• Pullback comes with heavy selling + falling OI
• Breakout above 0.03466 immediately fails back below 0.03440
RISK:
~1.0–1.3% price risk from preferred entry
With 2x leverage, account impact remains relatively small.
VERDICT:
🟢 ACTIONABLE — but WAIT for the entry.
Do NOT chase $0.03444.
$MON
Current: ~$0.03444
SETUP:
Wait for pullback OR confirmed breakout.
Do NOT market-buy here.
ENTRY A — PREFERRED
0.03420 – 0.03430
ENTRY B — BREAKOUT
15m candle closes above 0.03466
→ wait for retest of 0.03455–0.03465
→ then LONG
STOP LOSS
0.03385
TAKE PROFITS
TP1: 0.03485
TP2: 0.03535
TP3: 0.03600
TP4: 0.03660+ (runner)
LEVERAGE
2x ISOLATED
MARGIN
10–12 USDT maximum
NO AVERAGING DOWN ❌
MANAGEMENT:
At TP1 → take ~30–40%
At TP2 → take another ~30–40%
Move SL toward entry after TP1/TP2.
Leave the rest for TP3/TP4.
CANCEL LONG IF:
• 15m closes below 0.03385
• Pullback comes with heavy selling + falling OI
• Breakout above 0.03466 immediately fails back below 0.03440
RISK:
~1.0–1.3% price risk from preferred entry
With 2x leverage, account impact remains relatively small.
VERDICT:
🟢 ACTIONABLE — but WAIT for the entry.
Do NOT chase $0.03444.
$MON