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509 JonyDong
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509 JonyDong

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Market Survivor | Real Trading Insights Not a "guru". Just sharing what I trade based on years of experience.
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Today (12/09/2026), JonyDong Community won 41 calls out of 68 executed calls. 28 calls are still following the plan and have not hit TP/SL yet. There is a small milk tee treat for everyone today, a simple way to share the good mood after the setups followed the plan. Detailed list for reference: 1. FF - Entry: 0.15048146 - Hit TP2 at 0.147077 2. EDGE - Entry: 0.61381827 - Hit TP2 at 0.5974 3. TUT - Entry: 0.02107075 - Hit TP2 at 0.020365 4. UNI - Entry: 6.05613759 - Hit TP2 at 6.32877 5. USELESS - Entry: 0.21958249 - Hit TP2 at 0.23354 6. VVV - Entry: 24.23929568 - Hit TP1 at 24.77512 7. PONS - Entry: 0.61725656 - Hit TP1 at 0.652729 8. ENA - Entry: 0.14833186 - Hit TP1 at 0.150179 9. BTW - Entry: 0.50256226 - Hit TP1 at 0.492804 10. BCH - Entry: 227.3748432 - Hit TP1 at 231.548486 11. PUMP - Entry: 0.00359008 - Hit TP1 at 0.00373 12. ACE - Entry: 0.15655174 - Hit TP1 at 0.15412 13. WLD - Entry: 0.4127641 - Hit TP1 at 0.402678 14. TUT - Entry: 0.01935893 - Hit TP1 at 0.01989 15. USELESS - Entry: 0.22271667 - Hit TP1 at 0.23167 16. EDGE - Entry: 0.60184417 - Hit TP1 at 0.616689 17. HYPE - Entry: 79.86066236 - Hit TP1 at 81.283997 18. PROM - Entry: 5.11574946 - Hit TP1 at 5.22 19. RAYSOL - Entry: 1.59846272 - Hit TP1 at 1.658344 20. ETH - Entry: 2500.94273168 - Hit TP1 at 2528.559769 21. UNI - Entry: 5.91632877 - Hit TP1 at 6.016986 22. ETH - Entry: 2534.52387022 - Hit TP1 at 2508.03 23. PONS - Entry: 0.59484889 - Hit TP1 at 0.571999 24. VTHO - Entry: 0.00057529 - Hit TP1 at 0.00055 25. BTW - Entry: 0.51439101 - Hit TP1 at 0.50205 26. BULLA - Entry: 0.07152871 - Hit TP1 at 0.0742 ...... 36. TAO - Entry: 235.9026363 - Hit TP1 at 233.138704 37. EDGE - Entry: 0.60066815 - Hit TP1 at 0.586028 38. BULLA - Entry: 0.07167965 - Hit TP1 at 0.072944 39. TUT - Entry: 0.02063173 - Hit TP1 at 0.02029 40. REZ - Entry: 0.00327075 - Hit TP1 at 0.003219 41. AKE - Entry: 0.01409519 - Hit TP1 at 0.014653
Today (12/09/2026), JonyDong Community won 41 calls out of 68 executed calls.

28 calls are still following the plan and have not hit TP/SL yet.

There is a small milk tee treat for everyone today, a simple way to share the good mood after the setups followed the plan.

Detailed list for reference:

1. FF - Entry: 0.15048146 - Hit TP2 at 0.147077
2. EDGE - Entry: 0.61381827 - Hit TP2 at 0.5974
3. TUT - Entry: 0.02107075 - Hit TP2 at 0.020365
4. UNI - Entry: 6.05613759 - Hit TP2 at 6.32877
5. USELESS - Entry: 0.21958249 - Hit TP2 at 0.23354
6. VVV - Entry: 24.23929568 - Hit TP1 at 24.77512
7. PONS - Entry: 0.61725656 - Hit TP1 at 0.652729
8. ENA - Entry: 0.14833186 - Hit TP1 at 0.150179
9. BTW - Entry: 0.50256226 - Hit TP1 at 0.492804
10. BCH - Entry: 227.3748432 - Hit TP1 at 231.548486
11. PUMP - Entry: 0.00359008 - Hit TP1 at 0.00373
12. ACE - Entry: 0.15655174 - Hit TP1 at 0.15412
13. WLD - Entry: 0.4127641 - Hit TP1 at 0.402678
14. TUT - Entry: 0.01935893 - Hit TP1 at 0.01989
15. USELESS - Entry: 0.22271667 - Hit TP1 at 0.23167
16. EDGE - Entry: 0.60184417 - Hit TP1 at 0.616689
17. HYPE - Entry: 79.86066236 - Hit TP1 at 81.283997
18. PROM - Entry: 5.11574946 - Hit TP1 at 5.22
19. RAYSOL - Entry: 1.59846272 - Hit TP1 at 1.658344
20. ETH - Entry: 2500.94273168 - Hit TP1 at 2528.559769
21. UNI - Entry: 5.91632877 - Hit TP1 at 6.016986
22. ETH - Entry: 2534.52387022 - Hit TP1 at 2508.03
23. PONS - Entry: 0.59484889 - Hit TP1 at 0.571999
24. VTHO - Entry: 0.00057529 - Hit TP1 at 0.00055
25. BTW - Entry: 0.51439101 - Hit TP1 at 0.50205
26. BULLA - Entry: 0.07152871 - Hit TP1 at 0.0742

......
36. TAO - Entry: 235.9026363 - Hit TP1 at 233.138704
37. EDGE - Entry: 0.60066815 - Hit TP1 at 0.586028
38. BULLA - Entry: 0.07167965 - Hit TP1 at 0.072944
39. TUT - Entry: 0.02063173 - Hit TP1 at 0.02029
40. REZ - Entry: 0.00327075 - Hit TP1 at 0.003219
41. AKE - Entry: 0.01409519 - Hit TP1 at 0.014653
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CPI Is Sticky Again. Did NFP Just Give the Fed Permission to Hike?🔥 NFP beat hard. CPI refused to cool. Is the Fed about to throw a 25 bps cold shower? My take: yes, the Fed now leans toward a 25 bps hike. Not because CPI alone is a magic button, but because the whole chain is getting hard to ignore. 📊 1. Jobs first, CPI second August NFP came in at +162k, while the market was looking for roughly +65k. That is a big gap. It tells the Fed the labor market is not cracking yet. Why does that matter? • More people working • Income still coming in • Consumers still spending • Companies still able to pass some costs forward So when CPI stays sticky, the Fed can say: the economy probably has enough cushion for one more hike. 📈 2. CPI trend: better than 2022, but not solved U.S. inflation has improved a lot since the post-Covid shock: • 2021: CPI around 7.0% • 2022: around 6.5% • 2023: around 3.4% • 2024: around 2.9% • 2025: around 2.7% • Aug 2026: back at 3.4% YoY, with +0.4% MoM So yes, inflation is no longer on fire like 2021-2022. But it is also not walking nicely back to the Fed’s 2% target. It went downstairs, stopped halfway, and started checking the gasoline bill again. ⚠️ 3. The micro logic: inflation hides in small receipts CPI is not just a macro chart. It is built from boring, real-world pricing decisions: • Landlords renewing rent • Restaurants adjusting menus • Airlines changing fares • Trucking firms paying more for diesel • Retailers deciding whether to protect margins The August CPI report showed gasoline +3.9% MoM, energy +16.3% YoY, shelter +3.0% YoY, and services excluding energy services also +3.0% YoY. That is not panic inflation. But it is definitely not “mission accomplished.” 🛢️ 4. War risk makes the Fed’s problem uglier The PPI side matters because it shows pressure before it fully reaches consumers. August PPI rose 0.4% MoM and 5.4% YoY. Diesel jumped 24.1% in one month. Diesel is boring until it is not. It sits inside trucks, warehouses, shipping, food distribution, construction materials. If diesel rises, the customer may not see “diesel” on the receipt, but somehow the noodle, delivery fee, or supermarket basket gets more expensive. Very mysterious. Very familiar. That is the real risk: NFP beat -> demand holds -> CPI sticky -> energy/freight costs rise -> firms pass costs forward -> inflation expectations get sticky. 🎯 My base case The current Fed target range is 3.50%-3.75%. A 25 bps hike would move it to 3.75%-4.00%. After CPI/PPI, market pricing has moved strongly toward a hike, with several reports citing FedWatch-based odds around 90% or higher. So my view is simple: 25 bps hike is more likely than a clean hold. If the Fed holds, I expect a very hawkish hold, basically: “don’t start the party yet.” 🟡 Bullish or bearish? Short term, I am cautious on risk assets. Not full bearish, but definitely not blindly bullish. Gold still makes sense to me as insurance in this environment. When war risk, sticky inflation, and policy uncertainty all sit on the same table, gold becomes less of a “boring asset” and more like a seatbelt. You hope you don’t need it, but you don’t want to drive without it either. Crypto long term? Still constructive. Crypto around CPI/FOMC week? Smaller size, cleaner stop, less ego. The market does not give medals for getting liquidated with confidence. What do you think: Fed +25 bps, or hawkish hold? Drop your view below 👇 #CPIWatch

CPI Is Sticky Again. Did NFP Just Give the Fed Permission to Hike?

🔥 NFP beat hard. CPI refused to cool. Is the Fed about to throw a 25 bps cold shower?
My take: yes, the Fed now leans toward a 25 bps hike. Not because CPI alone is a magic button, but because the whole chain is getting hard to ignore.
📊 1. Jobs first, CPI second
August NFP came in at +162k, while the market was looking for roughly +65k. That is a big gap. It tells the Fed the labor market is not cracking yet.
Why does that matter?
• More people working
• Income still coming in
• Consumers still spending
• Companies still able to pass some costs forward
So when CPI stays sticky, the Fed can say: the economy probably has enough cushion for one more hike.
📈 2. CPI trend: better than 2022, but not solved
U.S. inflation has improved a lot since the post-Covid shock:
• 2021: CPI around 7.0%
• 2022: around 6.5%
• 2023: around 3.4%
• 2024: around 2.9%
• 2025: around 2.7%
• Aug 2026: back at 3.4% YoY, with +0.4% MoM
So yes, inflation is no longer on fire like 2021-2022. But it is also not walking nicely back to the Fed’s 2% target. It went downstairs, stopped halfway, and started checking the gasoline bill again.
⚠️ 3. The micro logic: inflation hides in small receipts
CPI is not just a macro chart. It is built from boring, real-world pricing decisions:
• Landlords renewing rent
• Restaurants adjusting menus
• Airlines changing fares
• Trucking firms paying more for diesel
• Retailers deciding whether to protect margins
The August CPI report showed gasoline +3.9% MoM, energy +16.3% YoY, shelter +3.0% YoY, and services excluding energy services also +3.0% YoY.
That is not panic inflation. But it is definitely not “mission accomplished.”
🛢️ 4. War risk makes the Fed’s problem uglier
The PPI side matters because it shows pressure before it fully reaches consumers. August PPI rose 0.4% MoM and 5.4% YoY. Diesel jumped 24.1% in one month.
Diesel is boring until it is not. It sits inside trucks, warehouses, shipping, food distribution, construction materials. If diesel rises, the customer may not see “diesel” on the receipt, but somehow the noodle, delivery fee, or supermarket basket gets more expensive. Very mysterious. Very familiar.
That is the real risk:
NFP beat -> demand holds -> CPI sticky -> energy/freight costs rise -> firms pass costs forward -> inflation expectations get sticky.
🎯 My base case
The current Fed target range is 3.50%-3.75%. A 25 bps hike would move it to 3.75%-4.00%. After CPI/PPI, market pricing has moved strongly toward a hike, with several reports citing FedWatch-based odds around 90% or higher.
So my view is simple: 25 bps hike is more likely than a clean hold. If the Fed holds, I expect a very hawkish hold, basically: “don’t start the party yet.”
🟡 Bullish or bearish?
Short term, I am cautious on risk assets. Not full bearish, but definitely not blindly bullish.
Gold still makes sense to me as insurance in this environment. When war risk, sticky inflation, and policy uncertainty all sit on the same table, gold becomes less of a “boring asset” and more like a seatbelt. You hope you don’t need it, but you don’t want to drive without it either.
Crypto long term? Still constructive.
Crypto around CPI/FOMC week? Smaller size, cleaner stop, less ego.
The market does not give medals for getting liquidated with confidence.
What do you think: Fed +25 bps, or hawkish hold? Drop your view below 👇
#CPIWatch
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Bearish
$REZ Short 50x | Supply zone tapped, invalidation locked. REZ has arrived at the zone where this short gets managed, not chased. I am already positioned, and the trade only stays valid while sellers defend this area. Trade Plan: - Entry: 0.00348 – 0.00354 - TP1: 0.00318 (R:R 1:0.8) - TP2: 0.00297 (R:R 1:1.3) - TP3: 0.00264 (R:R 1:2.0) - SL: 0.00394 Why this setup? - Higher timeframe structure still favors the short, but the true edge is how price reacts from 0.00348–0.00354 around 0.00351. - 15m RSI sitting at 31 leaves downside room only if sellers hold control, so confirmation is still the trigger. - Volume is at 1.96x, with 104.02M traded against 52.94M expected, confirming real participation. Trade here 👇 and Do you take the supply entry here, or wait for structure to flip before committing? EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK. {future}(REZUSDT)
$REZ Short 50x | Supply zone tapped, invalidation locked.

REZ has arrived at the zone where this short gets managed, not chased. I am already positioned, and the trade only stays valid while sellers defend this area.

Trade Plan:
- Entry: 0.00348 – 0.00354
- TP1: 0.00318 (R:R 1:0.8)
- TP2: 0.00297 (R:R 1:1.3)
- TP3: 0.00264 (R:R 1:2.0)
- SL: 0.00394

Why this setup?
- Higher timeframe structure still favors the short, but the true edge is how price reacts from 0.00348–0.00354 around 0.00351.
- 15m RSI sitting at 31 leaves downside room only if sellers hold control, so confirmation is still the trigger.
- Volume is at 1.96x, with 104.02M traded against 52.94M expected, confirming real participation.

Trade here 👇 and Do you take the supply entry here, or wait for structure to flip before committing?

EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK.
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Bearish
$TUT Short 10x | Entry zone is live, execution decides everything. TUT has finally reached the zone where the risk finally lines up. I'm already positioned, and now it's on sellers to defend the level. Trade Plan: - Entry: 0.02002 – 0.02010 - TP1: 0.01975 (R:R 1:0.8) - TP2: 0.01955 (R:R 1:1.3) - TP3: 0.01925 (R:R 1:2.0) - SL: 0.02046 Why this setup? - 4h keeps my short map valid, with a range-bound 1D backdrop and price reacting from 0.02002–0.02010 near 0.02006. - 15m RSI at 57 is neutral, so downside continuation still has room if sellers hold. - Volume isn't quiet: 1.28x pace, 2.68M traded versus 2.09M expected, real sell-side participation. Trade here 👇 and Would you take it in one clean entry, or split orders through the zone? EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK. {future}(TUTUSDT)
$TUT Short 10x | Entry zone is live, execution decides everything.

TUT has finally reached the zone where the risk finally lines up. I'm already positioned, and now it's on sellers to defend the level.

Trade Plan:
- Entry: 0.02002 – 0.02010
- TP1: 0.01975 (R:R 1:0.8)
- TP2: 0.01955 (R:R 1:1.3)
- TP3: 0.01925 (R:R 1:2.0)
- SL: 0.02046

Why this setup?
- 4h keeps my short map valid, with a range-bound 1D backdrop and price reacting from 0.02002–0.02010 near 0.02006.
- 15m RSI at 57 is neutral, so downside continuation still has room if sellers hold.
- Volume isn't quiet: 1.28x pace, 2.68M traded versus 2.09M expected, real sell-side participation.

Trade here 👇 and Would you take it in one clean entry, or split orders through the zone?

EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK.
$SOPH Short recap: TP3 hit. The zone mattered, and it paid. Congrats if you were in from the original call. If you missed it, do not chase the receipt. Wait for the next setup.
$SOPH Short recap: TP3 hit.

The zone mattered, and it paid.

Congrats if you were in from the original call.

If you missed it, do not chase the receipt.

Wait for the next setup.
509 JonyDong
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Bearish
$SOPH Short 25x | The supply reaction is the entire trade.

SOPH has arrived at the zone where late longs usually get their first real test. This short only deserves patience while supply keeps answering at the zone.

Trade Plan:
- Entry: 0.00471 – 0.00474
- TP1: 0.00461 (R:R 1:0.8)
- TP2: 0.00454 (R:R 1:1.3)
- TP3: 0.00443 (R:R 1:2.0)
- SL: 0.00487

Why this setup?
- 4h still frames a clean short map, with a range-bound 1D backdrop and price reacting from 0.00471–0.00474 near 0.00472.
- 15m RSI at 48 is neutral, so downside continuation stays open if sellers hold their ground.
- Volume is not quiet: 0.77x pace, 11.86M traded against 15.36M expected, confirming real sell-side participation.

Trade here 👇 and Do you treat this as genuine supply stepping in, or just a liquidity sweep before the next push?

EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK.

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Bullish
$ZEC Long 75x | Planned demand pocket is active. ZEC has arrived at the zone I was waiting for, and now it is about buyer response, not hope. This is a live execution from a planned area, with clear invalidation and buyers responsible for the rest. Trade Plan: - Entry: 1143.21046 – 1146.03285 - TP1: 1154.78225 (R:R 1:0.8) - TP2: 1161.55598 (R:R 1:1.2) - TP3: 1171.71657 (R:R 1:2.0) - SL: 1131.07419 Why this setup? - 4h keeps the long thesis alive, and the 1D read remains bullish while price works from 1143.21046–1146.03285 near 1144.62165. - 15m RSI prints 73, which is elevated momentum, so follow-through matters from here, not blind chasing. - Participation supports the setup: 4.00x volume pace, with 7.35K traded versus 1.84K expected. Trade here 👇 and Would you enter at demand, or wait for structure to turn before committing? EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK. {future}(ZECUSDT)
$ZEC Long 75x | Planned demand pocket is active.

ZEC has arrived at the zone I was waiting for, and now it is about buyer response, not hope. This is a live execution from a planned area, with clear invalidation and buyers responsible for the rest.

Trade Plan:
- Entry: 1143.21046 – 1146.03285
- TP1: 1154.78225 (R:R 1:0.8)
- TP2: 1161.55598 (R:R 1:1.2)
- TP3: 1171.71657 (R:R 1:2.0)
- SL: 1131.07419

Why this setup?
- 4h keeps the long thesis alive, and the 1D read remains bullish while price works from 1143.21046–1146.03285 near 1144.62165.
- 15m RSI prints 73, which is elevated momentum, so follow-through matters from here, not blind chasing.
- Participation supports the setup: 4.00x volume pace, with 7.35K traded versus 1.84K expected.

Trade here 👇 and Would you enter at demand, or wait for structure to turn before committing?

EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK.
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Bearish
$MARSCOIN Short 20x | Zone tapped, risk capped. MARSCOIN has arrived at the zone where this short stops being a theory and starts being a decision. My position is already live, and invalidation is fixed - now price has to earn the rest. Trade Plan: - Entry: 0.11698 – 0.11816 - TP1: 0.11334 (R:R 1:0.7) - TP2: 0.11052 (R:R 1:1.3) - TP3: 0.10629 (R:R 1:2.0) - SL: 0.12321 Why this setup? - This short is not built on air: 4h structure leans bearish while 1D keeps chopping inside 0.11698–0.11816. - 15m RSI at 53 still leaves sellers room to press while the zone refuses to break. - Volume backs the read: 4.03x pace, 2.32M traded versus 575.88K expected. Trade here 👇 and Do you scale in on the rejection, or wait for the breakdown to confirm? EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK. {future}(MARSCOINUSDT)
$MARSCOIN Short 20x | Zone tapped, risk capped.

MARSCOIN has arrived at the zone where this short stops being a theory and starts being a decision. My position is already live, and invalidation is fixed - now price has to earn the rest.

Trade Plan:
- Entry: 0.11698 – 0.11816
- TP1: 0.11334 (R:R 1:0.7)
- TP2: 0.11052 (R:R 1:1.3)
- TP3: 0.10629 (R:R 1:2.0)
- SL: 0.12321

Why this setup?
- This short is not built on air: 4h structure leans bearish while 1D keeps chopping inside 0.11698–0.11816.
- 15m RSI at 53 still leaves sellers room to press while the zone refuses to break.
- Volume backs the read: 4.03x pace, 2.32M traded versus 575.88K expected.

Trade here 👇 and Do you scale in on the rejection, or wait for the breakdown to confirm?

EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK.
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Bearish
$DOT Short 75x | Supply test live, invalidation defined. DOT has arrived at the supply zone I was waiting for, and this is where the plan gets tested. I am positioned because the entry is controlled; if supply holds firm, I am wrong. Trade Plan: - Entry: 1.00560 – 1.00751 - TP1: 0.99968 (R:R 1:0.8) - TP2: 0.99509 (R:R 1:1.3) - TP3: 0.98821 (R:R 1:2.0) - SL: 1.01573 Why this setup? - The setup remains valid because 4h structure and the range-bound daily context are both reacting around 1.00560–1.00751. - 15m RSI at 28 still leaves room for downside extension only if sellers keep control, but the zone must stay defended. - Volume confirms this is not an empty reaction: 0.08x, with 46.10K versus 567.84K expected. Trade here 👇 and Do you take the first touch or wait for the second rejection? EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK. {future}(DOTUSDT)
$DOT Short 75x | Supply test live, invalidation defined.

DOT has arrived at the supply zone I was waiting for, and this is where the plan gets tested. I am positioned because the entry is controlled; if supply holds firm, I am wrong.

Trade Plan:
- Entry: 1.00560 – 1.00751
- TP1: 0.99968 (R:R 1:0.8)
- TP2: 0.99509 (R:R 1:1.3)
- TP3: 0.98821 (R:R 1:2.0)
- SL: 1.01573

Why this setup?
- The setup remains valid because 4h structure and the range-bound daily context are both reacting around 1.00560–1.00751.
- 15m RSI at 28 still leaves room for downside extension only if sellers keep control, but the zone must stay defended.
- Volume confirms this is not an empty reaction: 0.08x, with 46.10K versus 567.84K expected.

Trade here 👇 and Do you take the first touch or wait for the second rejection?

EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK.
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Bullish
$LINK Long 75x | Demand zone live, patience paid. LINK has arrived at the demand zone we mapped, and this is where the plan gets tested. Position is live, and invalidation is defined enough to respect without hesitation. Trade Plan: - Entry: 11.48667 – 11.49935 - TP1: 11.53867 (R:R 1:0.7) - TP2: 11.56911 (R:R 1:1.2) - TP3: 11.61477 (R:R 1:2.0) - SL: 11.43213 Why this setup? - The setup holds because 4h structure and bullish daily context are both reacting around 11.48667–11.49935. - 15m RSI at 48 still leaves room for buyers to press higher, but the zone has to stay defended. - Volume backs the move: 0.84x, with 22.58K versus 26.73K expected. Trade here 👇 and Do you wait for the zone reaction or demand the candle close before committing? EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK. {future}(LINKUSDT)
$LINK Long 75x | Demand zone live, patience paid.

LINK has arrived at the demand zone we mapped, and this is where the plan gets tested. Position is live, and invalidation is defined enough to respect without hesitation.

Trade Plan:
- Entry: 11.48667 – 11.49935
- TP1: 11.53867 (R:R 1:0.7)
- TP2: 11.56911 (R:R 1:1.2)
- TP3: 11.61477 (R:R 1:2.0)
- SL: 11.43213

Why this setup?
- The setup holds because 4h structure and bullish daily context are both reacting around 11.48667–11.49935.
- 15m RSI at 48 still leaves room for buyers to press higher, but the zone has to stay defended.
- Volume backs the move: 0.84x, with 22.58K versus 26.73K expected.

Trade here 👇 and Do you wait for the zone reaction or demand the candle close before committing?

EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK.
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Bearish
$DOGE Short 75x | Trigger zone hit, risk locked in. DOGE has finally tapped the supply zone I had marked for execution. Position is live with invalidation defined before the crowd even sees confirmation. Trade Plan: - Entry: 0.08459 – 0.08469 - TP1: 0.08431 (R:R 1:0.7) - TP2: 0.08408 (R:R 1:1.2) - TP3: 0.08375 (R:R 1:2.0) - SL: 0.08509 Why this setup? - Location first: 4h short structure, daily range still in control, and price reacting right out of 0.08459–0.08469. - RSI15 sitting at 42 still gives sellers room to press, but only while they hold the wheel. - Volume at 1.56x, with 19.62M traded against 12.60M expected, confirms which side is actually participating. Trade here 👇 and Do you defend this level with the sellers, or wait for the short to get invalidated before you act? EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK. {future}(DOGEUSDT)
$DOGE Short 75x | Trigger zone hit, risk locked in.

DOGE has finally tapped the supply zone I had marked for execution. Position is live with invalidation defined before the crowd even sees confirmation.

Trade Plan:
- Entry: 0.08459 – 0.08469
- TP1: 0.08431 (R:R 1:0.7)
- TP2: 0.08408 (R:R 1:1.2)
- TP3: 0.08375 (R:R 1:2.0)
- SL: 0.08509

Why this setup?
- Location first: 4h short structure, daily range still in control, and price reacting right out of 0.08459–0.08469.
- RSI15 sitting at 42 still gives sellers room to press, but only while they hold the wheel.
- Volume at 1.56x, with 19.62M traded against 12.60M expected, confirms which side is actually participating.

Trade here 👇 and Do you defend this level with the sellers, or wait for the short to get invalidated before you act?

EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK.
$MARSCOIN Short: TP3 hit. This was the zone I flagged, and the result confirmed it. If you were in from the original call, well done. If you missed it, do not chase the receipt. Wait for the next setup to come to us.
$MARSCOIN Short: TP3 hit.

This was the zone I flagged, and the result confirmed it.

If you were in from the original call, well done.

If you missed it, do not chase the receipt.

Wait for the next setup to come to us.
509 JonyDong
·
--
Bearish
$MARSCOIN Short 20x | Supply hold setup, execution only.

MARSCOIN has arrived at the zone I mapped in advance, and now I want sellers to prove themselves. This is a live position from a planned area, with defined invalidation and sellers carrying the rest.

Trade Plan:
- Entry: 0.12356 – 0.12459
- TP1: 0.12036 (R:R 1:0.7)
- TP2: 0.11789 (R:R 1:1.2)
- TP3: 0.11418 (R:R 1:2.0)
- SL: 0.12902

Why this setup?
- The setup holds because 4h structure and the range-bound 1D context are converging at the planned zone.
- RSI15 at 60 shows neutral momentum, leaving room for downside continuation; I need sellers to use that room, not just tap it.
- Volume is already at 3.89x, with 386.05K traded versus 99.23K expected, confirming real sell-side participation.

Trade here 👇 and Your call: clean rejection from here, or a failed breakdown that traps shorts?

EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK.

·
--
Bullish
$TAO Long 75x | Trigger zone hit. TAO has arrived at my long trigger zone, exactly where I planned to act. I am already positioned long, and my invalidation level defines when I am wrong. Trade Plan: - Entry: 234.57000 – 235.01000 - TP1: 236.41000 (R:R 1:0.8) - TP2: 237.49000 (R:R 1:1.3) - TP3: 239.10000 (R:R 1:2.0) - SL: 232.63000 Why this setup? - Higher timeframe structure still favors longs, but the true edge is how price reacts from 234.57000–235.01000 around 234.79000. - 15m RSI sitting at 63 means buyers still have room to push, so confirmation remains essential. - Volume is running 4.00x, with 2.00K traded against 501.03000 expected, confirming real participation. Trade here 👇 and Do you take the long here on fear, or wait for the turn to confirm before entering? EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK. {future}(TAOUSDT)
$TAO Long 75x | Trigger zone hit.

TAO has arrived at my long trigger zone, exactly where I planned to act. I am already positioned long, and my invalidation level defines when I am wrong.

Trade Plan:
- Entry: 234.57000 – 235.01000
- TP1: 236.41000 (R:R 1:0.8)
- TP2: 237.49000 (R:R 1:1.3)
- TP3: 239.10000 (R:R 1:2.0)
- SL: 232.63000

Why this setup?
- Higher timeframe structure still favors longs, but the true edge is how price reacts from 234.57000–235.01000 around 234.79000.
- 15m RSI sitting at 63 means buyers still have room to push, so confirmation remains essential.
- Volume is running 4.00x, with 2.00K traded against 501.03000 expected, confirming real participation.

Trade here 👇 and Do you take the long here on fear, or wait for the turn to confirm before entering?

EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK.
·
--
Bullish
$PROM Long 50x | Planned risk long zone reached. PROM has now tapped the zone where buyers are supposed to show up. Position is live, and the long only stays honest while that zone holds. Trade Plan: - Entry: 5.70500 – 5.74300 - TP1: 5.86000 (R:R 1:0.7) - TP2: 5.95100 (R:R 1:1.2) - TP3: 6.08700 (R:R 1:2.0) - SL: 5.54200 Why this setup? - This long is not sitting in dead space: 4h structure is lined up, and 1D remains bullish around 5.70500–5.74300. - 15m RSI is at 52, so buyers still have room to push while the zone stays intact. - Volume backs the execution read: 0.59x pace, with 25.40K traded against 43.05K expected. Trade here 👇 and Do you scale in right at the zone, or wait for the reclaim before committing? EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK. {future}(PROMUSDT)
$PROM Long 50x | Planned risk long zone reached.

PROM has now tapped the zone where buyers are supposed to show up. Position is live, and the long only stays honest while that zone holds.

Trade Plan:
- Entry: 5.70500 – 5.74300
- TP1: 5.86000 (R:R 1:0.7)
- TP2: 5.95100 (R:R 1:1.2)
- TP3: 6.08700 (R:R 1:2.0)
- SL: 5.54200

Why this setup?
- This long is not sitting in dead space: 4h structure is lined up, and 1D remains bullish around 5.70500–5.74300.
- 15m RSI is at 52, so buyers still have room to push while the zone stays intact.
- Volume backs the execution read: 0.59x pace, with 25.40K traded against 43.05K expected.

Trade here 👇 and Do you scale in right at the zone, or wait for the reclaim before committing?

EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK.
·
--
Bullish
$RAYSOL Long 75x | Pullback zone tapped, risk already defined. RAYSOL has walked into the zone I was waiting for, so this is now about execution, not prediction. This is a live long with one clear invalidation line, and that clarity is the whole edge. Trade Plan: - Entry: 1.46610 – 1.47650 - TP1: 1.50890 (R:R 1:0.8) - TP2: 1.53390 (R:R 1:1.2) - TP3: 1.57150 (R:R 1:2.0) - SL: 1.42120 Why this setup? - The long read still holds on 4h, price is respecting 1.46610–1.47650, and the daily bias remains bullish. - 15m RSI at 34 is reset enough to leave room for buyers to push, as long as the level gets defended. - Volume is at 0.36x, with 139.34K traded versus 390.16K expected, so participation is behind the move. Trade here 👇 and Are you treating this as real demand absorption, or just a weak bounce that traps late longs? EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK. {future}(RAYSOLUSDT)
$RAYSOL Long 75x | Pullback zone tapped, risk already defined.

RAYSOL has walked into the zone I was waiting for, so this is now about execution, not prediction. This is a live long with one clear invalidation line, and that clarity is the whole edge.

Trade Plan:
- Entry: 1.46610 – 1.47650
- TP1: 1.50890 (R:R 1:0.8)
- TP2: 1.53390 (R:R 1:1.2)
- TP3: 1.57150 (R:R 1:2.0)
- SL: 1.42120

Why this setup?
- The long read still holds on 4h, price is respecting 1.46610–1.47650, and the daily bias remains bullish.
- 15m RSI at 34 is reset enough to leave room for buyers to push, as long as the level gets defended.
- Volume is at 0.36x, with 139.34K traded versus 390.16K expected, so participation is behind the move.

Trade here 👇 and Are you treating this as real demand absorption, or just a weak bounce that traps late longs?

EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK.
·
--
Bearish
$1000PEPE Short 75x | Clean short zone, clean invalidation. 1000PEPE is no longer a chase; it is back at the level I wanted. This is execution from a planned area, with sellers responsible for the rest. Trade Plan: - Entry: 0.00345 – 0.00345 - TP1: 0.00342 (R:R 1:0.8) - TP2: 0.00341 (R:R 1:1.0) - TP3: 0.00338 (R:R 1:1.7) - SL: 0.00349 Why this setup? - 4h still supports the short idea, and price is reacting where I want it: 0.00345–0.00345 near 0.00345. - 15m RSI printing 64 gives neutral momentum that still leaves room for downside continuation; the zone still has to prove it. - The tape has volume behind it: 3.00x, with 1.26B traded versus 418.58M expected. Trade here 👇 and are sellers absorbing here, or are buyers still pushing? EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK. {future}(1000PEPEUSDT)
$1000PEPE Short 75x | Clean short zone, clean invalidation.

1000PEPE is no longer a chase; it is back at the level I wanted. This is execution from a planned area, with sellers responsible for the rest.

Trade Plan:
- Entry: 0.00345 – 0.00345
- TP1: 0.00342 (R:R 1:0.8)
- TP2: 0.00341 (R:R 1:1.0)
- TP3: 0.00338 (R:R 1:1.7)
- SL: 0.00349

Why this setup?
- 4h still supports the short idea, and price is reacting where I want it: 0.00345–0.00345 near 0.00345.
- 15m RSI printing 64 gives neutral momentum that still leaves room for downside continuation; the zone still has to prove it.
- The tape has volume behind it: 3.00x, with 1.26B traded versus 418.58M expected.

Trade here 👇 and are sellers absorbing here, or are buyers still pushing?

EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK.
·
--
Bullish
$NEAR Long 75x | Demand retest live, plan stays strict. NEAR has finally walked into the zone where the risk is worth taking. I'm already positioned from the planned area, and now the buyers have to confirm the decision. Trade Plan: - Entry: 2.35200 – 2.35800 - TP1: 2.37900 (R:R 1:0.8) - TP2: 2.39400 (R:R 1:1.3) - TP3: 2.41800 (R:R 1:2.0) - SL: 2.32400 Why this setup? - 4h still backs the long idea, and price is reacting exactly where I want it: 2.35200–2.35800 near 2.35500. - 15m RSI at 43 is neutral momentum, so there's still room for upside continuation, but the zone has to prove itself. - The tape has volume behind it: 2.16x, with 423.46K traded versus 196.43K expected. Trade here 👇 and So what's your read here: real demand stepping in, or just a liquidity bounce before the next leg? EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK. {future}(NEARUSDT)
$NEAR Long 75x | Demand retest live, plan stays strict.

NEAR has finally walked into the zone where the risk is worth taking. I'm already positioned from the planned area, and now the buyers have to confirm the decision.

Trade Plan:
- Entry: 2.35200 – 2.35800
- TP1: 2.37900 (R:R 1:0.8)
- TP2: 2.39400 (R:R 1:1.3)
- TP3: 2.41800 (R:R 1:2.0)
- SL: 2.32400

Why this setup?
- 4h still backs the long idea, and price is reacting exactly where I want it: 2.35200–2.35800 near 2.35500.
- 15m RSI at 43 is neutral momentum, so there's still room for upside continuation, but the zone has to prove itself.
- The tape has volume behind it: 2.16x, with 423.46K traded versus 196.43K expected.

Trade here 👇 and So what's your read here: real demand stepping in, or just a liquidity bounce before the next leg?

EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK.
The $REZ short plan was simple, and it paid. TP1 is hit. This is no longer a theory. If you were in from the original call, respect. You stayed with it and got the receipt. If you missed it, do not chase the move late. That is the expensive part. Stay ready for the next setup.
The $REZ short plan was simple, and it paid.

TP1 is hit. This is no longer a theory.

If you were in from the original call, respect. You stayed with it and got the receipt.

If you missed it, do not chase the move late. That is the expensive part.

Stay ready for the next setup.
509 JonyDong
·
--
Bearish
$REZ Short 50x | If supply does not hold, I am out.

REZ is now sitting at the exact area where the short thesis either proves itself or gets killed. This is a live short with a hard invalidation line, and that is the only reason it is worth watching.

Trade Plan:
- Entry: 0.00409 – 0.00416
- TP1: 0.00375 (R:R 1:0.7)
- TP2: 0.00350 (R:R 1:1.3)
- TP3: 0.00313 (R:R 1:2.0)
- SL: 0.00462

Why this setup?
- The short is not guessing into air: 4h structure is lined up while 1D remains trapped around 0.00409–0.00416.
- 15m RSI is at 58, so sellers still have room to press while the zone stays intact.
- Volume supports execution: 0.25x pace with 45.39M traded against 184.92M expected.

Trade here 👇 and Would you take the clean stop and risk getting wicked out, or use the wider structure stop and give the trade more room?

EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK.

·
--
Bearish
$LAB Short 10x | Supply tapped, execution window live. LAB has now tagged the zone where I stop chasing and start managing risk. Position is on, but the zone still dictates the terms. Trade Plan: - Entry: 0.06754 – 0.06814 - TP1: 0.06567 (R:R 1:0.8) - TP2: 0.06422 (R:R 1:1.3) - TP3: 0.06205 (R:R 1:2.0) - SL: 0.07073 Why this setup? - 4h holds the short case together, and the 1D read stays bearish while price presses 0.06754–0.06814 around 0.06784. - 15m RSI at 48 is neutral momentum, leaving downside room without forcing a blind chase. - Flow confirms it: 0.00x volume pace, 3.01K traded against 3.75M expected. Trade here 👇 and Do you defend supply here, or wait for a breakdown failure to flip the script? EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK. {future}(LABUSDT)
$LAB Short 10x | Supply tapped, execution window live.

LAB has now tagged the zone where I stop chasing and start managing risk. Position is on, but the zone still dictates the terms.

Trade Plan:
- Entry: 0.06754 – 0.06814
- TP1: 0.06567 (R:R 1:0.8)
- TP2: 0.06422 (R:R 1:1.3)
- TP3: 0.06205 (R:R 1:2.0)
- SL: 0.07073

Why this setup?
- 4h holds the short case together, and the 1D read stays bearish while price presses 0.06754–0.06814 around 0.06784.
- 15m RSI at 48 is neutral momentum, leaving downside room without forcing a blind chase.
- Flow confirms it: 0.00x volume pace, 3.01K traded against 3.75M expected.

Trade here 👇 and Do you defend supply here, or wait for a breakdown failure to flip the script?

EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK.
·
--
Bullish
$BULLA Long 10x | Planned pullback zone reached. BULLA has tapped the demand zone, and how it reacts here decides the next leg. Position is live, and the long case has to hold right here. Trade Plan: - Entry: 0.08361 – 0.08455 - TP1: 0.08746 (R:R 1:0.8) - TP2: 0.08971 (R:R 1:1.2) - TP3: 0.09309 (R:R 1:2.0) - SL: 0.07958 Why this setup? - This is a location play first: 4h long structure, bullish daily backdrop, and price reacting from 0.08361–0.08455. - RSI15 at 79 still leaves upside room, but only while buyers stay in control. - Volume is at 1.34x, with 10.75M traded versus 8.03M expected, confirming the participation side. Trade here 👇 and Do you add on defense, or wait for the reclaim before committing? EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK. {future}(BULLAUSDT)
$BULLA Long 10x | Planned pullback zone reached.

BULLA has tapped the demand zone, and how it reacts here decides the next leg. Position is live, and the long case has to hold right here.

Trade Plan:
- Entry: 0.08361 – 0.08455
- TP1: 0.08746 (R:R 1:0.8)
- TP2: 0.08971 (R:R 1:1.2)
- TP3: 0.09309 (R:R 1:2.0)
- SL: 0.07958

Why this setup?
- This is a location play first: 4h long structure, bullish daily backdrop, and price reacting from 0.08361–0.08455.
- RSI15 at 79 still leaves upside room, but only while buyers stay in control.
- Volume is at 1.34x, with 10.75M traded versus 8.03M expected, confirming the participation side.

Trade here 👇 and Do you add on defense, or wait for the reclaim before committing?

EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK.
·
--
Bullish
$PUMP Long 75x | Demand tapped, execution window open. PUMP has now reached the exact zone where this setup becomes worth executing. I'm already positioned, but if that demand zone gives way, the idea is dead fast. Trade Plan: - Entry: 0.00383 – 0.00385 - TP1: 0.00391 (R:R 1:0.7) - TP2: 0.00395 (R:R 1:1.3) - TP3: 0.00401 (R:R 1:2.0) - SL: 0.00376 Why this setup? - The setup holds because 4h structure and the bullish 1D context are converging right at the planned zone. - RSI15 at 58 is neutral, so there's still room for upside continuation; I want buyers to use that room, not just tap it. - Volume is already at 0.71x, with 86.58M traded against 121.49M expected, which points to real buy-side participation. Trade here 👇 and So what's your read: are buyers taking control here, or are sellers just late to the party? EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK. {future}(PUMPUSDT)
$PUMP Long 75x | Demand tapped, execution window open.

PUMP has now reached the exact zone where this setup becomes worth executing. I'm already positioned, but if that demand zone gives way, the idea is dead fast.

Trade Plan:
- Entry: 0.00383 – 0.00385
- TP1: 0.00391 (R:R 1:0.7)
- TP2: 0.00395 (R:R 1:1.3)
- TP3: 0.00401 (R:R 1:2.0)
- SL: 0.00376

Why this setup?
- The setup holds because 4h structure and the bullish 1D context are converging right at the planned zone.
- RSI15 at 58 is neutral, so there's still room for upside continuation; I want buyers to use that room, not just tap it.
- Volume is already at 0.71x, with 86.58M traded against 121.49M expected, which points to real buy-side participation.

Trade here 👇 and So what's your read: are buyers taking control here, or are sellers just late to the party?

EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK.
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