$BANK
🟢 Buy Order

Trade Details:

🔵 Entry: 0.04517
🟢 First Target: 0.20155
🟢 Second Target: 0.26395
🟢 Third Target: 0.45790
🔴 Stop Loss: 0.03838

📌 Trade Management:

Once the first target is hit, move the stop loss to the entry price to protect capital.

This trade is based on a rebound from strong support, so a break of 0.03838 with a clear closing price cancels the bullish scenario.

Risk management is more important than the expected profit size.
These are my thoughts—what do you think?