Before the setup know your exit before you know your entry. If $H loses 0.07680 on a 15m candle close, this idea is done, no exceptions, no "just one more candle."

Now the trade:

๐Ÿ“ˆ Long
๐Ÿ“ Entry: 0.07920 โ€“ 0.07980 (current zone), better entry on a dip to 0.0785โ€“0.0790
๐Ÿ›‘ Stop Loss: 0.07680 (15m candle close)
๐ŸŽฏ TP1: 0.08070 (previous high)
๐ŸŽฏ TP2: 0.08220
โšก Risk: 1-2% of wallet | Leverage: 5x-10x max

Key thought: after TP1 hits, moving SL to breakeven protects capital without needing to guess where the move ends that's the discipline that matters more than nailing every target.

Ready, but don't chase it. What's your plan if this loses 0.07680 before TP1? ๐Ÿ‘‡