🔴【Bearish · Short】$ONE Over the past 24H it dumped -16.87%. Honestly, don’t get itchy and try to bottom-fish. A bearish engulfing-style move with a huge, million-level volume spike—every rebound is handing shorts fresh entry opportunities. I’m currently flat and waiting for this pullback.

📊【Key chart observations】The EMA ribbon (12/26/50/100) is fully open downward across the board, forming a textbook bearish alignment. The MACD is under the zero line: the green histogram bars may be shrinking, but there are no signs of a bullish crossover between the fast and slow lines. RSI is hovering in the low zone, yet there is no bullish divergence at the bottom—this is weak consolidation, not a liquidation/momentum exhaustion sell-off. ATR is 3.94%, and the intraday range is enough; stops can be placed comfortably and profits can still run. Key levels are clear: 0.0037274 is the current support—once the body breaks below it, price will accelerate lower; 0.00390-0.00392 is the resistance zone converted from the previous low, and it’s also my short-entry埋伏 area.

🎯【My Live Trading Plan】

• Core target: $ONE (short)

• Entry reference: 0.00378 - 0.00382. Pullback into the resistance zone in batches

• Stop-loss defense: 0.003921. If it closes above, leave decisively. No holding on, no averaging down

• Take-profit targets: TP1 0.00361 (cut position in half, about 1.6R); TP2 0.00338 (about 3.5R)

• Position sizing: risk per trade not exceeding 1% of total capital; leverage ≤5x

Short $ONE 👇

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⚠️【Risk Control Reminder & Interaction】

The biggest fear in a bearish market is catching the bottom in the middle of the hill. Your stop-loss level is your lifeline—if it breaks, you leave. One question: $ONE Is this leg the first segment of the big players distributing, or the last drop before an oversold bounce? Share your view in the comments.

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