🟢【Bullish · Long】$NIL This is the only asset from my today’s scan that has “big gains + the structure hasn’t broken down + a usable risk-reward ratio.” It surged +30.59% in 24H—no chasing the current price; I only re-enter on a pullback.
📊 Core Market Observations
$NIL Current price 0.08201, ATR 3.32%. It’s a volatile range, but not one that’s out of control. The EMA ribbon is bullish with a clear open spread; short-term moving averages keep widening. After a high-volume breakout above 0.08142 on the 15m chart, there wasn’t a high-volume long upper wick, suggesting sell pressure above hasn’t yet concentrated and smashed down. On the 1H chart, the MACD is golden-crossing above the zero line and the histogram has leveled off; RSI is around the low 60s and hasn’t dulled. This looks like the moves are driven by the main force rather than the typical FOMO pattern from retail traders.
Key levels are clear: support at 0.08142 (prior high turned support), resistance at 0.08416 (a dense overhead liquidation/lock-in zone). If support breaks, the logic is invalid—I won’t stubbornly hold.
🎯 My live trading plan
Core asset: $NIL Long position
Entry reference: 0.0814 - 0.0820 (place limit orders on the pullback, don’t chase price)
Stop-loss defense: 0.08101 (if it breaks below, exit immediately—no delusions)
Take-profit targets: TP1 0.08416 (sell half first at the resistance), TP2 0.08620 (extension target)
Risk-reward ratio: based on an average entry of 0.0820, TP1 is about 2.2R, TP2 is about 4.2R
Go long $NIL 🚀
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⚠️ Risk control & interaction
To be honest, this 24H pump stock is up 30%—don’t let your position exceed 70% of your usual size. Keep leverage within 5x—your stop-loss level is discipline, not advice.
Do you think $NIL this move will first break 0.08416, or first pull back to 0.08142 to shake things out? Drop your pending order in the comments.