$ETC $USDT | LONG scenario
⚠️ The risk in the trade is strictly controlled — no more than 0.3% of the deposit.
📌 Position build plan:
▪️ 1st entry — 0.1% risk
▪️ 2nd entry — 0.1% risk
▪️ 3rd entry — 0.1% risk
📍 Levels:
▪️ Entry 1 — 9.8990
▪️ Entry 2 — 8.6416
▪️ Entry 3 — 8.5822
🛑 Stop — 8.4635
🎯 TP1 — 11.3345
🎯 TP2 — 12.7700
🎯 TP3 — 14.2055
⚙️ Trade settings:
• Margin: isolated
• Leverage: 2–7x
• Stop: at the specified level
• We do not place the entire volume at a single level
🎯 Position management:
When TP1 is reached:
✅ we lock in 50% of the position
✅ move the stop to breakeven (B/E)
📊 Market context:
• RSI: 65.12
• EMA20: 9.4626
• EMA50: 9.2394
• EMA200: 8.6163
• Funding: 0.0100%
• Open Interest: 3564316.2400
• ATR: 0.296845
We strictly follow the plan.
No rush, no overloading the position, and no emotional decisions.
‼️ We start building the position with the minimum leverage of 2x.
With confirmation of the move and level execution, a gradual increase up to 5–7x is allowed.