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509 JonyDong
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509 JonyDong

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Market Survivor | Real Trading Insights Not a "guru". Just sharing what I trade based on years of experience.
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BNB Holder
High-Frequency Trader
4.9 Years
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Today 28/07 , we won 49 trades out of 64 resolved trades. Winning trades for reference: - 1000SHIBUSDT (HIT TP3 at 0.004886) - BNBUSDT (HIT TP3 at 566.938179) - BTCUSDT (HIT TP3 at 64121.6) - DIAUSDT (HIT TP3 at 0.118772) - DOGEUSDT (HIT TP3 at 0.070675) - FOGOUSDT (HIT TP3 at 0.008341) - KATUSDT (HIT TP3 at 0.004536) - REUSDT (HIT TP3 at 0.454) - LABUSDT (HIT TP2 at 0.1361) - VVVUSDT (HIT TP1 at 12.965) - LIGHTUSDT (HIT TP1 at 0.1308) - BTWUSDT (HIT TP1 at 0.07963) - ZAMAUSDT (HIT TP1 at 0.061473) - VELVETUSDT (HIT TP1 at 0.402511) - RIFUSDT (HIT TP1 at 0.09546) - AKEUSDT (HIT TP1 at 0.004769) - VVVUSDT (HIT TP1 at 13.131) - BABYUSDT (HIT TP1 at 0.011484) - SPCXUSDT (HIT TP1 at 110.969021) - PROMUSDT (HIT TP1 at 1.92165) - BTWUSDT (HIT TP1 at 0.06756) - VVVUSDT (HIT TP1 at 12.495496) - HYPEUSDT (HIT TP1 at 55.679979) - CLUSDT (HIT TP1 at 80.76) - ZAMAUSDT (HIT TP1 at 0.062237) - REUSDT (HIT TP1 at 0.444696) - LABUSDT (HIT TP1 at 0.1397) - EULUSDT (HIT TP1 at 1.487073) - MUUSDT (HIT TP1 at 857.090523) - ZAMAUSDT (HIT TP1 at 0.063962) - ESPORTSUSDT (HIT TP1 at 0.026517) - EULUSDT (HIT TP1 at 1.602116) - ALLOUSDT (HIT TP1 at 0.345404) - REUSDT (HIT TP1 at 0.4539) - ETHUSDT (HIT TP1 at 1875.450351) - SPCXUSDT (HIT TP1 at 110.124402) - SPCXUSDT (HIT TP1 at 109.92) - VELVETUSDT (HIT TP1 at 0.40957) - HYPEUSDT (HIT TP1 at 54.56) - SOLUSDT (HIT TP1 at 73.012457) - ZECUSDT (HIT TP1 at 465.6) - BANKUSDT (HIT TP1 at 0.369324) - SUIUSDT (HIT TP1 at 0.67918) - TRUMPUSDT (HIT TP1 at 1.463819) - SUIUSDT (HIT TP1 at 0.676787) - DIAUSDT (HIT TP1 at 0.1144) - BTCUSDT (HIT TP1 at 62838.997687) - RIVERUSDT (HIT TP1 at 2.66705) - RIVERUSDT (HIT TP1 at 2.682659)
Today 28/07 , we won 49 trades out of 64 resolved trades.

Winning trades for reference:
- 1000SHIBUSDT (HIT TP3 at 0.004886)
- BNBUSDT (HIT TP3 at 566.938179)
- BTCUSDT (HIT TP3 at 64121.6)
- DIAUSDT (HIT TP3 at 0.118772)
- DOGEUSDT (HIT TP3 at 0.070675)
- FOGOUSDT (HIT TP3 at 0.008341)
- KATUSDT (HIT TP3 at 0.004536)
- REUSDT (HIT TP3 at 0.454)
- LABUSDT (HIT TP2 at 0.1361)
- VVVUSDT (HIT TP1 at 12.965)
- LIGHTUSDT (HIT TP1 at 0.1308)
- BTWUSDT (HIT TP1 at 0.07963)
- ZAMAUSDT (HIT TP1 at 0.061473)
- VELVETUSDT (HIT TP1 at 0.402511)
- RIFUSDT (HIT TP1 at 0.09546)
- AKEUSDT (HIT TP1 at 0.004769)
- VVVUSDT (HIT TP1 at 13.131)
- BABYUSDT (HIT TP1 at 0.011484)
- SPCXUSDT (HIT TP1 at 110.969021)
- PROMUSDT (HIT TP1 at 1.92165)
- BTWUSDT (HIT TP1 at 0.06756)
- VVVUSDT (HIT TP1 at 12.495496)
- HYPEUSDT (HIT TP1 at 55.679979)
- CLUSDT (HIT TP1 at 80.76)
- ZAMAUSDT (HIT TP1 at 0.062237)
- REUSDT (HIT TP1 at 0.444696)
- LABUSDT (HIT TP1 at 0.1397)
- EULUSDT (HIT TP1 at 1.487073)
- MUUSDT (HIT TP1 at 857.090523)
- ZAMAUSDT (HIT TP1 at 0.063962)
- ESPORTSUSDT (HIT TP1 at 0.026517)
- EULUSDT (HIT TP1 at 1.602116)
- ALLOUSDT (HIT TP1 at 0.345404)
- REUSDT (HIT TP1 at 0.4539)
- ETHUSDT (HIT TP1 at 1875.450351)
- SPCXUSDT (HIT TP1 at 110.124402)
- SPCXUSDT (HIT TP1 at 109.92)
- VELVETUSDT (HIT TP1 at 0.40957)
- HYPEUSDT (HIT TP1 at 54.56)
- SOLUSDT (HIT TP1 at 73.012457)
- ZECUSDT (HIT TP1 at 465.6)
- BANKUSDT (HIT TP1 at 0.369324)
- SUIUSDT (HIT TP1 at 0.67918)
- TRUMPUSDT (HIT TP1 at 1.463819)
- SUIUSDT (HIT TP1 at 0.676787)
- DIAUSDT (HIT TP1 at 0.1144)
- BTCUSDT (HIT TP1 at 62838.997687)
- RIVERUSDT (HIT TP1 at 2.66705)
- RIVERUSDT (HIT TP1 at 2.682659)
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Bearish
Most traders see fear on 1000SHIB. I see a level where the short side can get uncomfortable. $1000SHIB Long 75x | Entry zone active This trade is already live for me. Read the zone before judging the direction. Trade Plan: - Entry: 0.00460 – 0.00461 - TP1: 0.00466 (R:R 1:0.8) - TP2: 0.00470 (R:R 1:1.2) - TP3: 0.00476 (R:R 1:2.0) - SL: 0.00453 Why this setup? - 4h still supports the long idea here, while daily context stays range-bound and price reacts from 0.00460–0.00461 near 0.00461. - 15m RSI is printing 42, showing neutral momentum that still leaves room for upside continuation. - 15m volume is 1.63x, with 27.49M traded versus 16.85M expected, confirming real buy-side participation. My call. Your execution. Trade here 👇 and comment whether you would market in or wait for a better fill. {future}(1000SHIBUSDT)
Most traders see fear on 1000SHIB. I see a level where the short side can get uncomfortable.

$1000SHIB Long 75x | Entry zone active
This trade is already live for me. Read the zone before judging the direction.

Trade Plan:
- Entry: 0.00460 – 0.00461
- TP1: 0.00466 (R:R 1:0.8)
- TP2: 0.00470 (R:R 1:1.2)
- TP3: 0.00476 (R:R 1:2.0)
- SL: 0.00453

Why this setup?
- 4h still supports the long idea here, while daily context stays range-bound and price reacts from 0.00460–0.00461 near 0.00461.
- 15m RSI is printing 42, showing neutral momentum that still leaves room for upside continuation.
- 15m volume is 1.63x, with 27.49M traded versus 16.85M expected, confirming real buy-side participation.

My call. Your execution.
Trade here 👇 and comment whether you would market in or wait for a better fill.
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Bullish
Everyone is piling on the CL bearish narrative. I'm watching who gets caught on the wrong side. $CL Long 100x | Zone still intact This is a live position, not a forecast. The zone below is the line in the sand. Trade Plan: - Entry: 78.95997 – 79.22788 - TP1: 80.05839 (R:R 1:0.8) - TP2: 80.70137 (R:R 1:1.3) - TP3: 81.66583 (R:R 1:2.0) - SL: 77.80797 Why this setup? - The 4h structure remains bullish, while the daily range keeps price reacting off 78.95997–79.22788 near 79.09392. - 15m RSI at 41 shows neutral momentum, leaving room for the upside to continue. - 15m volume is running 4.00x above average, with 23.23K traded versus 5.81K expected—real buying pressure is here. My call. Your execution. Trade here 👇 and Are you shorting the breakout or waiting for the zone to confirm? Drop your plan and I’ll tell you where I stand. {future}(CLUSDT)
Everyone is piling on the CL bearish narrative. I'm watching who gets caught on the wrong side.

$CL Long 100x | Zone still intact
This is a live position, not a forecast. The zone below is the line in the sand.

Trade Plan:
- Entry: 78.95997 – 79.22788
- TP1: 80.05839 (R:R 1:0.8)
- TP2: 80.70137 (R:R 1:1.3)
- TP3: 81.66583 (R:R 1:2.0)
- SL: 77.80797

Why this setup?
- The 4h structure remains bullish, while the daily range keeps price reacting off 78.95997–79.22788 near 79.09392.
- 15m RSI at 41 shows neutral momentum, leaving room for the upside to continue.
- 15m volume is running 4.00x above average, with 23.23K traded versus 5.81K expected—real buying pressure is here.

My call. Your execution.
Trade here 👇 and Are you shorting the breakout or waiting for the zone to confirm? Drop your plan and I’ll tell you where I stand.
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Bullish
Everyone is chasing the obvious SOL breakout. That is exactly why I am watching the other side. $SOL Long 100x | Clean invalidation setup I am already positioned. The real edge is in the plan below. Trade Plan: - Entry: 73.84472 – 73.98590 - TP1: 74.42357 (R:R 1:0.7) - TP2: 74.76241 (R:R 1:1.2) - TP3: 75.27066 (R:R 1:2.0) - SL: 73.23764 Why this setup? - The 4h structure still favors longs, but the daily chart remains bearish with price rejecting from 73.84472–73.98590 near 73.91531. - On the 15m timeframe, RSI sits at 56, neutral enough to allow further upside without being overbought. - Volume on 15m is 4.00x above average, with 12.48K contracts traded versus 3.12K expected—real buying pressure, not noise. My call. Your execution. Trade here 👇 and Are you leaning bullish or bearish here? Drop your bias and I will reply. {future}(SOLUSDT)
Everyone is chasing the obvious SOL breakout. That is exactly why I am watching the other side.

$SOL Long 100x | Clean invalidation setup
I am already positioned. The real edge is in the plan below.

Trade Plan:
- Entry: 73.84472 – 73.98590
- TP1: 74.42357 (R:R 1:0.7)
- TP2: 74.76241 (R:R 1:1.2)
- TP3: 75.27066 (R:R 1:2.0)
- SL: 73.23764

Why this setup?
- The 4h structure still favors longs, but the daily chart remains bearish with price rejecting from 73.84472–73.98590 near 73.91531.
- On the 15m timeframe, RSI sits at 56, neutral enough to allow further upside without being overbought.
- Volume on 15m is 4.00x above average, with 12.48K contracts traded versus 3.12K expected—real buying pressure, not noise.

My call. Your execution.
Trade here 👇 and Are you leaning bullish or bearish here? Drop your bias and I will reply.
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Bullish
Everyone is shorting RE right now. That's exactly why I'm watching the other side. $RE Long 50x | Bounce zone active I'm already positioned here. The real edge is in the zone, not the narrative. Trade Plan: - Entry: 0.45297 – 0.45588 - TP1: 0.46488 (R:R 1:0.8) - TP2: 0.47184 (R:R 1:1.3) - TP3: 0.48229 (R:R 1:2.0) - SL: 0.44049 Why this setup? - 4h structure still supports the long side, with daily price action respecting the range and reacting from 0.45297–0.45588 near 0.45442. - 15m RSI sits at 57, neutral enough to allow upside continuation without being overbought. - 15m volume confirms real buying at 0.28x, with 30.52K traded versus 110.82K expected—this isn't noise. My call. Your execution. Trade here 👇 and Do you see this as a trap for shorts or a fakeout for longs? Drop your take and I'll map it out. {future}(REUSDT)
Everyone is shorting RE right now. That's exactly why I'm watching the other side.

$RE Long 50x | Bounce zone active
I'm already positioned here. The real edge is in the zone, not the narrative.

Trade Plan:
- Entry: 0.45297 – 0.45588
- TP1: 0.46488 (R:R 1:0.8)
- TP2: 0.47184 (R:R 1:1.3)
- TP3: 0.48229 (R:R 1:2.0)
- SL: 0.44049

Why this setup?
- 4h structure still supports the long side, with daily price action respecting the range and reacting from 0.45297–0.45588 near 0.45442.
- 15m RSI sits at 57, neutral enough to allow upside continuation without being overbought.
- 15m volume confirms real buying at 0.28x, with 30.52K traded versus 110.82K expected—this isn't noise.

My call. Your execution.
Trade here 👇 and Do you see this as a trap for shorts or a fakeout for longs? Drop your take and I'll map it out.
This is why the zone mattered. $DIA Short call: TP3 reached. The position did its job. Congrats to those who caught it from the original call. If you missed it, do not chase the screenshot. Wait for the next one.
This is why the zone mattered. $DIA Short call: TP3 reached. The position did its job. Congrats to those who caught it from the original call. If you missed it, do not chase the screenshot. Wait for the next one.
509 JonyDong
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Bearish
Everyone sees strength in DIA right now. That's exactly why I'm watching the other side.

$DIA Short 25x | Clean invalidation setup
I'm already in this position. The plan below decides if it stays or goes.

Trade Plan:
- Entry: 0.13246 – 0.13397
- TP1: 0.12780 (R:R 1:0.8)
- TP2: 0.12419 (R:R 1:1.3)
- TP3: 0.11877 (R:R 1:2.0)
- SL: 0.14044

Why this setup?
- 4h structure still favors shorts, with daily price stuck in a range and reacting from 0.13246–0.13397 near 0.13322.
- 15m RSI at 24 shows stretched downside momentum—follow-through is key here.
- 15m volume prints 4.00x, with 4.10M traded vs 1.02M expected, confirming real sell-side pressure.

My call. Your execution.
Trade here 👇 and Is this a trap for bulls or a clean short setup? Drop your take and I'll break it down.

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Bullish
Everyone sees BTW breaking down and piling on shorts. That is exactly when I start watching for the reversal trap. $BTW Long 10x | Support zone still holding I am already positioned inside this move, not just calling it from the outside. Trade Plan: - Entry: 0.08745 – 0.08930 - TP1: 0.09838 (R:R 1:0.8) - TP2: 0.10504 (R:R 1:1.3) - TP3: 0.11504 (R:R 1:2.0) - SL: 0.07505 Why this setup? - The 4h structure remains intact for longs, while the daily chart stays range-bound with price holding 0.08745–0.08930 near 0.08838. - RSI on the 15m timeframe sits at 59, neutral and not overbought, leaving room for continuation upward. - Volume on 15m is running 4.00x above average at 2.96M traded versus 739.44K expected, confirming real accumulation. My call. Your execution. Trade here 👇 and Are you targeting a breakout above range or a retest of support here? Comment your plan. {future}(BTWUSDT)
Everyone sees BTW breaking down and piling on shorts. That is exactly when I start watching for the reversal trap.

$BTW Long 10x | Support zone still holding
I am already positioned inside this move, not just calling it from the outside.

Trade Plan:
- Entry: 0.08745 – 0.08930
- TP1: 0.09838 (R:R 1:0.8)
- TP2: 0.10504 (R:R 1:1.3)
- TP3: 0.11504 (R:R 1:2.0)
- SL: 0.07505

Why this setup?
- The 4h structure remains intact for longs, while the daily chart stays range-bound with price holding 0.08745–0.08930 near 0.08838.
- RSI on the 15m timeframe sits at 59, neutral and not overbought, leaving room for continuation upward.
- Volume on 15m is running 4.00x above average at 2.96M traded versus 739.44K expected, confirming real accumulation.

My call. Your execution.
Trade here 👇 and Are you targeting a breakout above range or a retest of support here? Comment your plan.
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Bearish
Everyone is piling into the short on DEXE. That's exactly why I'm watching the other side. $DEXE Long 20x | Reclaim setup active I'm already positioned here. The key level is locked in my plan. Trade Plan: - Entry: 3.04622 – 3.09669 - TP1: 3.34402 (R:R 1:0.8) - TP2: 3.52573 (R:R 1:1.2) - TP3: 3.79830 (R:R 1:2.0) - SL: 2.70804 Why this setup? - The 4h long setup is still intact, with price reacting inside a daily range from 3.04622–3.09669 near 3.07146. - 15m RSI at 41 gives buyers room to push without being overextended. - 15m volume at 0.71x, with 496.94K traded versus 702.30K expected, confirms real buying pressure behind this move. My call. Your execution. Trade here 👇 and Which coin should I break down next—something trending or a forgotten alt? {future}(DEXEUSDT)
Everyone is piling into the short on DEXE. That's exactly why I'm watching the other side.

$DEXE Long 20x | Reclaim setup active
I'm already positioned here. The key level is locked in my plan.

Trade Plan:
- Entry: 3.04622 – 3.09669
- TP1: 3.34402 (R:R 1:0.8)
- TP2: 3.52573 (R:R 1:1.2)
- TP3: 3.79830 (R:R 1:2.0)
- SL: 2.70804

Why this setup?
- The 4h long setup is still intact, with price reacting inside a daily range from 3.04622–3.09669 near 3.07146.
- 15m RSI at 41 gives buyers room to push without being overextended.
- 15m volume at 0.71x, with 496.94K traded versus 702.30K expected, confirms real buying pressure behind this move.

My call. Your execution.
Trade here 👇 and Which coin should I break down next—something trending or a forgotten alt?
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Bullish
Everyone expects TRUMP to crash. I am watching the opposite play unfold. $TRUMP Long 75x | Buyers are stepping in I am already positioned. The zone matters more than the chatter. Trade Plan: - Entry: 1.47806 – 1.48290 - TP1: 1.49788 (R:R 1:0.7) - TP2: 1.50949 (R:R 1:1.2) - TP3: 1.52689 (R:R 1:2.0) - SL: 1.45728 Why this setup? - The higher-timeframe long setup is still intact, and daily structure remains bearish with price reacting from 1.47806–1.48290 near 1.48048. - 15m RSI sits at 49, giving buyers room to push further. - 15m volume is 4.00x, with 191.89K traded versus 47.97K expected, confirming real buy-side activity. My call. Your execution. Trade here 👇 and What level are you watching? Tell me and I will share my take. {future}(TRUMPUSDT)
Everyone expects TRUMP to crash. I am watching the opposite play unfold.

$TRUMP Long 75x | Buyers are stepping in
I am already positioned. The zone matters more than the chatter.

Trade Plan:
- Entry: 1.47806 – 1.48290
- TP1: 1.49788 (R:R 1:0.7)
- TP2: 1.50949 (R:R 1:1.2)
- TP3: 1.52689 (R:R 1:2.0)
- SL: 1.45728

Why this setup?
- The higher-timeframe long setup is still intact, and daily structure remains bearish with price reacting from 1.47806–1.48290 near 1.48048.
- 15m RSI sits at 49, giving buyers room to push further.
- 15m volume is 4.00x, with 191.89K traded versus 47.97K expected, confirming real buy-side activity.

My call. Your execution.
Trade here 👇 and What level are you watching? Tell me and I will share my take.
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Bullish
Everyone is glued to SUI breaking down, but I'm watching if that fear actually becomes the fuel for a reversal. $SUI Long 75x | Upside setup active This isn't a prediction—it's a live position, and the zone below is the trigger. Trade Plan: - Entry: 0.68996 – 0.69159 - TP1: 0.69662 (R:R 1:0.7) - TP2: 0.70052 (R:R 1:1.2) - TP3: 0.70637 (R:R 1:2.0) - SL: 0.68297 Why this setup? - The 4h long setup is still intact, and the daily structure remains bearish as price reacts from 0.68996–0.69159 near 0.69077. - 15m RSI is at 67, leaving room for upside continuation as long as buyers hold the line. - 15m volume is at 3.95x, with 337.56K traded versus 85.38K expected, confirming real buy-side participation. My call. Your execution. Trade here 👇 and Would you market in here or wait for a better fill? Comment below. {future}(SUIUSDT)
Everyone is glued to SUI breaking down, but I'm watching if that fear actually becomes the fuel for a reversal.

$SUI Long 75x | Upside setup active
This isn't a prediction—it's a live position, and the zone below is the trigger.

Trade Plan:
- Entry: 0.68996 – 0.69159
- TP1: 0.69662 (R:R 1:0.7)
- TP2: 0.70052 (R:R 1:1.2)
- TP3: 0.70637 (R:R 1:2.0)
- SL: 0.68297

Why this setup?
- The 4h long setup is still intact, and the daily structure remains bearish as price reacts from 0.68996–0.69159 near 0.69077.
- 15m RSI is at 67, leaving room for upside continuation as long as buyers hold the line.
- 15m volume is at 3.95x, with 337.56K traded versus 85.38K expected, confirming real buy-side participation.

My call. Your execution.
Trade here 👇 and Would you market in here or wait for a better fill? Comment below.
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Bearish
Everyone is chasing DIA's breakout. I am watching who gets caught on the wrong side. $DIA Short 25x | Short setup is live This is not a prediction. I am already positioned, and the full plan is below. Trade Plan: - Entry: 0.11629 – 0.11745 - TP1: 0.11272 (R:R 1:0.7) - TP2: 0.10995 (R:R 1:1.3) - TP3: 0.10579 (R:R 1:2.0) - SL: 0.12241 Why this setup? - The 4h short setup is still valid, with daily structure bearish and price rejecting from 0.11629–0.11745 near 0.11687. - 15m RSI sits at 45, leaving enough room for sellers to push lower. - 15m volume is 0.75x, with 1.41M traded versus 1.87M expected, confirming real sell-side pressure. My call. Your execution. Trade here 👇 and Which chart should I break down next? Comment below. {future}(DIAUSDT)
Everyone is chasing DIA's breakout. I am watching who gets caught on the wrong side.

$DIA Short 25x | Short setup is live
This is not a prediction. I am already positioned, and the full plan is below.

Trade Plan:
- Entry: 0.11629 – 0.11745
- TP1: 0.11272 (R:R 1:0.7)
- TP2: 0.10995 (R:R 1:1.3)
- TP3: 0.10579 (R:R 1:2.0)
- SL: 0.12241

Why this setup?
- The 4h short setup is still valid, with daily structure bearish and price rejecting from 0.11629–0.11745 near 0.11687.
- 15m RSI sits at 45, leaving enough room for sellers to push lower.
- 15m volume is 0.75x, with 1.41M traded versus 1.87M expected, confirming real sell-side pressure.

My call. Your execution.
Trade here 👇 and Which chart should I break down next? Comment below.
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Bullish
Most traders wait for a clean breakout before touching SPCX. I prefer the level before the crowd piles in. $SPCX Long 75x | Long setup is live This isn't a speculative idea. I'm already positioned, and the zone is holding. Trade Plan: - Entry: 115.52000 – 116.26000 - TP1: 118.55000 (R:R 1:0.7) - TP2: 120.33000 (R:R 1:1.3) - TP3: 122.99000 (R:R 1:2.0) - SL: 112.34000 Why this setup? - The 4h structure remains intact, with the daily range still intact and price consistently bouncing from 115.52000–116.26000 near 115.89000. - On the 15m chart, RSI sits at 64, showing neutral momentum that still allows room for upside continuation. - Volume on the 15m timeframe is printing 0.17x, with 21.02K traded versus 123.00K expected, confirming real buy-side participation. My call. Your execution. Trade here 👇 and Which chart should I break down next? Comment below. {future}(SPCXUSDT)
Most traders wait for a clean breakout before touching SPCX. I prefer the level before the crowd piles in.

$SPCX Long 75x | Long setup is live
This isn't a speculative idea. I'm already positioned, and the zone is holding.

Trade Plan:
- Entry: 115.52000 – 116.26000
- TP1: 118.55000 (R:R 1:0.7)
- TP2: 120.33000 (R:R 1:1.3)
- TP3: 122.99000 (R:R 1:2.0)
- SL: 112.34000

Why this setup?
- The 4h structure remains intact, with the daily range still intact and price consistently bouncing from 115.52000–116.26000 near 115.89000.
- On the 15m chart, RSI sits at 64, showing neutral momentum that still allows room for upside continuation.
- Volume on the 15m timeframe is printing 0.17x, with 21.02K traded versus 123.00K expected, confirming real buy-side participation.

My call. Your execution.
Trade here 👇 and Which chart should I break down next? Comment below.
The zone did the work. $EUL Long recap: TP3 reached. Position already paid. Congrats if you were in from the original call. If you missed this one, do not chase the receipt. Wait for the next clean setup.
The zone did the work. $EUL Long recap: TP3 reached. Position already paid. Congrats if you were in from the original call. If you missed this one, do not chase the receipt. Wait for the next clean setup.
509 JonyDong
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Bullish
EUL looks fragile enough to scare off buyers. That is exactly why this trade is worth a closer look.

$EUL Long 25x | Support zone holding
I am already in this position. Check the zone before you judge the direction.

Trade Plan:
- Entry: 1.49934 – 1.51919
- TP1: 1.60212 (R:R 1:0.8)
- TP2: 1.66402 (R:R 1:1.2)
- TP3: 1.75687 (R:R 1:2.0)
- SL: 1.38546

Why this setup?
- The 4h long setup is still valid, with daily price action range-bound and reacting from 1.49934–1.51919 near 1.50927.
- 15m RSI sits at 42, leaving room for buyers to push higher without being overbought.
- 15m volume reads 1.10x, with 731.30K traded versus 661.95K expected, confirming real buy-side interest.

My call. Your execution.
Trade here 👇 and What part of this setup do you disagree with? Drop it in the comments and I will break it down.

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Bullish
XRP is holding where most late shorts expect a breakdown. That tension is exactly what I watch. $XRP Long 100x | Support zone still active I am already in this position. The real test is the level below. Trade Plan: - Entry: 1.06420 – 1.06640 - TP1: 1.07310 (R:R 1:0.7) - TP2: 1.07830 (R:R 1:1.2) - TP3: 1.08610 (R:R 1:2.0) - SL: 1.05490 Why this setup? - The 4h long setup is still valid, and the daily structure remains bearish while price bounces from 1.06420–1.06640 near 1.06530. - 15m RSI sits at 70, leaving room for further upside as long as buyers hold the line. - 15m volume is 0.14x above average, with 1.28M traded versus 9.33M expected, confirming real demand stepping in. My call. Your execution. Trade here 👇 and Which part of this setup feels unclear to you? Drop it in the comments and I will break it down. {future}(XRPUSDT)
XRP is holding where most late shorts expect a breakdown. That tension is exactly what I watch.

$XRP Long 100x | Support zone still active
I am already in this position. The real test is the level below.

Trade Plan:
- Entry: 1.06420 – 1.06640
- TP1: 1.07310 (R:R 1:0.7)
- TP2: 1.07830 (R:R 1:1.2)
- TP3: 1.08610 (R:R 1:2.0)
- SL: 1.05490

Why this setup?
- The 4h long setup is still valid, and the daily structure remains bearish while price bounces from 1.06420–1.06640 near 1.06530.
- 15m RSI sits at 70, leaving room for further upside as long as buyers hold the line.
- 15m volume is 0.14x above average, with 1.28M traded versus 9.33M expected, confirming real demand stepping in.

My call. Your execution.
Trade here 👇 and Which part of this setup feels unclear to you? Drop it in the comments and I will break it down.
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Bullish
Everyone sees WLD dropping and calls it dead. I see the exact moment the crowd gets trapped. $WLD Long 75x | Demand zone active This isn't a chart review—I'm live in the position, watching the zone that decides everything. Trade Plan: - Entry: 0.32370 – 0.32510 - TP1: 0.32940 (R:R 1:0.7) - TP2: 0.33270 (R:R 1:1.2) - TP3: 0.33770 (R:R 1:2.0) - SL: 0.31770 Why this setup? - The 4h long setup is still intact, and while the daily trend leans bearish, price is reacting cleanly from 0.32370–0.32510 near 0.32440. - 15m RSI sits at 57, which gives buyers room to push without being overextended. - 15m volume reads 0.63x, with 2.55M traded against 4.07M expected—real buying, not noise. My call. Your execution. Trade here 👇 and If you're entering here, drop your entry and I'll check your levels. {future}(WLDUSDT)
Everyone sees WLD dropping and calls it dead. I see the exact moment the crowd gets trapped.

$WLD Long 75x | Demand zone active
This isn't a chart review—I'm live in the position, watching the zone that decides everything.

Trade Plan:
- Entry: 0.32370 – 0.32510
- TP1: 0.32940 (R:R 1:0.7)
- TP2: 0.33270 (R:R 1:1.2)
- TP3: 0.33770 (R:R 1:2.0)
- SL: 0.31770

Why this setup?
- The 4h long setup is still intact, and while the daily trend leans bearish, price is reacting cleanly from 0.32370–0.32510 near 0.32440.
- 15m RSI sits at 57, which gives buyers room to push without being overextended.
- 15m volume reads 0.63x, with 2.55M traded against 4.07M expected—real buying, not noise.

My call. Your execution.
Trade here 👇 and If you're entering here, drop your entry and I'll check your levels.
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Bearish
Everyone sees the bounce on CRCL. That is exactly why I am watching the short instead. $CRCL Short 20x | Rejection zone still active I already entered the trade. The invalidation line is clear in the plan below. Trade Plan: - Entry: 65.05177 – 65.38530 - TP1: 63.65760 (R:R 1:0.8) - TP2: 62.61698 (R:R 1:1.2) - TP3: 61.05605 (R:R 1:2.0) - SL: 67.29978 Why this setup? - The 4h short setup is still in play, with daily price action trapped in a range and reacting from 65.05177–65.38530 near 65.21854. - 15m RSI sits at 71, giving sellers room to push lower from a slightly overbought reading. - 15m volume is 0.43x above average, with 16.12K traded versus 37.29K expected, confirming real selling pressure. My call. Your execution. Trade here 👇 and Which part of the plan is unclear? Drop it in the comments and I will break it down. {future}(CRCLUSDT)
Everyone sees the bounce on CRCL. That is exactly why I am watching the short instead.

$CRCL Short 20x | Rejection zone still active
I already entered the trade. The invalidation line is clear in the plan below.

Trade Plan:
- Entry: 65.05177 – 65.38530
- TP1: 63.65760 (R:R 1:0.8)
- TP2: 62.61698 (R:R 1:1.2)
- TP3: 61.05605 (R:R 1:2.0)
- SL: 67.29978

Why this setup?
- The 4h short setup is still in play, with daily price action trapped in a range and reacting from 65.05177–65.38530 near 65.21854.
- 15m RSI sits at 71, giving sellers room to push lower from a slightly overbought reading.
- 15m volume is 0.43x above average, with 16.12K traded versus 37.29K expected, confirming real selling pressure.

My call. Your execution.
Trade here 👇 and Which part of the plan is unclear? Drop it in the comments and I will break it down.
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Bullish
The crowd is piling into AKE shorts expecting a breakdown. I'm watching the opposite side—where the real move might be hiding. $AKE Long 10x | Entry zone still live I'm already positioned. The zone below is the decision point. Trade Plan: - Entry: 0.00429 – 0.00439 - TP1: 0.00485 (R:R 1:0.8) - TP2: 0.00519 (R:R 1:1.2) - TP3: 0.00571 (R:R 1:2.0) - SL: 0.00365 Why this setup? - 4h structure still supports the long setup, with daily bias bullish and price reacting from 0.00429–0.00439 near 0.00434. - 15m RSI at 43 shows neutral momentum, leaving room for upside without being overbought. - 15m volume at 0.14x, with 50.87M traded versus 371.46M expected, confirms real buy-side activity. My call. Your execution. Trade here 👇 and Which chart should I break down next—comment your pick. {future}(AKEUSDT)
The crowd is piling into AKE shorts expecting a breakdown. I'm watching the opposite side—where the real move might be hiding.

$AKE Long 10x | Entry zone still live
I'm already positioned. The zone below is the decision point.

Trade Plan:
- Entry: 0.00429 – 0.00439
- TP1: 0.00485 (R:R 1:0.8)
- TP2: 0.00519 (R:R 1:1.2)
- TP3: 0.00571 (R:R 1:2.0)
- SL: 0.00365

Why this setup?
- 4h structure still supports the long setup, with daily bias bullish and price reacting from 0.00429–0.00439 near 0.00434.
- 15m RSI at 43 shows neutral momentum, leaving room for upside without being overbought.
- 15m volume at 0.14x, with 50.87M traded versus 371.46M expected, confirms real buy-side activity.

My call. Your execution.
Trade here 👇 and Which chart should I break down next—comment your pick.
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Bearish
Everyone is calling BTC a bounce. I’m watching the level where that hope usually dies. $BTC Short 150x | Supply zone active I’m already in the trade. The full map is in the plan. Trade Plan: - Entry: 63234.12191 – 63331.49277 - TP1: 62932.27223 (R:R 1:0.8) - TP2: 62698.58215 (R:R 1:1.2) - TP3: 62348.04704 (R:R 1:2.0) - SL: 63750.18749 Why this setup? - The 4h structure still leans bearish, with daily context staying weak while price reacts from 63234.12191–63331.49277 near 63282.80734. - 15m RSI sits at 47, neutral enough to allow more downside without being overdone. - 15m volume shows 0.96x, with 1.81K traded against 1.89K expected—real sell flow is present. My call. Your execution. Trade here 👇 and Are you leaning long or short here? Drop your bias and I’ll reply. {future}(BTCUSDT)
Everyone is calling BTC a bounce. I’m watching the level where that hope usually dies.

$BTC Short 150x | Supply zone active
I’m already in the trade. The full map is in the plan.

Trade Plan:
- Entry: 63234.12191 – 63331.49277
- TP1: 62932.27223 (R:R 1:0.8)
- TP2: 62698.58215 (R:R 1:1.2)
- TP3: 62348.04704 (R:R 1:2.0)
- SL: 63750.18749

Why this setup?
- The 4h structure still leans bearish, with daily context staying weak while price reacts from 63234.12191–63331.49277 near 63282.80734.
- 15m RSI sits at 47, neutral enough to allow more downside without being overdone.
- 15m volume shows 0.96x, with 1.81K traded against 1.89K expected—real sell flow is present.

My call. Your execution.
Trade here 👇 and Are you leaning long or short here? Drop your bias and I’ll reply.
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Bearish
Most traders wait for a clear breakdown before shorting LIGHT. I step in before the crowd sees it. $LIGHT Short 10x | Sellers are responding I am already in the trade. The structure below marks where it works and where it doesn't. Trade Plan: - Entry: 0.12840 – 0.12920 - TP1: 0.12630 (R:R 1:0.7) - TP2: 0.12460 (R:R 1:1.2) - TP3: 0.12200 (R:R 1:2.0) - SL: 0.13220 Why this setup? - The 4h short setup remains intact, with daily price still range-bound and reacting from 0.12840–0.12920 near 0.12880. - 15m RSI sits at 46, giving sellers room to push lower without overextension. - 15m volume reads 0.21x, with 26.73K traded versus 129.88K expected, confirming real sell-side pressure. My call. Your execution. Trade here 👇 and Comment the level you're watching and I'll tell you how I see it. {future}(LIGHTUSDT)
Most traders wait for a clear breakdown before shorting LIGHT. I step in before the crowd sees it.

$LIGHT Short 10x | Sellers are responding
I am already in the trade. The structure below marks where it works and where it doesn't.

Trade Plan:
- Entry: 0.12840 – 0.12920
- TP1: 0.12630 (R:R 1:0.7)
- TP2: 0.12460 (R:R 1:1.2)
- TP3: 0.12200 (R:R 1:2.0)
- SL: 0.13220

Why this setup?
- The 4h short setup remains intact, with daily price still range-bound and reacting from 0.12840–0.12920 near 0.12880.
- 15m RSI sits at 46, giving sellers room to push lower without overextension.
- 15m volume reads 0.21x, with 26.73K traded versus 129.88K expected, confirming real sell-side pressure.

My call. Your execution.
Trade here 👇 and Comment the level you're watching and I'll tell you how I see it.
This is exactly why that zone mattered. $BANK Long recap: TP1 hit. Respect to everyone who held from the original call. If you missed this one, do not chase the receipt. Wait for the next setup.
This is exactly why that zone mattered. $BANK Long recap: TP1 hit. Respect to everyone who held from the original call. If you missed this one, do not chase the receipt. Wait for the next setup.
509 JonyDong
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Bullish
Most traders are overlooking BANK because it doesn't look perfect. That's exactly when the real opportunity sits.

$BANK Long 50x | Zone is still active
I'm already positioned. The invalidation level is clear and I'm watching it closely.

Trade Plan:
- Entry: 0.31679 – 0.32514
- TP1: 0.36607 (R:R 1:0.8)
- TP2: 0.39615 (R:R 1:1.2)
- TP3: 0.44125 (R:R 1:2.0)
- SL: 0.26082

Why this setup?
- The 4h structure remains intact, with the daily trend still bullish and price consolidating near 0.31679–0.32514 around 0.32097.
- The 15m RSI at 50 signals neutral momentum, leaving room for further upside without being overbought.
- 15m volume is at 0.59x, with 9.10M traded versus 15.44M expected, confirming real buying pressure behind the move.

My call. Your execution.
Trade here 👇 and Are you waiting for a breakout or buying this dip with me?

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