● Trading Pair: JTOUSDT ● Direction: Short ● Opening Price: 0.501200 ● Current Floating P&L: 0.00%
This trade is the initial opening operation executed after the system identified a high-quality opportunity. For risk management, we have implemented pre-set position control and uniform take profit/stop loss rules to ensure that the risk of each trade remains within manageable limits while leaving room for subsequent floating profit scaling.
If the price continues to move in the trend direction and the floating profit reaches the strategy threshold, the system will consider initiating 'floating profit scaling', gradually amplifying trend gains without increasing the risk of individual trades.
● Trading Pair: INJUSDT ● Direction: Short ● Entry Price for Add-On: 4.8670 ● Latest Position Cost: 4.8681 ● Current Overall Floating P&L: 0.00%
This operation is executed as a 'profit add-on' after the existing position is clearly in the floating profit zone, following the strategy rules. The core idea is to use floating profits to 'nurture' larger positions, rather than blindly averaging down in a losing position, thereby magnifying profits in a major trend. Additionally, through risk grading and control of add-on levels, we avoid the drawdown risk that comes from over-leveraging on a rally.
As long as the trend and structure remain intact, the system will continue to manage this enlarged position through unified risk control and take-profit modules. If there is a clear reversal signal in the price, prioritizing the protection of the floating profits gained will be considered first.
● Trading Pair: ICPUSDT ● Direction: Short ● Current Scaling Entry Price: 2.3900 ● Latest Position Cost: 2.3933 ● Current Overall Floating P&L: 0.00%
This operation is a 'profit scaling' executed after the existing position is clearly in a floating profit zone, based on strategy rules. The core idea is to use floating profits to 'nurture' a larger position instead of blindly averaging down during losses, thereby magnifying profits in a major trend while controlling the risk through tiered scaling and position management to avoid the drawdown risk that comes with heavy chasing.
As long as the trend and structure remain intact, the system will continue to manage this amplified position through unified risk control and take-profit modules. Once a clear reversal signal appears, protecting the floating profits already gained will be prioritized.
● Trading Pair: ICPUSDT ● Direction: Short ● This Add-on Execution Price: 2.3930 ● Latest Position Cost: 2.3933 ● Current Overall Floating Profit and Loss: 0.00%
This operation is a 'profit add-on' executed based on strategy rules after the existing position has entered a clearly floating profit zone. The core idea is: use floating profits to 'nurture' a larger position, rather than blindly diluting costs during losses, thus amplifying profits within a major trend. Meanwhile, through risk stratification and control of add-on levels, we avoid the drawdown risks associated with over-leveraged high entries.
As long as the trend and structure remain intact, the system will continue to manage this amplified position through unified risk control and profit-taking modules. If the price shows a clear reversal signal, priority will be given to protecting the floating profits already gained.
● Trading Pair: ENAUSDT ● Direction: Short ● This Add-on Execution Price: 0.084913 ● Latest Position Cost: 0.085015 ● Current Overall Floating PnL: 0.00%
This operation is executed as a 'Profit Add-on' after already having positions in a clear floating profit zone, based on strategy rules. The core idea is: using floating profits to 'nurture' a larger position, rather than blindly averaging down during losses, thereby amplifying profits in the big trend, while managing risk levels and add-on tiers to avoid the drawdown risks associated with heavy positions chasing highs.
As long as the trend and structure remain intact, the system will continue to manage this enlarged position through unified risk control and take-profit modules. Once a clear reversal signal appears, protecting the floating profits already gained will take priority.
● Trading Pair: ENAUSDT ● Direction: Short ● Entry Price for This Add-on: 0.085060 ● Latest Position Cost: 0.085425 ● Current Overall Floating PnL: 0.00%
This operation is a 'profit add-on' executed after existing positions are clearly in the floating profit zone, following strategic rules. The core idea is to use floating profits to 'grow' a larger position, instead of blindly averaging down in a loss, thus amplifying profits in the big trend. We also manage risk and position scaling to avoid the drawdown risk from over-leveraging at highs.
As long as the trend and structure are not broken, the system will continue to manage this amplified position through unified risk control and profit-taking modules. If a clear reversal signal appears, priority will be given to protecting the floating profits already gained.
● Trading Pair: XLMUSDT ● Direction: Short ● Entry Price for This Add-On: 0.188980 ● Latest Position Cost: 0.189002 ● Current Overall Floating P&L: 0.00%
This move was executed as a 'profit add-on' after the existing position was clearly in the floating profit zone, following our strategy rules. The core idea is to use floating profits to 'feed' a larger position, rather than blindly averaging down during losses, allowing for amplified profits in a larger trend. Additionally, by controlling risk levels and add-on tiers, we can avoid the drawdown risks that come with heavy chasing at highs.
As long as the trend and structure remain intact, the system will continue to manage this enlarged position through unified risk control and take-profit modules. If a clear reversal signal appears, we will prioritize protecting the floating profits already gained.
● Trading Pair: ICPUSDT ● Direction: Short ● Opening Price: 2.4110 ● Current Floating P&L: 0.00%
This trade is the first position executed after the system identified a high-quality opportunity. In terms of risk management, we've implemented preset position control and uniform take profit/stop loss rules to ensure that the risk of each trade remains within manageable limits, while also leaving room for subsequent scaling into profits.
If the price continues to move in the direction of the trend and the floating profit reaches the strategy threshold, the system will consider initiating a 'profit scaling' operation, gradually amplifying trend gains without increasing the risk of each individual trade.
● Trading Pair: XPLUSDT ● Direction: Short ● Current Reinforcement Price: 0.074000 ● Latest Position Cost: 0.074048 ● Current Overall Floating P&L: 0.00%
This operation is a 'profit reinforcement' executed after the existing position is clearly in the floating profit zone, based on strategy rules. The core idea is to use floating profits to 'nurture' a larger position, rather than blindly averaging down during losses, thus amplifying profits in a major trend. Additionally, through risk grading and position control, we avoid the drawdown risks associated with heavily chasing highs.
As long as the trend and structure remain intact, the system will continue to manage this enlarged position through unified risk control and profit-taking modules. If a clear reversal signal appears, the priority will be to protect the floating profits already gained.
● Trading Pair: NEARUSDT ● Direction: Short ● Current Accumulation Price: 2.0170 ● Latest Position Cost: 2.0183 ● Current Overall Floating PnL: 0.00%
This operation is a 'profit accumulation' executed based on strategy rules after the existing position is in a clearly floating profit zone. The core idea is: to use floating profits to 'nurture' a larger position, rather than blindly averaging down during losses, thereby magnifying profits in a major trend. At the same time, by controlling risk levels and accumulation tiers, we avoid the drawdown risks that come with heavily chasing highs.
As long as the trend and structure are not broken, the system will continue to manage this enlarged position through a unified risk control and profit-taking module. Once a clear reversal signal appears, priority will be given to protecting the floating profits already obtained.
● Trading Pair: NEARUSDT ● Direction: Short ● Entry Price for this Add-on: 2.0170 ● Latest Position Cost: 2.0183 ● Current Overall Floating P&L: 0.00%
This operation is a 'Profit Add-on' executed after the existing position is clearly in the floating profit zone, based on strategic rules. The core idea is to use floating profits to 'nurture' a larger position, rather than blindly averaging down during losses, thus magnifying profits in a major trend. At the same time, risk stratification and add-on tier control are used to avoid the drawdown risk that comes from heavily chasing highs.
As long as the trend and structure remain intact, the system will continue to manage this enlarged position through unified risk control and take-profit modules. Once a clear reversal signal appears, protecting the floating profits already gained will be prioritized.
● Trading Asset: SAHARAUSDT ● Direction: Short ● Entry Price for this Top-Up: 0.033810 ● Latest Position Cost: 0.033856 ● Current Overall Floating Profit and Loss: 0.00%
This operation is a 'Profit Top-Up' executed based on strategy rules after the existing position is clearly in the floating profit zone. The core idea is to use floating profits to 'nurture' a larger position instead of blindly averaging down during losses, thereby amplifying profits within a major trend. Additionally, through risk stratification and controlled top-up levels, we avoid the drawdown risks associated with over-leveraging in a rising market.
As long as the trend and structure remain intact, the system will continue to manage this enlarged position through unified risk control and take-profit modules. Once there is a clear reversal signal, protecting the floating profits already gained will be prioritized.
【First Position Opened】#HYPEUSDT opened a position
● Trading Pair: HYPEUSDT ● Direction: Short ● Entry Price: 61.3410 ● Current Floating P&L: 0.00%
This trade is the initial position opened after the system identified a high-quality opportunity. In terms of risk management, we used pre-set position controls and unified take profit/stop loss rules to ensure that the risk of a single trade remains within a controllable range, while also leaving space for subsequent leverage on floating profits.
If the price continues to move in the trend direction and the floating profit reaches the strategy threshold, the system will consider initiating 'floating profit leverage' to gradually amplify trend gains without increasing the risk of a single position.
● Trading Pair: XPLUSDT ● Direction: Short ● Opening Price: 0.074400 ● Current Floating PnL: 0.00%
This trade is the first opening action executed after the system identified a high-quality opportunity through its strategy. In terms of risk management, we've implemented pre-set position control and uniform take profit/stop loss rules to ensure that the risk of each trade remains within a controllable range, while also leaving room for potential additional positions on floating profits.
If the price moves in the direction of the trend and the floating profit reaches the strategy threshold, the system will consider initiating 'Floating Profit Add-on,' gradually amplifying trend gains without increasing the single trade risk.
● Trading Pair: SAHARAUSDT ● Direction: Short ● Entry Price: 0.034030 ● Current Floating PnL: 0.00%
This trade is the first position opened after the system identified a high-quality opportunity through its strategy. In terms of risk management, we employed pre-set position controls and unified take profit/stop loss rules to ensure that the risk per trade remains within a manageable range, while also leaving room for subsequent floating profit increases.
If the price moves in the trend direction and the floating profit reaches the strategy threshold, the system will consider initiating 'floating profit add-on' trades, gradually amplifying trend gains without increasing the risk of individual trades.
● Trading Pair: XLMUSDT ● Direction: Short ● Entry Price: 0.190170 ● Current Floating P&L: 0.00%
This trade is the first opening operation executed after the system identified a high-quality opportunity. In terms of risk management, a pre-set position control and unified take profit/stop loss rules were applied to ensure that the risk of each trade remains within a controllable range while leaving room for subsequent floating profit scaling.
If the price follows the trend and the floating profit reaches the strategy threshold, the system will consider initiating 'floating profit scaling', gradually increasing trend gains without amplifying the risk of the individual position.
● Trading Pair: NEARUSDT ● Direction: Short ● Opening Price: 2.0280 ● Current Floating PnL: 0.00%
This trade is the first position opened after the system identified a high-quality opportunity through its strategy. In terms of risk management, we've implemented pre-set position controls and standardized take-profit/stop-loss rules to ensure that the risk of each trade is kept within manageable limits while leaving room for subsequent floating profit scaling.
If the price moves in the trend direction and floating profits hit the strategy threshold, the system will consider initiating 'floating profit scaling', gradually amplifying trend gains without increasing the risk of each individual trade.
● Trading Pair: INJUSDT ● Direction: Short ● Entry Price: 4.9060 ● Current Floating PnL: 0.00%
This trade is the initial position executed after the system identified a high-quality opportunity. In terms of risk management, we've implemented pre-set position control and unified take profit/stop loss rules to ensure that the risk of each trade remains manageable, while also leaving room for subsequent scaling on floating profits.
If the price continues to move in the trend direction and the floating profits reach the strategy threshold, the system will consider initiating 'floating profit scaling', gradually increasing trend gains without amplifying the risk of each position.
● Trading Pair: ENAUSDT ● Direction: Short ● Opening Price: 0.085690 ● Current Floating P&L: 0.00%
This trade is the initial position executed after the system identified a high-quality opportunity based on its strategy. In terms of risk management, we employed pre-set position control and unified take profit/stop loss rules to ensure that the risk of each trade remains within a manageable range, while also leaving room for adding to floating profits later.
If the price moves in line with the trend and the floating profit hits the strategy threshold, the system will consider initiating 'floating profit scaling', gradually amplifying trend gains without increasing the risk of individual trades.
● Trading Asset: LAUSDT ● Direction: Long ● Current Add-on Execution Price: 0.098900 ● Latest Position Cost: 0.096149 ● Current Overall Floating Profit and Loss: 0.00%
This operation is a 'Profit Add-on' executed based on the strategy rules after the existing position is clearly in a floating profit zone. The core idea is to use floating profits to 'nurture' a larger position, rather than blindly averaging down during losses, thereby amplifying profits in a major trend. At the same time, by controlling risk levels and add-on tiers, we avoid the drawdown risks associated with over-leveraging and chasing highs.
As long as the trend and structure remain intact, the system will continue to manage this enlarged position through a unified risk control and take-profit module. If a clear reversal signal appears, consideration will be given to protecting the realized floating profits.