Everyone's glued to the $0.0185 breakout hype, but the 4H is already coiling a squeeze toward $0.0220. I was flat on $PONS last week, got burned at $0.015, now I'm armed for the next move.
$PONS - LONG
Entry: 0.0188 – 0.0192
SL: 0.0174
TP1: 0.0205
TP2: 0.0215
TP3: 0.0220
Why this setup?
- 4H RSI rising from 38 to 55, showing momentum shift.
- ATR (4H) at 0.0014, giving a tight risk window.
- Volume spiked 3.2× on the breakout, acting as a magnet for buying pressure.
- 1D bias bullish, with price holding above the 0.0185 pivot for three candles.
Debate: Are you riding the $0.0220 target or fading the next pullback?
$PONS
$PONS - LONG
Entry: 0.0188 – 0.0192
SL: 0.0174
TP1: 0.0205
TP2: 0.0215
TP3: 0.0220
Why this setup?
- 4H RSI rising from 38 to 55, showing momentum shift.
- ATR (4H) at 0.0014, giving a tight risk window.
- Volume spiked 3.2× on the breakout, acting as a magnet for buying pressure.
- 1D bias bullish, with price holding above the 0.0185 pivot for three candles.
Debate: Are you riding the $0.0220 target or fading the next pullback?
$PONS
