đŽ SHORT SIGNAL: SOL/USDT (1-Hour Chart)
âSignal Type: SHORT (Bearish Trend)
Leverage: Cross 10x - 20x
âTrade Breakdown & Justification
âMarket Context: SOL is currently retesting a major resistance zone around $148.50 after breaking down from an ascending wedge pattern.
âKey Indicators:
âRSI (14): Showing a bearish divergence on the 1H frame, moving out of the overbought territory (~62).
âMACD: Bearish crossover confirmed above the zero line with expanding red histogram bars.
âEMAs: Price rejected sharply at the 50 EMA on the 4-hour timeframe, indicating dominant selling pressure.
âExecution Parameters
âEntry Zone: $145.50 - $147.20
âTarget 1: $142.00 (Take partial profits & move Stop Loss to Entry)
âTarget 2: $138.50
âTarget 3: $132.00
âStop Loss: $150.50 (Above recent swing high)
âRisk Management
âRisk/Reward Ratio: 1:2.8
âMax Risk: 2% - 3% of total portfolio margin.
âAlways wait for a hourly candle close within the Entry Zone before executing.
âSignal Type: SHORT (Bearish Trend)
Leverage: Cross 10x - 20x
âTrade Breakdown & Justification
âMarket Context: SOL is currently retesting a major resistance zone around $148.50 after breaking down from an ascending wedge pattern.
âKey Indicators:
âRSI (14): Showing a bearish divergence on the 1H frame, moving out of the overbought territory (~62).
âMACD: Bearish crossover confirmed above the zero line with expanding red histogram bars.
âEMAs: Price rejected sharply at the 50 EMA on the 4-hour timeframe, indicating dominant selling pressure.
âExecution Parameters
âEntry Zone: $145.50 - $147.20
âTarget 1: $142.00 (Take partial profits & move Stop Loss to Entry)
âTarget 2: $138.50
âTarget 3: $132.00
âStop Loss: $150.50 (Above recent swing high)
âRisk Management
âRisk/Reward Ratio: 1:2.8
âMax Risk: 2% - 3% of total portfolio margin.
âAlways wait for a hourly candle close within the Entry Zone before executing.
