Here is a high-reward 15-minute / 1-hour long scalp setup on $SAND /USDT at $0.08256.
Trade Setup Framework
Entry Price: ~$0.08256 (Limit / Rejection fill near local low demand)
Stop-Loss (SL): $0.08110 (~1.77% risk below the swing low / key liquidity zone)
Take-Profit 1 (TP1): $0.08480 (First intraday resistance / quick scaling zone)
Take-Profit 2 (TP2): $0.08720 (15m/1h liquidity sweep target)
Risk/Reward Ratio (R:R): ~3.18 : 1 (to TP2)
Key Execution Criteria (Check before entry)
Price Action Confirmation: Look for a bullish rejection wick or double-bottom on the 5m/15m chart near $0.08200–$0.08256 before entering. Avoid taking the trade if price breaks below $0.08180 with high sell volume.
Bullish Momentum Signals: Check for bullish RSI divergence on the 15m timeframe near or entering the oversold territory (< 30–35).
Volume Spike: Ensure sell volume is tapering off into support; a sudden spike in buy volume off $0.08250 provides high-probability confirmation.
Risk Management Reminders
Scalp Horizon: Aim for a tight execution frame (15 minutes to 2 hours).
Position Sizing: Stick to strict position sizing (1–2% total account risk max).
Trailing Stop: Move Stop-Loss to Breakeven ($0.08256) immediately after TP1 ($0.08480) is reached to secure a risk-free hold for TP2.
Trade Setup Framework
Entry Price: ~$0.08256 (Limit / Rejection fill near local low demand)
Stop-Loss (SL): $0.08110 (~1.77% risk below the swing low / key liquidity zone)
Take-Profit 1 (TP1): $0.08480 (First intraday resistance / quick scaling zone)
Take-Profit 2 (TP2): $0.08720 (15m/1h liquidity sweep target)
Risk/Reward Ratio (R:R): ~3.18 : 1 (to TP2)
Key Execution Criteria (Check before entry)
Price Action Confirmation: Look for a bullish rejection wick or double-bottom on the 5m/15m chart near $0.08200–$0.08256 before entering. Avoid taking the trade if price breaks below $0.08180 with high sell volume.
Bullish Momentum Signals: Check for bullish RSI divergence on the 15m timeframe near or entering the oversold territory (< 30–35).
Volume Spike: Ensure sell volume is tapering off into support; a sudden spike in buy volume off $0.08250 provides high-probability confirmation.
Risk Management Reminders
Scalp Horizon: Aim for a tight execution frame (15 minutes to 2 hours).
Position Sizing: Stick to strict position sizing (1–2% total account risk max).
Trailing Stop: Move Stop-Loss to Breakeven ($0.08256) immediately after TP1 ($0.08480) is reached to secure a risk-free hold for TP2.