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Arslan438
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Arslan438

Life begins when fear ends
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Haussier
Good morning, everyone 😎 Many of you asked why I stopped posting my full on-chain analysis on Binance Square. The reason is simple. Binance Square doesn't allow content that contains logos from other platforms like Arkham or CoinGlass. Those platforms always include their watermark, and whenever I post those screenshots, my content gets blocked or removed by the system. That's why I created a new X (ArslanOnChain) account. From now on: • Full on-chain research and whale analysis ➜ X • Trade signals and updates ➜ Binance Square Many members also asked for the full $BANK analysis. Yesterday I clearly said I was buying and that the detailed analysis was coming later. I shared that research on my X account because Binance Square would have removed it. If you don't want to miss my next on-chain analysis before the signal is posted here, follow my X account. Thank you all for the support. More signals and research are coming today. 🚀
Good morning, everyone 😎

Many of you asked why I stopped posting my full on-chain analysis on Binance Square.

The reason is simple.

Binance Square doesn't allow content that contains logos from other platforms like Arkham or CoinGlass. Those platforms always include their watermark, and whenever I post those screenshots, my content gets blocked or removed by the system.

That's why I created a new X (ArslanOnChain) account.

From now on:

• Full on-chain research and whale analysis ➜ X
• Trade signals and updates ➜ Binance Square

Many members also asked for the full $BANK analysis.

Yesterday I clearly said I was buying and that the detailed analysis was coming later. I shared that research on my X account because Binance Square would have removed it.

If you don't want to miss my next on-chain analysis before the signal is posted here, follow my X account.

Thank you all for the support. More signals and research are coming today. 🚀
PINNED
Article
Guys, I have been waiting all week to drop this. 😤Seven days. Back to back. No days off. And I want to make sure every single person in this community sees exactly what we built this week together. This is not a highlight reel. This is the full picture, wins, losses, honest mistakes, and everything we learned from each one. Let's go through it day by day. 👇 Monday We started the week already in motion. Our late night setup hit all targets overnight and printed +170% before most people even woke up. Then BSB followed and delivered +560% clean. ZBT hit all targets while I was personally sitting in a -260% loss on another position, I still dropped the signal, and the community made +160% from it. Our first morning setup printed +500% in just 5 minutes. Five minutes. BSB hit all targets. M Short running in +200% profit. DAM almost fully closed. We took a small -70% loss on a scalp trade on TAC and closed the day with one position still slightly in the red. Monday was a statement. 💰 Tuesday Not our cleanest day but still miles ahead of what most traders experience in a full month. SWARMS hit all targets from the night before. CHIP followed. AIN closed clean. PRL printed +360% profit. TAC was flagged as high risk in the chatroom before entry. Then M delivered +1300% and kept running. DAM tested everyone's patience for 24 hours straight and then paid out +1100% for everyone who held the plan. PRL scalp hit our stop loss. ZKJ signal posted while our SL was already triggered so most missed it, but members who entered at 0.04 to 0.038 are now sitting at 0.028 with serious profit. I personally went from -350% to +200% on that one. The community made +500% from ZKJ alone. 🎉 Wednesday 6 signals dropped. 5 hit all targets. 1 stop loss. NOM Long opened the morning with +180% clean. GPS delivered +87%. NAORIS Short hit our stop loss, price dropped first then spiked straight through our level, zero mistakes in the analysis, just market manipulation at work. DOGE came through with +190%. SKYAI Short printed +280%. NAORIS Long closed at +190%. And our RUNE trade that we held with patience closed at +980% profit on Wednesday. 😤 Thursday SKYAI Long hit our stop loss. We longed from 0.28 and price is now at 0.34. Just a matter of time on that one. NAORIS Short delivered +280%. AIOT stopped us out at -190%. BSB came back strong with +380%. BIO hit all targets and printed +170%. Not every day is perfect. But every day we show up. 🔒 Friday I need to be completely honest about Friday. I started the day down 1700 USDT personally. I ended it up 5300 USDT. SKYAI printed +250%. BR Short delivered +450%, I did not close my own position in time and faced personal loss on it but held and recovered. UB Short was my own mistake and I told you that openly, I let SL fear push me into a short when I already told the community we were riding the long wave. Then SKYAI again printed +320%. When everyone around us was aggressively shorting B and getting liquidated one by one, I told this community to wait. We waited. We shorted at the right level. Still running at +100% profit while others lost everything chasing the wrong entry. 📉 Saturday My biggest personal profit day of the week. LAB Long from 1.3 all the way to 2. +1900% profit. LAB Short lost -350%, I took responsibility, I rested, I came back. KNC Short +130%. TAC Long +700%. SKYAI +190%. Then exactly as I promised, I dropped the LAB Short signal at the top. We rode it from 2.58 all the way down to 2. +700% profit and every target hit clean. I made 11,000 USDT personally on Saturday alone. To the members who lost on LAB Short before, I hear you. We are going to recover every single penny from this market together. That is not a promise I take lightly. 💎 Sunday Today was not our best day and I am not going to pretend otherwise. $LAB from last night was still printing and hit +3000% total return. AKT delivered +200%. $TST hit all targets for +500%. $SKYAI started strong at +170% but manipulation took over and our SL got hit at -200%. I was busy today and could not manage positions the way I normally do. That is on me and I am telling you directly. 🤝 One full week. Dozens of signals. More wins than losses. Complete transparency on every single one. This is not about being perfect. It is about showing up every day with a real plan, real numbers, and real honesty when things do not go our way. Most people you follow online will never show you a losing trade. I show you everything because that is the only way you actually learn and grow in this market. Tell me honestly, which day this week made the biggest impact on you and what did you learn from it? Drop your answer below. 💬 If this weekly breakdown gave you value that you cannot find anywhere else, smash that like button and let's go even harder next week. 🚀

Guys, I have been waiting all week to drop this. 😤

Seven days. Back to back. No days off. And I want to make sure every single person in this community sees exactly what we built this week together.
This is not a highlight reel. This is the full picture, wins, losses, honest mistakes, and everything we learned from each one.
Let's go through it day by day. 👇
Monday
We started the week already in motion.
Our late night setup hit all targets overnight and printed +170% before most people even woke up.
Then BSB followed and delivered +560% clean.
ZBT hit all targets while I was personally sitting in a -260% loss on another position, I still dropped the signal, and the community made +160% from it.
Our first morning setup printed +500% in just 5 minutes. Five minutes.
BSB hit all targets. M Short running in +200% profit. DAM almost fully closed. We took a small -70% loss on a scalp trade on TAC and closed the day with one position still slightly in the red.
Monday was a statement. 💰
Tuesday
Not our cleanest day but still miles ahead of what most traders experience in a full month.
SWARMS hit all targets from the night before. CHIP followed. AIN closed clean. PRL printed +360% profit. TAC was flagged as high risk in the chatroom before entry.
Then M delivered +1300% and kept running.
DAM tested everyone's patience for 24 hours straight and then paid out +1100% for everyone who held the plan.
PRL scalp hit our stop loss. ZKJ signal posted while our SL was already triggered so most missed it, but members who entered at 0.04 to 0.038 are now sitting at 0.028 with serious profit.
I personally went from -350% to +200% on that one.
The community made +500% from ZKJ alone. 🎉
Wednesday
6 signals dropped. 5 hit all targets. 1 stop loss.
NOM Long opened the morning with +180% clean. GPS delivered +87%. NAORIS Short hit our stop loss, price dropped first then spiked straight through our level, zero mistakes in the analysis, just market manipulation at work.
DOGE came through with +190%. SKYAI Short printed +280%. NAORIS Long closed at +190%.
And our RUNE trade that we held with patience closed at +980% profit on Wednesday. 😤
Thursday
SKYAI Long hit our stop loss. We longed from 0.28 and price is now at 0.34. Just a matter of time on that one.
NAORIS Short delivered +280%. AIOT stopped us out at -190%. BSB came back strong with +380%. BIO hit all targets and printed +170%.
Not every day is perfect. But every day we show up. 🔒
Friday
I need to be completely honest about Friday.
I started the day down 1700 USDT personally. I ended it up 5300 USDT.
SKYAI printed +250%. BR Short delivered +450%, I did not close my own position in time and faced personal loss on it but held and recovered. UB Short was my own mistake and I told you that openly, I let SL fear push me into a short when I already told the community we were riding the long wave.
Then SKYAI again printed +320%.
When everyone around us was aggressively shorting B and getting liquidated one by one, I told this community to wait. We waited. We shorted at the right level. Still running at +100% profit while others lost everything chasing the wrong entry. 📉
Saturday
My biggest personal profit day of the week.
LAB Long from 1.3 all the way to 2. +1900% profit.
LAB Short lost -350%, I took responsibility, I rested, I came back.
KNC Short +130%. TAC Long +700%. SKYAI +190%.
Then exactly as I promised, I dropped the LAB Short signal at the top.
We rode it from 2.58 all the way down to 2. +700% profit and every target hit clean.
I made 11,000 USDT personally on Saturday alone.
To the members who lost on LAB Short before, I hear you. We are going to recover every single penny from this market together. That is not a promise I take lightly. 💎
Sunday
Today was not our best day and I am not going to pretend otherwise.
$LAB from last night was still printing and hit +3000% total return. AKT delivered +200%. $TST hit all targets for +500%. $SKYAI started strong at +170% but manipulation took over and our SL got hit at -200%.
I was busy today and could not manage positions the way I normally do. That is on me and I am telling you directly. 🤝
One full week. Dozens of signals. More wins than losses. Complete transparency on every single one.
This is not about being perfect. It is about showing up every day with a real plan, real numbers, and real honesty when things do not go our way.
Most people you follow online will never show you a losing trade. I show you everything because that is the only way you actually learn and grow in this market.
Tell me honestly, which day this week made the biggest impact on you and what did you learn from it? Drop your answer below. 💬
If this weekly breakdown gave you value that you cannot find anywhere else, smash that like button and let's go even harder next week. 🚀
Thank you for being part of this journey. ❤️ This account has been an incredible chapter, but from today all future analysis, whale updates, hidden gems, and trade setups will be posted on my new [Binance Square account](https://app.binance.com/uni-qr/cpos/350316421187873?r=ZERVPEZR&l=en&uco=c1IlgGbj09LvsTkQR4-mUA&uc=app_square_share_link&us=copylink) . 👉 Follow: @realArashi This is where the next opportunities will be shared first. Thank you to everyone who has supported me. See you on the new account. 🤝
Thank you for being part of this journey. ❤️

This account has been an incredible chapter, but from today all future analysis, whale updates, hidden gems, and trade setups will be posted on my new Binance Square account .

👉 Follow: @ArslanOnChain

This is where the next opportunities will be shared first.
Thank you to everyone who has supported me.
See you on the new account. 🤝
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Baissier
🐱 I hope our X community enjoyed this one. We caught the move. The market took our stop first, but the analysis was right. After that, $BANK completely collapsed. From 0.117 to 0.077. That's more than a 50% drop. I'm closing my position here. Could it dump more? Maybe. But my job is to take the move, secure profits, and move on to the next opportunity. Profit is only real when you take it. Congratulations to everyone who trusted the setup and managed their risk. More opportunities are always coming. 🎯
🐱 I hope our X community enjoyed this one.

We caught the move.

The market took our stop first, but the analysis was right. After that, $BANK completely collapsed.

From 0.117 to 0.077.

That's more than a 50% drop.

I'm closing my position here.

Could it dump more? Maybe.

But my job is to take the move, secure profits, and move on to the next opportunity.

Profit is only real when you take it.

Congratulations to everyone who trusted the setup and managed their risk. More opportunities are always coming. 🎯
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Baissier
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Baissier
😺 $EUL looks weak here, and I'm watching the downside liquidity. The crowd is trying to catch every bounce. I'm focused on where the liquidity sits. Right now, the largest liquidity cluster is around $1.40, and price is still trading above that level. Unless buyers reclaim higher resistance, I think there's a good chance the market hunts that liquidity first. Trade Setup 📉 Short: $EUL Entry: $1.62 - $1.66 Take Profit: $1.50 / $1.45 / $1.40 Stop Loss: $1.82 The trend is still favoring the downside, and I'm targeting the liquidity resting at support. Manage your risk and let the market confirm the move. 🎯
😺 $EUL looks weak here, and I'm watching the downside liquidity.

The crowd is trying to catch every bounce.

I'm focused on where the liquidity sits.

Right now, the largest liquidity cluster is around $1.40, and price is still trading above that level.

Unless buyers reclaim higher resistance, I think there's a good chance the market hunts that liquidity first.

Trade Setup

📉 Short: $EUL

Entry: $1.62 - $1.66

Take Profit: $1.50 / $1.45 / $1.40

Stop Loss: $1.82

The trend is still favoring the downside, and I'm targeting the liquidity resting at support.

Manage your risk and let the market confirm the move. 🎯
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Haussier
🚀 $OPEN is one of the cleanest setups I'm watching right now. The crowd is still looking at coins that already made their move. I'm watching the ones where accumulation is happening before the breakout. A whale accumulated 160K $OPEN , volume expanded sharply, and price is now reclaiming higher levels with buyers staying in control. The daily chart is also starting to turn bullish after holding support. Trade Setup 📈 Long: $OPEN Entry: $0.175 - $0.180 Take Profit: $0.230 / $0.250 / $0.270 Stop Loss: $0.142 As always, manage your risk. No setup is guaranteed, but this structure is worth watching closely. Let's see if the market rewards the patience before the crowd catches on. 🚀 {future}(OPENUSDT)
🚀 $OPEN is one of the cleanest setups I'm watching right now.

The crowd is still looking at coins that already made their move.

I'm watching the ones where accumulation is happening before the breakout.

A whale accumulated 160K $OPEN , volume expanded sharply, and price is now reclaiming higher levels with buyers staying in control.

The daily chart is also starting to turn bullish after holding support.

Trade Setup

📈 Long: $OPEN

Entry: $0.175 - $0.180

Take Profit: $0.230 / $0.250 / $0.270

Stop Loss: $0.142

As always, manage your risk. No setup is guaranteed, but this structure is worth watching closely.

Let's see if the market rewards the patience before the crowd catches on. 🚀
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Baissier
😺 Some of you misunderstood my $AKE post, So here's what I'm seeing. The biggest liquidity cluster I'm tracking is still sitting around 0.0029. That's why I'm watching that level as my primary downside target. Price is still trending lower, and unless buyers reclaim key resistance, I think the market has a good chance of hunting that liquidity next. That doesn't mean the move will be straight down. Volatility and sharp bounces are always possible before the target is reached. Trade your own plan, size your position properly, and manage your risk. My focus remains on 0.0029 until the market gives me a reason to change that view. 📉
😺 Some of you misunderstood my $AKE post,
So here's what I'm seeing.

The biggest liquidity cluster I'm tracking is still sitting around 0.0029.

That's why I'm watching that level as my primary downside target.

Price is still trending lower, and unless buyers reclaim key resistance, I think the market has a good chance of hunting that liquidity next.

That doesn't mean the move will be straight down. Volatility and sharp bounces are always possible before the target is reached.

Trade your own plan, size your position properly, and manage your risk.

My focus remains on 0.0029 until the market gives me a reason to change that view. 📉
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Baissier
💪 Good morning everyone. Another update on $COTI . Yesterday I shared the LONG and it did exactly what I expected. After that move, I flipped my bias and entered a SHORT. I'm already sitting in profit, but I don't think this move is finished yet. The rejection from the local resistance looks clean, and sellers are starting to step back in. Entry: Current Market TP: 0.01013 SL: 0.01274 I'm staying in this position unless the market proves me wrong. Until then, I think there's still room for another leg down. Manage your risk, don't overleverage, and let the market do the work. 📉
💪 Good morning everyone.
Another update on $COTI .

Yesterday I shared the LONG and it did exactly what I expected.

After that move, I flipped my bias and entered a SHORT. I'm already sitting in profit, but I don't think this move is finished yet.

The rejection from the local resistance looks clean, and sellers are starting to step back in.

Entry: Current Market
TP: 0.01013
SL: 0.01274

I'm staying in this position unless the market proves me wrong. Until then, I think there's still room for another leg down.

Manage your risk, don't overleverage, and let the market do the work. 📉
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Haussier
🚨 Watching $COTI closely. Volume is still increasing, and the chart is starting to build momentum again. At the same time, the market is crowded with shorts. If buyers keep control, the next move could be a liquidity hunt. I'm looking for a push toward 0.0145 as the first target, but I'm treating this as a momentum trade, not a guaranteed outcome. I'm taking a long, but risk management comes first. Don't overleverage. Let the market confirm the move and stick to your stop loss if the setup fails. Trade the data, not the emotions. Who's watching $COTI with me? 👀 {future}(COTIUSDT)
🚨 Watching $COTI closely.

Volume is still increasing, and the chart is starting to build momentum again.

At the same time, the market is crowded with shorts. If buyers keep control, the next move could be a liquidity hunt.

I'm looking for a push toward 0.0145 as the first target, but I'm treating this as a momentum trade, not a guaranteed outcome.

I'm taking a long, but risk management comes first.

Don't overleverage. Let the market confirm the move and stick to your stop loss if the setup fails.

Trade the data, not the emotions.

Who's watching $COTI with me? 👀
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Haussier
Most people are staring at the green candle. I'm staring at where it closed. $TAG just reclaimed 0.00121 after three days basing between 0.00103–0.00113 — that's not a random pump, it's a structural break. Trade type: Swing / high risk Entry: 0.00121 TP1: 0.00126 (move SL to entry after this hits) TP2: 0.00131 Invalidation: 0.00114 — a close back below this and the reclaim failed, I'm out. Are you tracking TAG's next close, or waiting to see if this level holds?
Most people are staring at the green candle.
I'm staring at where it closed.

$TAG just reclaimed 0.00121 after three days basing between 0.00103–0.00113 — that's not a random pump, it's a structural break.

Trade type: Swing / high risk
Entry: 0.00121
TP1: 0.00126 (move SL to entry after this hits)
TP2: 0.00131

Invalidation: 0.00114 — a close back below this and the reclaim failed, I'm out.

Are you tracking TAG's next close, or waiting to see if this level holds?
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Baissier
🚨 $PIEVERSE Short Setup I'm watching $PIEVERSE for a short from the current zone. The price had a strong impulsive move, but momentum is fading and buyers are struggling to push back toward the highs. If this resistance continues to hold, I expect a deeper pullback before the next major move. 🎯 Take Profit: 0.7462 🛑 Stop Loss: 1.0093 This is a high-risk setup, so keep your margin low and don't overexpose your account. High-volatility tokens can move aggressively in both directions, so protecting your capital is more important than chasing bigger profits.
🚨 $PIEVERSE Short Setup

I'm watching $PIEVERSE for a short from the current zone.

The price had a strong impulsive move, but momentum is fading and buyers are struggling to push back toward the highs. If this resistance continues to hold, I expect a deeper pullback before the next major move.

🎯 Take Profit: 0.7462
🛑 Stop Loss: 1.0093

This is a high-risk setup, so keep your margin low and don't overexpose your account. High-volatility tokens can move aggressively in both directions, so protecting your capital is more important than chasing bigger profits.
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Baissier
🚨 $UB Short Setup Last night's $DEXE setup played out exactly as expected. Now I'm seeing a very similar structure forming on $UB . Price is approaching a resistance zone after a strong push, but momentum is starting to slow. If sellers defend this area, we could see a move back toward the lower support range. 🎯 Take Profit: 0.1193 🛑 Stop Loss: 0.1312 This is not a guaranteed repeat of the DEXE trade. Similar setups can produce different outcomes, so manage your risk and don't increase your position size just because the pattern looks familiar. If the setup confirms, I'll stay with it. If the market proves me wrong, I'll accept the loss and move on. That's how trading works. Trade smart and never skip your stop loss. 📉 {future}(UBUSDT)
🚨 $UB Short Setup

Last night's $DEXE setup played out exactly as expected. Now I'm seeing a very similar structure forming on $UB .

Price is approaching a resistance zone after a strong push, but momentum is starting to slow. If sellers defend this area, we could see a move back toward the lower support range.

🎯 Take Profit: 0.1193
🛑 Stop Loss: 0.1312

This is not a guaranteed repeat of the DEXE trade. Similar setups can produce different outcomes, so manage your risk and don't increase your position size just because the pattern looks familiar.

If the setup confirms, I'll stay with it. If the market proves me wrong, I'll accept the loss and move on. That's how trading works.

Trade smart and never skip your stop loss. 📉
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Baissier
🚨 $DEXE Short Setup I'm watching $DEXE for a short from the current area. The recent rejection from the highs shows buyers are losing momentum, and price is struggling to reclaim resistance. As long as it stays below this zone, I think the downside has a better probability. 🎯 Take Profit: 3.16 🛑 Stop Loss: 5.33 This is a high-risk setup, so keep your position size small and use low leverage. Never skip your stop loss. One bad trade should never damage your account. This is my personal market view based on the current structure. Follow your own plan, manage your risk, and only take the trade if it fits your strategy. 📉 {future}(DEXEUSDT)
🚨 $DEXE Short Setup

I'm watching $DEXE for a short from the current area.

The recent rejection from the highs shows buyers are losing momentum, and price is struggling to reclaim resistance. As long as it stays below this zone, I think the downside has a better probability.

🎯 Take Profit: 3.16
🛑 Stop Loss: 5.33

This is a high-risk setup, so keep your position size small and use low leverage. Never skip your stop loss. One bad trade should never damage your account.

This is my personal market view based on the current structure. Follow your own plan, manage your risk, and only take the trade if it fits your strategy. 📉
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Haussier
🚀 $BANK Update I'm already long on $BANK , and after waiting patiently, the chart is finally starting to move. My expectation is a strong breakout above 0.36–0.37. If that level is reclaimed, I believe there could be more upside. What keeps me bullish isn't just the chart. The on-chain data still looks constructive. The whale wallets I've been tracking have not shown meaningful outflows, which suggests the larger holders are still staying in their positions. This is not an official signal, just me sharing what I'm personally watching and trading. If you agree with the setup, you can join me. If not, that's completely fine. Always manage your risk. 📈 {future}(BANKUSDT)
🚀 $BANK Update

I'm already long on $BANK , and after waiting patiently, the chart is finally starting to move.

My expectation is a strong breakout above 0.36–0.37. If that level is reclaimed, I believe there could be more upside.

What keeps me bullish isn't just the chart. The on-chain data still looks constructive. The whale wallets I've been tracking have not shown meaningful outflows, which suggests the larger holders are still staying in their positions.

This is not an official signal, just me sharing what I'm personally watching and trading.

If you agree with the setup, you can join me. If not, that's completely fine. Always manage your risk. 📈
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Haussier
🚀 $VVV Long Setup I'm taking a long on $VVV . Entry: Current market price 🎯 Take Profit: 16.00 🛑 Stop Loss: 10.00 The daily chart is showing signs of recovery after a long downtrend. If buyers continue to build momentum, a move toward the $16 resistance is possible. Trade with proper risk management and never ignore your stop loss. Manage your risk and let's see if $VVV can make its next leg higher. 📈
🚀 $VVV Long Setup

I'm taking a long on $VVV .

Entry: Current market price
🎯 Take Profit: 16.00
🛑 Stop Loss: 10.00

The daily chart is showing signs of recovery after a long downtrend. If buyers continue to build momentum, a move toward the $16 resistance is possible.

Trade with proper risk management and never ignore your stop loss.

Manage your risk and let's see if $VVV can make its next leg higher. 📈
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Haussier
🚀 $AKE Long Setup I'm staying bullish on $AKE while the structure remains intact. Entry: Current market price 🎯 Take Profit: 0.00335 🛑 Stop Loss: 0.00264 Price is pushing back toward the recent highs, and a break above the current resistance could open the way to the 0.00335 target. As always, protect your capital. Never skip your stop loss, and size your position according to your risk. Trade safely. 📈
🚀 $AKE Long Setup

I'm staying bullish on $AKE while the structure remains intact.

Entry: Current market price
🎯 Take Profit: 0.00335
🛑 Stop Loss: 0.00264

Price is pushing back toward the recent highs, and a break above the current resistance could open the way to the 0.00335 target.

As always, protect your capital. Never skip your stop loss, and size your position according to your risk.

Trade safely. 📈
🌙 Last setup for today. I'm looking at a $ACE long setup. Entry: Current market price Take Profit: 0.125 Stop Loss: 0.090 Risk management comes first. Set your stop loss before you walk away from the charts. I'm calling it a day now. Good night everyone. See you tomorrow. 🤝
🌙 Last setup for today.

I'm looking at a $ACE long setup.

Entry: Current market price
Take Profit: 0.125
Stop Loss: 0.090

Risk management comes first. Set your stop loss before you walk away from the charts.

I'm calling it a day now.

Good night everyone. See you tomorrow. 🤝
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Baissier
$RIF Short Price pumped hard and is now rejecting from the highs. Entry: 0.114 Stop Loss: 0.133 Take Profit: 0.081 Simple setup. Risk is high, but the reward is clear if it continues lower. it's Risky Use Low Margin Not financial advice. Trade carefully.
$RIF Short

Price pumped hard and is now rejecting from the highs.

Entry: 0.114
Stop Loss: 0.133
Take Profit: 0.081

Simple setup. Risk is high, but the reward is clear if it continues lower.
it's Risky Use Low Margin
Not financial advice. Trade carefully.
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Haussier
🚀 $BANK Long Setup Is Back. I'm taking another LONG on $BANK after the recent pullback. The panic selling has already cooled down, and price is holding around a strong support zone. Trade Setup Entry: 0.245 - 0.249 TP1: 0.258 TP2: 0.268 TP3: 0.278 TP4: 0.286 Stop Loss: 0.229 Leverage: 5x-10x Risk only what you can afford to lose and avoid overleveraging. The first $BANK Long gave us a clean win. Now I'm watching for the next leg higher. Let's see if the market rewards patience once again. 💚
🚀 $BANK Long Setup Is Back.

I'm taking another LONG on $BANK after the recent pullback.

The panic selling has already cooled down, and price is holding around a strong support zone.

Trade Setup

Entry: 0.245 - 0.249
TP1: 0.258
TP2: 0.268
TP3: 0.278
TP4: 0.286
Stop Loss: 0.229

Leverage: 5x-10x

Risk only what you can afford to lose and avoid overleveraging.

The first $BANK Long gave us a clean win.

Now I'm watching for the next leg higher.

Let's see if the market rewards patience once again. 💚
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