SNDK looks weak but the range still defends
🔴 SHORT $SNDK /USDT: expecting price to go DOWN
Bias: SHORT · Leaning
Entry: 1718.11940 – 1718.58060
TP1: 1711.32540 (-0.4%)
TP2: 1706.64234 (-0.7%)
TP3: 1699.61774 (-1.1%)
SL: 1727.71613 (+0.5%)
Plan: enter only inside the zone, take half at TP1, then move the stop to entry.
Note: moderate conviction only, keep size light.
Why SHORT? Leaning call, 3/11 signals agree, 1 against, 7 undecided.
• 1h trend: price < EMA50 < EMA200, bearish stack → the s...
HEMI keeps sliding into a deeper bearish stack.
🔴 SHORT $HEMI /USDT: expecting price to go DOWN
Bias: SHORT · Strong
Entry: 0.0058923 – 0.0059097
TP1: 0.0057204 (-3.1%)
TP2: 0.0055999 (-5.1%)
TP3: 0.0054193 (-8.2%)
SL: 0.0061418 (+4.1%)
Plan: enter only inside the zone, take half at TP1, then move the stop to entry.
Why SHORT? What I checked: 7/12 signals agree, 1 against, 4 undecided
• Daily trend: price < EMA50 < EMA200, bearish stack → the big-picture trend is down
• 4h trend: price < EMA...
I am watching WIF, not convinced yet
🟢 LONG $WIF /USDT: expecting price to go UP
Bias: LONG · Leaning
Entry: 0.2490197 – 0.2495803
TP1: 0.2547281 (+2.2%)
TP2: 0.2583468 (+3.6%)
TP3: 0.2637749 (+5.8%)
SL: 0.2420626 (-2.9%)
Plan: enter only inside the zone, take half at TP1, then move the stop to entry.
Note: moderate conviction only, keep size light.
Why LONG? Leaning call, 3/12 signals agree, 0 against, 9 undecided.
• Daily trend: price > EMA50 > EMA200, bullish stack → the big-picture trend...
Sunday routine. 30 minutes. This habit changed my results more than any indicator ever did.
Minute 0 to 10: Open the journal. Every trade this week. Entry reason, exit reason, emotion at entry on a scale of 1 to 5.
Minute 10 to 20: Find the pattern. Which trades broke my rules? Was it size, time of day, or news?
Minute 20 to 25: Look at the week ahead. Fed speakers, CPI dates, token unlocks, earnings. Mark the hours I will not trade.
Minute 25 to 30: Write one sentence: what I will do different...
$BR SHORT CALL DELIVERED ... MASSIVE 62% DROP FROM ENTRY
I clearly called the short after rejection near 1.40, with entry around 1.32, SL at 1.55, and target below 1.00.
Short Entry: ~1.32
Target: Below 1.00
Current Price: ~0.50
Move From Entry: ~62% down
The rejection was clean, bearish structure stayed intact, and sellers kept full control.
Big win for everyone who held the short.
Trade on $BR
{future}(BRUSDT)