For FLOW around 0.03765 on the 4H chart, here’s a clean risk structure.

Long Setup (Counter-trend / risky)

Entry zone:

0.0372–0.0377

Take Profit Levels

TP1: 0.0385

TP2: 0.0398

TP3: 0.0408

Stop Loss

Conservative SL: 0.0366

Aggressive SL: 0.0369

Risk framework:

Trend slope is still negative, so longs should use tighter risk control.

Short Setup (Trend-following)

Safer short entries are usually after:

weak bounce,

rejection near resistance,

declining volume on recovery.

Ideal Short Entry

0.0383–0.0390

Take Profit Levels

TP1: 0.0372

TP2: 0.0365

TP3: 0.0350

Stop Loss

Tight SL: 0.0395

Safer SL: 0.0403

Trade Quality Assessment

Long

Higher risk

Counter-trend

Needs quick momentum recovery

Short

Better aligned with current market structure

But avoid chasing after huge red candles

Smart Risk Management

A simple approach:

secure partial profit at TP1,

move SL to breakeven after TP1,

let remainder run toward TP2/TP3.
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