Everyone’s staring at the 15m RSI, but the 4h chart just whispered a secret about $RAVE /USDT.

$RAVE - SHORT

Trade Plan:
Entry: 0.3076839 – 0.3085161
SL: 0.3195594
TP1: 0.2995054
TP2: 0.2937757
TP3: 0.2851811

Why this setup?
- The 1D trend is **bearish**, and the 4h signal flips SHORT with 83 confidence—this isn’t a scalp, it’s a regime shift.
- RSI at 40 on the 15m is the calm before the drop; price is still 4% above TP1 (0.2995).
- ATR (0.0048) shows volatility is contracting—breakouts here are violent. Why wait for a lower entry when the edge is already 4.8?

Debate:
Are you shorting $RAVE at 0.3081, or are you still waiting for a retest of 0.3171 to invalidate the setup?

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