MANAGEMENT: At TP1 → take ~30–40% At TP2 → take another ~30–40% Move SL toward entry after TP1/TP2. Leave the rest for TP3/TP4.
CANCEL LONG IF: • 15m closes below 0.03385 • Pullback comes with heavy selling + falling OI • Breakout above 0.03466 immediately fails back below 0.03440
RISK: ~1.0–1.3% price risk from preferred entry With 2x leverage, account impact remains relatively small.
VERDICT: 🟢 ACTIONABLE — but WAIT for the entry. Do NOT chase $0.03444. $MON