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Wolong_BNB
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Wolong_BNB

I am WOLONG, a Forex trader with 10 years experience. I build robust automated trading systems using CSharp, MQL, and APIs. 📈🤖
Жиі сауда жасайтын трейдер
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43 лайк басылған
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$USDT just changed character — I would pay attention to this structure shift. What stands out here is that volume is running about 2.6x its recent pace, open interest is up 3.3%, and the last 15m is +1.64%. That gives the move real context instead of treating every candle as a signal. The area around $0.07128 is the level I would watch next. Losing it cleanly would strengthen the bearish case; holding it would warn against pressing shorts too late. Would you take this SHORT setup on $USDT, or wait for a cleaner entry? #USDT #Trading Trade plan: SHORT Entry: $0.12159 SL: $0.16566 TP1: $0.07128 TP2: $0.03346 TP3: $-0.0106
$USDT just changed character — I would pay attention to this structure shift.

What stands out here is that volume is running about 2.6x its recent pace, open interest is up 3.3%, and the last 15m is +1.64%. That gives the move real context instead of treating every candle as a signal.

The area around $0.07128 is the level I would watch next. Losing it cleanly would strengthen the bearish case; holding it would warn against pressing shorts too late.

Would you take this SHORT setup on $USDT, or wait for a cleaner entry?

#USDT #Trading

Trade plan: SHORT
Entry: $0.12159
SL: $0.16566
TP1: $0.07128
TP2: $0.03346
TP3: $-0.0106
$POWR is giving a cleaner structural signal than it was a few candles ago. What stands out here is that the 1H move is +6.77%, open interest is up 7.5%, and volume is running about 3.2x its recent pace. That gives the move real context instead of treating every candle as a signal. The next test is around $0.05063. A clean hold above that area would strengthen continuation; rejection there would make a pullback more likely. Would you take this LONG setup on $POWR, or wait for a cleaner entry? #POWR #Trading Trade plan: LONG Entry: $0.06619 SL: $0.03543 TP1: $0.09695 TP2: $0.12771 TP3: $0.15846
$POWR is giving a cleaner structural signal than it was a few candles ago.

What stands out here is that the 1H move is +6.77%, open interest is up 7.5%, and volume is running about 3.2x its recent pace. That gives the move real context instead of treating every candle as a signal.

The next test is around $0.05063. A clean hold above that area would strengthen continuation; rejection there would make a pullback more likely.

Would you take this LONG setup on $POWR , or wait for a cleaner entry?

#POWR #Trading

Trade plan: LONG
Entry: $0.06619
SL: $0.03543
TP1: $0.09695
TP2: $0.12771
TP3: $0.15846
The structure on $LAB has changed enough to put this setup on my watchlist. What stands out here is that volume is running about 4.1x its recent pace, the 1H move is +3.90%, and the last 15m is +4.53%. That gives the move real context instead of treating every candle as a signal. The area around $0.035 is the level I would watch next. Losing it cleanly would strengthen the bearish case; holding it would warn against pressing shorts too late. How would you manage this $LAB setup from here? #LAB #Trading Trade plan: SHORT Entry: $0.05561 SL: $0.08683 TP1: $0.0244 TP2: $-0.00681 TP3: $-0.03803
The structure on $LAB has changed enough to put this setup on my watchlist.

What stands out here is that volume is running about 4.1x its recent pace, the 1H move is +3.90%, and the last 15m is +4.53%. That gives the move real context instead of treating every candle as a signal.

The area around $0.035 is the level I would watch next. Losing it cleanly would strengthen the bearish case; holding it would warn against pressing shorts too late.

How would you manage this $LAB setup from here?

#LAB #Trading

Trade plan: SHORT
Entry: $0.05561
SL: $0.08683
TP1: $0.0244
TP2: $-0.00681
TP3: $-0.03803
Don't overlook $AIN here — momentum is strong, but the setup now depends on what price does next. What stands out here is that volume is running about 765.7x its recent pace, the 1H move is +57.85%, and open interest is up 68.9%. That gives the move real context instead of treating every candle as a signal. The area around $0.06525 is the level I would watch next. Losing it cleanly would strengthen the bearish case; holding it would warn against pressing shorts too late. Do you think $AIN has another leg left, or is this move already too stretched? #AIN #Trading Trade plan: SHORT Entry: $0.10917 SL: $0.10972 TP1: $0.06525 TP2: $0.06524 TP3: $0.06523
Don't overlook $AIN here — momentum is strong, but the setup now depends on what price does next.

What stands out here is that volume is running about 765.7x its recent pace, the 1H move is +57.85%, and open interest is up 68.9%. That gives the move real context instead of treating every candle as a signal.

The area around $0.06525 is the level I would watch next. Losing it cleanly would strengthen the bearish case; holding it would warn against pressing shorts too late.

Do you think $AIN has another leg left, or is this move already too stretched?

#AIN #Trading

Trade plan: SHORT
Entry: $0.10917
SL: $0.10972
TP1: $0.06525
TP2: $0.06524
TP3: $0.06523
$PONS is pulling into support — this is a much more interesting place to watch than the middle of the move. What stands out here is that volume is running about 16.0x its recent pace, the 1H move is -4.41%, and the last 15m is -4.27%. That gives the move real context instead of treating every candle as a signal. The multi-timeframe read is leaning bearish, and the current 1h structure agrees. That keeps the advantage with sellers for now. The area around $0.5265 is the level I would watch next. Losing it cleanly would strengthen the bearish case; holding it would warn against pressing shorts too late. Is this support enough for an entry, or do you want a stronger reclaim first? #PONS #Trading Trade plan: SHORT Entry: $0.5215 SL: $0.8944 TP1: $0.1487 TP2: $-0.2242 TP3: $-0.597
$PONS is pulling into support — this is a much more interesting place to watch than the middle of the move.

What stands out here is that volume is running about 16.0x its recent pace, the 1H move is -4.41%, and the last 15m is -4.27%. That gives the move real context instead of treating every candle as a signal.

The multi-timeframe read is leaning bearish, and the current 1h structure agrees. That keeps the advantage with sellers for now.

The area around $0.5265 is the level I would watch next. Losing it cleanly would strengthen the bearish case; holding it would warn against pressing shorts too late.

Is this support enough for an entry, or do you want a stronger reclaim first?

#PONS #Trading

Trade plan: SHORT
Entry: $0.5215
SL: $0.8944
TP1: $0.1487
TP2: $-0.2242
TP3: $-0.597
$VTHO just changed character — I would pay attention to this structure shift. What stands out here is that the 1H move is +4.36%, volume is running about 2.6x its recent pace, and open interest is up 3.4%. That gives the move real context instead of treating every candle as a signal. The next test is around $0.001183. A clean hold above that area would strengthen continuation; rejection there would make a pullback more likely. Would you take this LONG setup on $VTHO, or wait for a cleaner entry? #VTHO #Trading Trade plan: LONG Entry: $0.0007797 SL: $0.0004129 TP1: $0.001183 TP2: $0.0015133 TP3: $0.00188
$VTHO just changed character — I would pay attention to this structure shift.

What stands out here is that the 1H move is +4.36%, volume is running about 2.6x its recent pace, and open interest is up 3.4%. That gives the move real context instead of treating every candle as a signal.

The next test is around $0.001183. A clean hold above that area would strengthen continuation; rejection there would make a pullback more likely.

Would you take this LONG setup on $VTHO , or wait for a cleaner entry?

#VTHO #Trading

Trade plan: LONG
Entry: $0.0007797
SL: $0.0004129
TP1: $0.001183
TP2: $0.0015133
TP3: $0.00188
$POWER is moving fast — this is where I would stop chasing and watch the reaction. What stands out here is that the 1H move is -5.79%, open interest is down 3.8%, and the last 15m is -3.48%. That gives the move real context instead of treating every candle as a signal. The next test is around $0.09048. A clean hold above that area would strengthen continuation; rejection there would make a pullback more likely. Would you chase $POWER here, wait for the retest, or stay out? #POWER #Trading Trade plan: LONG Entry: $0.11835 SL: $0.07758 TP1: $0.15912 TP2: $0.19989 TP3: $0.24066
$POWER is moving fast — this is where I would stop chasing and watch the reaction.

What stands out here is that the 1H move is -5.79%, open interest is down 3.8%, and the last 15m is -3.48%. That gives the move real context instead of treating every candle as a signal.

The next test is around $0.09048. A clean hold above that area would strengthen continuation; rejection there would make a pullback more likely.

Would you chase $POWER here, wait for the retest, or stay out?

#POWER #Trading

Trade plan: LONG
Entry: $0.11835
SL: $0.07758
TP1: $0.15912
TP2: $0.19989
TP3: $0.24066
Don't overlook $ARK here — momentum is strong, but the setup now depends on what price does next. What stands out here is that the 1H move is -8.11%, open interest is up 8.3%, and the last 15m is -2.08%. That gives the move real context instead of treating every candle as a signal. The next test is around $0.1416. A clean hold above that area would strengthen continuation; rejection there would make a pullback more likely. Would you chase $ARK here, wait for the retest, or stay out? #ARK #Trading Trade plan: LONG Entry: $0.1611 SL: $0.1067 TP1: $0.2154 TP2: $0.2698 TP3: $0.3241
Don't overlook $ARK here — momentum is strong, but the setup now depends on what price does next.

What stands out here is that the 1H move is -8.11%, open interest is up 8.3%, and the last 15m is -2.08%. That gives the move real context instead of treating every candle as a signal.

The next test is around $0.1416. A clean hold above that area would strengthen continuation; rejection there would make a pullback more likely.

Would you chase $ARK here, wait for the retest, or stay out?

#ARK #Trading

Trade plan: LONG
Entry: $0.1611
SL: $0.1067
TP1: $0.2154
TP2: $0.2698
TP3: $0.3241
Don't overlook $MTL here — momentum is strong, but the setup now depends on what price does next. What stands out here is that the 1H move is +9.10%, open interest is up 10.5%, and volume is running about 3.1x its recent pace. That gives the move real context instead of treating every candle as a signal. The next test is around $0.2488. A clean hold above that area would strengthen continuation; rejection there would make a pullback more likely. Would you chase $MTL here, wait for the retest, or stay out? #MTL #Trading Trade plan: LONG Entry: $0.3888 SL: $0.1762 TP1: $0.6014 TP2: $0.814 TP3: $1.0266
Don't overlook $MTL here — momentum is strong, but the setup now depends on what price does next.

What stands out here is that the 1H move is +9.10%, open interest is up 10.5%, and volume is running about 3.1x its recent pace. That gives the move real context instead of treating every candle as a signal.

The next test is around $0.2488. A clean hold above that area would strengthen continuation; rejection there would make a pullback more likely.

Would you chase $MTL here, wait for the retest, or stay out?

#MTL #Trading

Trade plan: LONG
Entry: $0.3888
SL: $0.1762
TP1: $0.6014
TP2: $0.814
TP3: $1.0266
$LSK is moving fast — this is where I would stop chasing and watch the reaction. What stands out here is that the 1H move is +7.90% and the last 15m is +1.05%. That gives the move real context instead of treating every candle as a signal. The next test is around $2.3705. A clean hold above that area would strengthen continuation; rejection there would make a pullback more likely. Do you think $LSK has another leg left, or is this move already too stretched? #LSK #Trading Trade plan: LONG Entry: $0.79817 SL: $0.09994 TP1: $2.3705 TP2: $2.37051 TP3: $2.89284
$LSK is moving fast — this is where I would stop chasing and watch the reaction.

What stands out here is that the 1H move is +7.90% and the last 15m is +1.05%. That gives the move real context instead of treating every candle as a signal.

The next test is around $2.3705. A clean hold above that area would strengthen continuation; rejection there would make a pullback more likely.

Do you think $LSK has another leg left, or is this move already too stretched?

#LSK #Trading

Trade plan: LONG
Entry: $0.79817
SL: $0.09994
TP1: $2.3705
TP2: $2.37051
TP3: $2.89284
$STEEM is moving fast — this is where I would stop chasing and watch the reaction. What stands out here is that volume is running about 4.4x its recent pace, the 1H move is +4.02%, and open interest is up 4.6%. That gives the move real context instead of treating every candle as a signal. The multi-timeframe read is leaning bullish, and the current 1h structure agrees. That keeps the advantage with buyers for now. The next test is around $0.0476. A clean hold above that area would strengthen continuation; rejection there would make a pullback more likely. Would you chase $STEEM here, wait for the retest, or stay out? #STEEM #Trading Trade plan: LONG Entry: $0.06417 SL: $0.04312 TP1: $0.08522 TP2: $0.10626 TP3: $0.12731
$STEEM is moving fast — this is where I would stop chasing and watch the reaction.

What stands out here is that volume is running about 4.4x its recent pace, the 1H move is +4.02%, and open interest is up 4.6%. That gives the move real context instead of treating every candle as a signal.

The multi-timeframe read is leaning bullish, and the current 1h structure agrees. That keeps the advantage with buyers for now.

The next test is around $0.0476. A clean hold above that area would strengthen continuation; rejection there would make a pullback more likely.

Would you chase $STEEM here, wait for the retest, or stay out?

#STEEM #Trading

Trade plan: LONG
Entry: $0.06417
SL: $0.04312
TP1: $0.08522
TP2: $0.10626
TP3: $0.12731
$GRIFFAIN is moving fast — this is where I would stop chasing and watch the reaction. What stands out here is that volume is running about 5.5x its recent pace, the 1H move is -7.70%, and open interest is down 8.7%. That gives the move real context instead of treating every candle as a signal. The area around $0.012424 is the level I would watch next. Losing it cleanly would strengthen the bearish case; holding it would warn against pressing shorts too late. Would you chase $GRIFFAIN here, wait for the retest, or stay out? #GRIFFAIN #Trading Trade plan: SHORT Entry: $0.012129 SL: $0.016992 TP1: $0.007266 TP2: $0.002404 TP3: $-0.002459
$GRIFFAIN is moving fast — this is where I would stop chasing and watch the reaction.

What stands out here is that volume is running about 5.5x its recent pace, the 1H move is -7.70%, and open interest is down 8.7%. That gives the move real context instead of treating every candle as a signal.

The area around $0.012424 is the level I would watch next. Losing it cleanly would strengthen the bearish case; holding it would warn against pressing shorts too late.

Would you chase $GRIFFAIN here, wait for the retest, or stay out?

#GRIFFAIN #Trading

Trade plan: SHORT
Entry: $0.012129
SL: $0.016992
TP1: $0.007266
TP2: $0.002404
TP3: $-0.002459
$BTW just changed character — I would pay attention to this structure shift. What stands out here is that the last 15m is +3.46% and the 1H move is +2.40%. That gives the move real context instead of treating every candle as a signal. The multi-timeframe read is leaning bullish, and the current 4h structure agrees. That keeps the advantage with buyers for now. The next test is around $0.77888. A clean hold above that area would strengthen continuation; rejection there would make a pullback more likely. Would you take this LONG setup on $BTW, or wait for a cleaner entry? #BTW #Trading Trade plan: LONG Entry: $0.71554 SL: $0.25824 TP1: $1.17284 TP2: $1.63014 TP3: $2.08743
$BTW just changed character — I would pay attention to this structure shift.

What stands out here is that the last 15m is +3.46% and the 1H move is +2.40%. That gives the move real context instead of treating every candle as a signal.

The multi-timeframe read is leaning bullish, and the current 4h structure agrees. That keeps the advantage with buyers for now.

The next test is around $0.77888. A clean hold above that area would strengthen continuation; rejection there would make a pullback more likely.

Would you take this LONG setup on $BTW , or wait for a cleaner entry?

#BTW #Trading

Trade plan: LONG
Entry: $0.71554
SL: $0.25824
TP1: $1.17284
TP2: $1.63014
TP3: $2.08743
$UAI just changed character — I would pay attention to this structure shift. What stands out here is that the 1H move is +3.97%, open interest is up 3.2%, and volume is running about 2.0x its recent pace. That gives the move real context instead of treating every candle as a signal. The multi-timeframe read is leaning bearish, and the current 1h structure agrees. That keeps the advantage with sellers for now. The area around $0.4503 is the level I would watch next. Losing it cleanly would strengthen the bearish case; holding it would warn against pressing shorts too late. How would you manage this $UAI setup from here? #UAI #Trading Trade plan: SHORT Entry: $0.5225 SL: $0.8456 TP1: $0.1995 TP2: $-0.1235 TP3: $-0.4465
$UAI just changed character — I would pay attention to this structure shift.

What stands out here is that the 1H move is +3.97%, open interest is up 3.2%, and volume is running about 2.0x its recent pace. That gives the move real context instead of treating every candle as a signal.

The multi-timeframe read is leaning bearish, and the current 1h structure agrees. That keeps the advantage with sellers for now.

The area around $0.4503 is the level I would watch next. Losing it cleanly would strengthen the bearish case; holding it would warn against pressing shorts too late.

How would you manage this $UAI setup from here?

#UAI #Trading

Trade plan: SHORT
Entry: $0.5225
SL: $0.8456
TP1: $0.1995
TP2: $-0.1235
TP3: $-0.4465
The structure on $POWR has changed enough to put this setup on my watchlist. What stands out here is that open interest is up 6.5%, volume is running about 3.0x its recent pace, and the 1H move is +4.50%. That gives the move real context instead of treating every candle as a signal. The next test is around $0.09147. A clean hold above that area would strengthen continuation; rejection there would make a pullback more likely. Do you see the same structure on $POWR, or are you reading it differently? #POWR #Trading Trade plan: LONG Entry: $0.06333 SL: $0.04715 TP1: $0.09147 TP2: $0.09568 TP3: $0.11186
The structure on $POWR has changed enough to put this setup on my watchlist.

What stands out here is that open interest is up 6.5%, volume is running about 3.0x its recent pace, and the 1H move is +4.50%. That gives the move real context instead of treating every candle as a signal.

The next test is around $0.09147. A clean hold above that area would strengthen continuation; rejection there would make a pullback more likely.

Do you see the same structure on $POWR , or are you reading it differently?

#POWR #Trading

Trade plan: LONG
Entry: $0.06333
SL: $0.04715
TP1: $0.09147
TP2: $0.09568
TP3: $0.11186
$KOMA just made a serious move. The next reaction matters more than the candle that got us here. What stands out here is that volume is running about 7.7x its recent pace, the 1H move is +9.85%, and open interest is up 5.0%. That gives the move real context instead of treating every candle as a signal. The area around $0.014611 is the level I would watch next. Losing it cleanly would strengthen the bearish case; holding it would warn against pressing shorts too late. Do you think $KOMA has another leg left, or is this move already too stretched? #KOMA #Trading Trade plan: SHORT Entry: $0.0192 SL: $0.019778 TP1: $0.014611 TP2: $0.01461 TP3: $0.014609
$KOMA just made a serious move. The next reaction matters more than the candle that got us here.

What stands out here is that volume is running about 7.7x its recent pace, the 1H move is +9.85%, and open interest is up 5.0%. That gives the move real context instead of treating every candle as a signal.

The area around $0.014611 is the level I would watch next. Losing it cleanly would strengthen the bearish case; holding it would warn against pressing shorts too late.

Do you think $KOMA has another leg left, or is this move already too stretched?

#KOMA #Trading

Trade plan: SHORT
Entry: $0.0192
SL: $0.019778
TP1: $0.014611
TP2: $0.01461
TP3: $0.014609
$BTC BITCOIN: THIS NEW WEEK ANALYSIS!!!  Price Prediction & Crypto Crash News Today
$BTC BITCOIN: THIS NEW WEEK ANALYSIS!!! Price Prediction & Crypto Crash News Today
The structure on $USDT has changed enough to put this setup on my watchlist. What stands out here is that volume is running about 3.5x its recent pace, the 1H move is -5.63%, and the last 15m is -3.21%. That gives the move real context instead of treating every candle as a signal. The next test is around $0.14079. A clean hold above that area would strengthen continuation; rejection there would make a pullback more likely. Would you take this LONG setup on $USDT, or wait for a cleaner entry? #USDT #Trading Trade plan: LONG Entry: $0.11047 SL: $0.07092 TP1: $0.15002 TP2: $0.18956 TP3: $0.22911
The structure on $USDT has changed enough to put this setup on my watchlist.

What stands out here is that volume is running about 3.5x its recent pace, the 1H move is -5.63%, and the last 15m is -3.21%. That gives the move real context instead of treating every candle as a signal.

The next test is around $0.14079. A clean hold above that area would strengthen continuation; rejection there would make a pullback more likely.

Would you take this LONG setup on $USDT, or wait for a cleaner entry?

#USDT #Trading

Trade plan: LONG
Entry: $0.11047
SL: $0.07092
TP1: $0.15002
TP2: $0.18956
TP3: $0.22911
$POWER is moving fast — this is where I would stop chasing and watch the reaction. What stands out here is that the 1H move is +9.06%, the last 15m is +7.48%, and open interest is up 4.5%. That gives the move real context instead of treating every candle as a signal. The multi-timeframe read is leaning bullish, and the current 1h structure agrees. That keeps the advantage with buyers for now. The next test is around $0.09048. A clean hold above that area would strengthen continuation; rejection there would make a pullback more likely. Would you chase $POWER here, wait for the retest, or stay out? #POWER #Trading Trade plan: LONG Entry: $0.13281 SL: $0.07758 TP1: $0.18804 TP2: $0.24327 TP3: $0.2985
$POWER is moving fast — this is where I would stop chasing and watch the reaction.

What stands out here is that the 1H move is +9.06%, the last 15m is +7.48%, and open interest is up 4.5%. That gives the move real context instead of treating every candle as a signal.

The multi-timeframe read is leaning bullish, and the current 1h structure agrees. That keeps the advantage with buyers for now.

The next test is around $0.09048. A clean hold above that area would strengthen continuation; rejection there would make a pullback more likely.

Would you chase $POWER here, wait for the retest, or stay out?

#POWER #Trading

Trade plan: LONG
Entry: $0.13281
SL: $0.07758
TP1: $0.18804
TP2: $0.24327
TP3: $0.2985
Don't overlook $USDT here — momentum is strong, but the setup now depends on what price does next. What stands out here is that volume is running about 5.1x its recent pace, the 1H move is +9.20%, and the last 15m is +4.27%. That gives the move real context instead of treating every candle as a signal. The multi-timeframe read is leaning bearish, and the current 15m structure agrees. That keeps the advantage with sellers for now. The area around $0.03306 is the level I would watch next. Losing it cleanly would strengthen the bearish case; holding it would warn against pressing shorts too late. Would you chase $USDT here, wait for the retest, or stay out? #USDT #Trading Trade plan: SHORT Entry: $0.03569 SL: $0.04355 TP1: $0.02784 TP2: $0.01998 TP3: $0.01213
Don't overlook $USDT here — momentum is strong, but the setup now depends on what price does next.

What stands out here is that volume is running about 5.1x its recent pace, the 1H move is +9.20%, and the last 15m is +4.27%. That gives the move real context instead of treating every candle as a signal.

The multi-timeframe read is leaning bearish, and the current 15m structure agrees. That keeps the advantage with sellers for now.

The area around $0.03306 is the level I would watch next. Losing it cleanly would strengthen the bearish case; holding it would warn against pressing shorts too late.

Would you chase $USDT here, wait for the retest, or stay out?

#USDT #Trading

Trade plan: SHORT
Entry: $0.03569
SL: $0.04355
TP1: $0.02784
TP2: $0.01998
TP3: $0.01213
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