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Erik Solberg
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Negatīvs
🚨$TRADOOR TRADE🚨 LEVERAGE: (10X - 20X) DIRECTION: SHORT ENTRY SETUP: Open Short Only if 15m candle closes/holds around 0.933 (V.P Value Area). Entry Price: 0.933 T.P 1: 0.903 (When TP1 ✅ Put SL @ Entry) T.P 2: 0.877 T.P 3: 0.835 S.L: 0.962 Click 👇 {future}(TRADOORUSDT) Reasons: Huge Delta Diversion is present in CVD. If prices did not get accepted above VA. that means its a failed auction & it will get accepted in Fair Value Area. $ZIL $HYPE #cryptosignals #BinanceFutures #crypto #trade
🚨$TRADOOR TRADE🚨
LEVERAGE: (10X - 20X)
DIRECTION: SHORT

ENTRY SETUP:
Open Short Only if 15m candle closes/holds around 0.933 (V.P Value Area).

Entry Price: 0.933
T.P 1: 0.903 (When TP1 ✅ Put SL @ Entry)
T.P 2: 0.877
T.P 3: 0.835
S.L: 0.962
Click 👇


Reasons:
Huge Delta Diversion is present in CVD.
If prices did not get accepted above VA. that means its a failed auction & it will get accepted in Fair Value Area.
$ZIL $HYPE
#cryptosignals #BinanceFutures #crypto #trade
#trade on $ETH nopirkt cenu no $2240 līdz $2350 Pārdot to $2500 līdz $2600+ $BTC $BULLA
#trade on $ETH nopirkt cenu no $2240 līdz $2350
Pārdot to $2500 līdz $2600+
$BTC $BULLA
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Pozitīvs
$BIRB Šis pirmais gāja vertikāli, tagad tas sagremo šo kustību. Tas, ko jūs šeit redzat, ir pēc-pumpu konsolidācija, nevis jauns izlauziens vēl. Cena atkāpās, izveidoja bāzi ap 0.30 apgabalu un tagad mēģina atgūšanās posmu. Labākais vērtība bija skaidri bāzes laikā. Pašreizējā līmenī šī ir reakcijas tirdzniecība, nevis agrā iekļūšana. #trade #crypto {alpha}(CT_501G7vQWurMkMMm2dU3iZpXYFTHT9Biio4F4gZCrwFpKNwG)
$BIRB Šis pirmais gāja vertikāli, tagad tas sagremo šo kustību.

Tas, ko jūs šeit redzat, ir pēc-pumpu konsolidācija, nevis jauns izlauziens vēl. Cena atkāpās, izveidoja bāzi ap 0.30 apgabalu un tagad mēģina atgūšanās posmu.

Labākais vērtība bija skaidri bāzes laikā. Pašreizējā līmenī šī ir reakcijas tirdzniecība, nevis agrā iekļūšana.

#trade #crypto
Don't be upset $BTC traders. New boom will up soon. buying $BTC is safe now #trade fast💥💥💥🤑🤑
Don't be upset $BTC traders. New boom will up soon. buying $BTC is safe now #trade fast💥💥💥🤑🤑
$CHESS {spot}(CHESSUSDT) /USDT – Hard Truth This pump is purely delisting-driven. That changes everything. When a coin is confirmed for delisting, upside is temporary and liquidity risk dominates. Technicals matter far less than forced exits and deadline behavior. Key levels Resistance: 0.0285–0.0300 Support: 0.0250 → 0.0230 Breakdown below 0.025 = fast bleed What you should do If you’re in profit: Reduce or exit. Waiting for “one more leg” is greed, not strategy. If you’re not in: Do not enter. There is no asymmetric upside left. Do not hold into delisting. Liquidity collapses, spreads widen, and exits get ugly. Bottom line This is not a trend trade. It’s a countdown trade. The clock beats the chart every time #StrategyBTCPurchase #Write2Earn #TrendingTopic #trade #MarketCorrection
$CHESS
/USDT – Hard Truth
This pump is purely delisting-driven. That changes everything.
When a coin is confirmed for delisting, upside is temporary and liquidity risk dominates. Technicals matter far less than forced exits and deadline behavior.
Key levels
Resistance: 0.0285–0.0300
Support: 0.0250 → 0.0230
Breakdown below 0.025 = fast bleed
What you should do
If you’re in profit: Reduce or exit. Waiting for “one more leg” is greed, not strategy.
If you’re not in: Do not enter. There is no asymmetric upside left.
Do not hold into delisting. Liquidity collapses, spreads widen, and exits get ugly.
Bottom line This is not a trend trade. It’s a countdown trade.
The clock beats the chart every time
#StrategyBTCPurchase #Write2Earn #TrendingTopic #trade #MarketCorrection
Why do indicators matter in trading? Simple Guide & Easy Tips 🕵️‍♀️Technical indicators are like helpful tools on your trading chart that show patterns in price movement to guide your buy or sell decisions. Think of them as simple signals from past prices to help predict what might happen next. They do not guarantee wins, but they make trading less guesswork for beginners. Why do indicators matter in trading? They help you: • Spot the overall trend (is price going up, down, or sideways?) • Find good entry points to buy low or sell high • Avoid bad trades by showing when the market is too excited (overbought) or too sad (oversold) • Confirm your ideas with extra clues instead of relying only on gut feeling Most beginners start with just a few easy ones. Do not overload your chart with too many at once — keep it simple to avoid confusion. Here are the main indicators most traders use, explained in easy words with common settings: 1. Moving Averages (MA) 📈 This is the most popular and beginner-friendly indicator. It smooths out price ups and downs to show the real trend direction clearly. • Simple Moving Average (SMA): Treats all prices equally. • Exponential Moving Average (EMA): Gives more weight to recent prices, so it reacts faster. Role: Shows trend direction. When price is above the line → uptrend (buy bias). Below → downtrend (sell bias). Crossovers between short and long MA often signal trend changes. Common settings: • 50-period SMA or EMA (medium term) • 200-period SMA (long term support/resistance) • For faster trades: 9 or 20-period EMA 2. Relative Strength Index (RSI) ⚡ This momentum tool measures speed and change of price moves on a scale from 0 to 100. Role: Tells if an asset is overbought (might fall soon) or oversold (might rise soon). It helps spot reversals or pullbacks in a trend. Common settings: 14-period (standard and works great for most charts) Key levels: Above 70 = overbought 😓, below 30 = oversold 😊 3. MACD (Moving Average Convergence Divergence) 🚀 This shows the relationship between two EMAs to spot changes in strength, direction, momentum, and trend duration. Role: Great for finding trend reversals or momentum shifts. When the MACD line crosses above the signal line → bullish signal. Below → bearish. Histogram bars show momentum strength. Common settings: 12, 26, 9 (default and most used) 4. Bollinger Bands 🌐 These bands are plotted around a moving average with upper and lower lines based on volatility (how much price swings). Role: Shows when price is stretched too far (touching bands) and might reverse. Narrow bands mean low volatility (big move coming), wide bands mean high volatility. Common settings: 20-period SMA with 2 standard deviations (default works perfectly) Start with these four — they cover trend, momentum, and volatility. Many pros use just Moving Averages + RSI + MACD combo for clean decisions. Quick beginner tips ✨ • Use indicators on higher timeframes first (daily or 4-hour) to avoid noise. • Always combine 2 indicators for confirmation — never trade on one alone. • Practice on demo accounts to see how they behave in real markets. • Indicators lag a bit (they use past data), so pair them with price action like support/resistance. Master these basics, and trading will feel much clearer and less scary. Happy trading — start small and stay patient! 🚀 #Indicators #charts #trade #market #tips $XRP

Why do indicators matter in trading? Simple Guide & Easy Tips 🕵️‍♀️

Technical indicators are like helpful tools on your trading chart that show patterns in price movement to guide your buy or sell decisions. Think of them as simple signals from past prices to help predict what might happen next. They do not guarantee wins, but they make trading less guesswork for beginners.
Why do indicators matter in trading?
They help you:
• Spot the overall trend (is price going up, down, or sideways?)
• Find good entry points to buy low or sell high
• Avoid bad trades by showing when the market is too excited (overbought) or too sad (oversold)
• Confirm your ideas with extra clues instead of relying only on gut feeling
Most beginners start with just a few easy ones. Do not overload your chart with too many at once — keep it simple to avoid confusion.
Here are the main indicators most traders use, explained in easy words with common settings:
1. Moving Averages (MA) 📈
This is the most popular and beginner-friendly indicator. It smooths out price ups and downs to show the real trend direction clearly.
• Simple Moving Average (SMA): Treats all prices equally.
• Exponential Moving Average (EMA): Gives more weight to recent prices, so it reacts faster.
Role: Shows trend direction. When price is above the line → uptrend (buy bias). Below → downtrend (sell bias). Crossovers between short and long MA often signal trend changes.
Common settings:
• 50-period SMA or EMA (medium term)
• 200-period SMA (long term support/resistance)
• For faster trades: 9 or 20-period EMA
2. Relative Strength Index (RSI) ⚡
This momentum tool measures speed and change of price moves on a scale from 0 to 100.
Role: Tells if an asset is overbought (might fall soon) or oversold (might rise soon). It helps spot reversals or pullbacks in a trend.
Common settings: 14-period (standard and works great for most charts)
Key levels: Above 70 = overbought 😓, below 30 = oversold 😊
3. MACD (Moving Average Convergence Divergence) 🚀
This shows the relationship between two EMAs to spot changes in strength, direction, momentum, and trend duration.
Role: Great for finding trend reversals or momentum shifts. When the MACD line crosses above the signal line → bullish signal. Below → bearish. Histogram bars show momentum strength.
Common settings: 12, 26, 9 (default and most used)
4. Bollinger Bands 🌐
These bands are plotted around a moving average with upper and lower lines based on volatility (how much price swings).
Role: Shows when price is stretched too far (touching bands) and might reverse. Narrow bands mean low volatility (big move coming), wide bands mean high volatility.
Common settings: 20-period SMA with 2 standard deviations (default works perfectly)
Start with these four — they cover trend, momentum, and volatility. Many pros use just Moving Averages + RSI + MACD combo for clean decisions.
Quick beginner tips ✨
• Use indicators on higher timeframes first (daily or 4-hour) to avoid noise.
• Always combine 2 indicators for confirmation — never trade on one alone.
• Practice on demo accounts to see how they behave in real markets.
• Indicators lag a bit (they use past data), so pair them with price action like support/resistance.
Master these basics, and trading will feel much clearer and less scary. Happy trading — start small and stay patient! 🚀 #Indicators #charts #trade #market #tips $XRP
$HYPE Breaking Out HARD +21% in 24HMomentum is exploding. Don’t blink. $HYPE just smashed out of consolidation with high volume + strong momentum. Traders who waited… already late. But smart money is still hunting the next entry. 📈 What’s happening? 🔹 1D breakout confirmed 🔹 +21% in 24h 🔹 RSI ~70 → strong momentum 🔹 MACD bullish crossover 🔹 MA(7) & MA(30) trending up 👉 Buyers clearly in control. Only one thing ahead: ⚠️ MA200 at 38.1 = major resistance Break this → next leg flies. 🎯 Trade Plan Safer entry ✅ Pullback: 34–35 zone Breakout play ✅ Daily close > 38 → target 42–45 Risk ❌ Don’t FOMO top ❌ Tight stop ✅ Take partial profits near resistance $HYPE #crypto #Hyperliquid #trade {future}(HYPEUSDT) _______________________ This is where momentum traders make money. 📊 Add chart → confirm setup ⚡ Open $HYPE pair 👉 Catch the move before the crowd Are you trading the breakout or waiting for the dip? Tap Trade now don’t chase later 🚀

$HYPE Breaking Out HARD +21% in 24H

Momentum is exploding. Don’t blink.
$HYPE just smashed out of consolidation with high volume + strong momentum.
Traders who waited… already late.
But smart money is still hunting the next entry.
📈 What’s happening?
🔹 1D breakout confirmed
🔹 +21% in 24h
🔹 RSI ~70 → strong momentum
🔹 MACD bullish crossover
🔹 MA(7) & MA(30) trending up
👉 Buyers clearly in control.
Only one thing ahead:
⚠️ MA200 at 38.1 = major resistance
Break this → next leg flies.
🎯 Trade Plan
Safer entry
✅ Pullback: 34–35 zone
Breakout play
✅ Daily close > 38 → target 42–45
Risk
❌ Don’t FOMO top
❌ Tight stop
✅ Take partial profits near resistance
$HYPE #crypto #Hyperliquid #trade

_______________________
This is where momentum traders make money.
📊 Add chart → confirm setup
⚡ Open $HYPE pair
👉 Catch the move before the crowd
Are you trading the breakout or waiting for the dip?
Tap Trade now don’t chase later 🚀
Stacks ($STX ) tikko tika atlikts pie $0.294. Pārdevēji ieradās spēcīgi, un $0.30 zona izrādās pārāk spēcīga buljiem šobrīd. Šobrīd noskaņojums ir zems. Cilvēki ir nervozi, un tirgus ir bailes režīmā. Līdz STX var atkal pārkāpt virs 50 dienu EMA, vieglākie kustības ir uz leju. Galvenās atbalsta zonas ir ap 0.27 un 0.245. Šīs ir zonas, kuras vērot, ja meklējat potenciālos īstermiņa pircējus vai daļējas peļņas iziešanas. Vienkārša īsa iestatīšana tirgotājiem: ievadiet starp 0.286–0.295, turiet apstāšanās pie 0.305, un mērķējiet uz atbalsta līmeņiem 0.27, 0.261 un 0.249. Viegla pretestība joprojām ir uz leju. Ja tirgojat šo, esiet pacietīgi. Ļaujiet cenai nākt pie jums. Vērojiet līmeņus, ievērojiet savas apstāšanās, un nesekojiet tam. Tendence šobrīd ir skaidra: pārdevēji kontrolē tirgu. Jebkuri mēģinājumi virs $0.30 līdz šim ir izgāzušies, tādēļ īsie iestatījumi ir jēgpilni, līdz notiek pareiza apgriešanās. Tirdzniecība $STX 👇 #trade #Tirgus_Atjauninājums
Stacks ($STX ) tikko tika atlikts pie $0.294. Pārdevēji ieradās spēcīgi, un $0.30 zona izrādās pārāk spēcīga buljiem šobrīd.

Šobrīd noskaņojums ir zems. Cilvēki ir nervozi, un tirgus ir bailes režīmā. Līdz STX var atkal pārkāpt virs 50 dienu EMA, vieglākie kustības ir uz leju. Galvenās atbalsta zonas ir ap 0.27 un 0.245. Šīs ir zonas, kuras vērot, ja meklējat potenciālos īstermiņa pircējus vai daļējas peļņas iziešanas.

Vienkārša īsa iestatīšana tirgotājiem: ievadiet starp 0.286–0.295, turiet apstāšanās pie 0.305, un mērķējiet uz atbalsta līmeņiem 0.27, 0.261 un 0.249. Viegla pretestība joprojām ir uz leju.

Ja tirgojat šo, esiet pacietīgi. Ļaujiet cenai nākt pie jums. Vērojiet līmeņus, ievērojiet savas apstāšanās, un nesekojiet tam. Tendence šobrīd ir skaidra: pārdevēji kontrolē tirgu. Jebkuri mēģinājumi virs $0.30 līdz šim ir izgāzušies, tādēļ īsie iestatījumi ir jēgpilni, līdz notiek pareiza apgriešanās.
Tirdzniecība $STX 👇
#trade #Tirgus_Atjauninājums
‎🔥 $AAVE TIRDES BRĪDINĀJUMS: Gatavs braukt vai piesardzīgs noskaņojums? 🔥 ‎ ‎Ieeja: $130 - $128 ‎Stop Loss: $126 ‎ ‎Mērķi: ‎ ‎TP1: 134.50 ‎TP2: 136.50 ‎TP3: 138.50 ‎ ‎Signāla Uzticamība: 🚨 93% diagrammas būtībā kliedz, bet nevajag kļūt bezrūpīgiem, ser. ‎ ‎ RSI: 66.3 nosliece uz lāču 📉 vēl nav sarkano karogu, bet tā spēlē kripto ekvivalentu “Man viss labi” 😅. ‎ ‎MACD: Bullish crossover konstatēts. Tēvs impulss sasilst, bet nevajag aizrauties ar dimanta rokām vēl 💎🙌. {future}(AAVEUSDT) ‎ #avve #C150 #trade
‎🔥 $AAVE TIRDES BRĪDINĀJUMS: Gatavs braukt vai piesardzīgs noskaņojums? 🔥

‎Ieeja: $130 - $128
‎Stop Loss: $126

‎Mērķi:

‎TP1: 134.50
‎TP2: 136.50
‎TP3: 138.50

‎Signāla Uzticamība: 🚨 93% diagrammas būtībā kliedz, bet nevajag kļūt bezrūpīgiem, ser.

‎ RSI: 66.3 nosliece uz lāču 📉 vēl nav sarkano karogu, bet tā spēlē kripto ekvivalentu “Man viss labi” 😅.

‎MACD: Bullish crossover konstatēts. Tēvs impulss sasilst, bet nevajag aizrauties ar dimanta rokām vēl 💎🙌.


#avve #C150 #trade
Ziņojums par $RIVER aicina uz tūlītēju īsu pozīciju, pamatojoties uz tehnisko reversijas signālu. Racionāls norāda, ka pēc spēcīga rīta atgūšanas ar lielumu 2.5x un divām atšķirīgām augšupejošām viļņiem, cena tikko ir izveidojusi virsotni, un stundu grafiks ir kļuvis lejupvērsts. Tas tiek interpretēts kā pabeigts prettrenda kāpums, piedāvājot iespēju īsā pozīcijā gaidīt iepriekšējā lejuptrenda atsākšanos. Tonis ir steidzams ("ievadiet ātri"), ieteicot, ka tirgotājs to uzskata par savlaicīgu, impulsu balstītu reversijas iestatījumu...#trade Tagad
Ziņojums par $RIVER aicina uz tūlītēju īsu pozīciju, pamatojoties uz tehnisko reversijas signālu. Racionāls norāda, ka pēc spēcīga rīta atgūšanas ar lielumu 2.5x un divām atšķirīgām augšupejošām viļņiem, cena tikko ir izveidojusi virsotni, un stundu grafiks ir kļuvis lejupvērsts. Tas tiek interpretēts kā pabeigts prettrenda kāpums, piedāvājot iespēju īsā pozīcijā gaidīt iepriekšējā lejuptrenda atsākšanos. Tonis ir steidzams ("ievadiet ātri"), ieteicot, ka tirgotājs to uzskata par savlaicīgu, impulsu balstītu reversijas iestatījumu...#trade Tagad
OGZYTN:
🚀🚀🚀
#BTC Trap brīdinājums $BTC | $SOL |$BNB | #ETH Laižamies uz leju Tendence 📈 ir viss liels meli Tas ir viss stratēģisks gājiens no lielajiem līderiem Pāris dienas pirms šīs tendences 📈 Trump Jr veica lielu tirdzniecību BTC un nopelnīja 90 miljonus dolāru pāris dienu laikā Saskaņā ar avotiem tagad viņš ir veicis ilgu tirdzniecību BTC , ETH ,Sol & BNB Paredzams, ka šajā tendencē 📈 būs vairāk nekā 450 miljoni dolāru peļņas tāpēc neiekristiet slazdā un ieguldiet šajās monētās 🪙 🪙 #trade šeit 👇 {future}(ETHUSDT) {spot}(BNBUSDT) {spot}(SOLUSDT) #WhenWillBTCRebound #PreciousMetalsTurbulence
#BTC Trap brīdinājums

$BTC | $SOL |$BNB | #ETH
Laižamies uz leju Tendence 📈 ir viss liels meli Tas ir viss stratēģisks gājiens no lielajiem līderiem

Pāris dienas pirms šīs tendences 📈 Trump Jr veica lielu tirdzniecību BTC un nopelnīja 90 miljonus dolāru pāris dienu laikā

Saskaņā ar avotiem tagad viņš ir veicis ilgu tirdzniecību BTC , ETH ,Sol & BNB
Paredzams, ka šajā tendencē 📈 būs vairāk nekā 450 miljoni dolāru peļņas

tāpēc neiekristiet slazdā un ieguldiet šajās monētās 🪙 🪙

#trade šeit 👇



#WhenWillBTCRebound
#PreciousMetalsTurbulence
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Pozitīvs
🌊$RIVER Gatavs pieplūdumam? Iekšējie dalībnieki pērk. Vaļi klusi krāj River, kamēr tirgus guļ. Masīvs izlaušanās process ir gatavojoties 4H diagrammā; vienīgais jautājums ir, vai tu brauksi pa viļņu vai vērosi no krasta? 📉 Tirdzniecības plāns: $RIVER / USDT (GARŠ) Nepērc pumpu. Spēlē līmeņus. ✅Iegādes zona: $17.54 – $19.04 (Pērkot akumulāciju) 🛑Stop Loss: $13.79 (Aizsargā savu kapitālu) ⚡Pašreizējā cena: ~$18.33 🎯 Peļņas mērķi TP1: $22.80 (+24% ieguvums) TP2: $24.30 (+32% ieguvums) TP3: $27.30 (+48% ieguvums) 🔍 Kāpēc šī tirdzniecība ir sagatavota Mēs tikai neuzminam; 4H laika posms kliedz "saritināta atsperes." 🔹Saspringtais spiediens: Cena ir iesprūdusi šaurā diapazonā. Vēsture rāda, ka, kad RIVER konsolidējas šādi, rezultātā kustība ir eksplozīva. 🔹Iekšējā stiprība: Turēšanās stabila pie $18.33 (tuvu mūsu ieejas zonai) liecina, ka pircēji agresīvi iejaucas, lai novērstu kritumu. 🔹Izsistējs: Tīrs pārtraukums virs $19.04 atbrīvo ceļu uz tiešu šāvienu uz $22.80. TIRDZNIECĪBA ŠEIT 👇 $RIVER {future}(RIVERUSDT) #trade
🌊$RIVER Gatavs pieplūdumam? Iekšējie dalībnieki pērk.
Vaļi klusi krāj River, kamēr tirgus guļ. Masīvs izlaušanās process ir gatavojoties 4H diagrammā; vienīgais jautājums ir, vai tu brauksi pa viļņu vai vērosi no krasta?

📉 Tirdzniecības plāns: $RIVER / USDT (GARŠ)
Nepērc pumpu. Spēlē līmeņus.

✅Iegādes zona: $17.54 – $19.04 (Pērkot akumulāciju)
🛑Stop Loss: $13.79 (Aizsargā savu kapitālu)
⚡Pašreizējā cena: ~$18.33

🎯 Peļņas mērķi
TP1: $22.80 (+24% ieguvums)
TP2: $24.30 (+32% ieguvums)
TP3: $27.30 (+48% ieguvums)

🔍 Kāpēc šī tirdzniecība ir sagatavota
Mēs tikai neuzminam; 4H laika posms kliedz "saritināta atsperes."
🔹Saspringtais spiediens: Cena ir iesprūdusi šaurā diapazonā. Vēsture rāda, ka, kad RIVER konsolidējas šādi, rezultātā kustība ir eksplozīva.

🔹Iekšējā stiprība: Turēšanās stabila pie $18.33 (tuvu mūsu ieejas zonai) liecina, ka pircēji agresīvi iejaucas, lai novērstu kritumu.

🔹Izsistējs: Tīrs pārtraukums virs $19.04 atbrīvo ceļu uz tiešu šāvienu uz $22.80.

TIRDZNIECĪBA ŠEIT 👇

$RIVER
#trade
Canario 2025:
Si tienes espalda espera,va a tocar los 60 k
Veids, kā noteikt tirdzniecības tendenci Šis ir veids, kā mēs varam noteikt tendenci tirdzniecības laikā, tas palīdzēs mums iegūt drošākas pozīcijas. #trade $BTC $ETH
Veids, kā noteikt tirdzniecības tendenci

Šis ir veids, kā mēs varam noteikt tendenci tirdzniecības laikā, tas palīdzēs mums iegūt drošākas pozīcijas.

#trade $BTC $ETH
🚀 SMART MONEY PLAYBOOK: WLFI & GAS (USDT-Bazēta stratēģija) Šādi profesionāļi nodrošina peļņu, kamēr mazumtirdzniecība dzenas pēc virsotnēm 👇#Binancian 🟢 $WLFI — IENĀKŠANA, IZNĀKŠANA KĀ PROFIS #trade 👇👇 {future}(WLFIUSDT) 📥 Iegādes plāns🤑🤑 ✅ Iegādāties 1: 250 USDT ✅ Iegādāties 2: 250 USDT (atgriešanās/atbalsts) 🎯 PEĻŅAS KĀPNES (WLFI)💰💰 🟩 TP1 — 20% → 100 USDT (nodrošināt agrīnu peļņu) 🟩 TP2 — 20% → 100 USDT (risks segts 🔐) 🟩 TP3 — 25% → 125 USDT (tendences spēks) 🟩 TP4 — 20% → 100 USDT (momentuma zona) 🟩 TP5 — 15% → 75 USDT (FOMO / paplašināšanās 🚀) 📌 PROFESIONĀLĀ NOTEIKUMS: Pēc TP2 ➝ pārvietot SL uz bezzaudējumu 👉 Tirdzniecība kļūst BEZ RISKA 🔵 $GAS — STRUKTURĒTA & DISCIPLINĒTA #trade 👇👇 {future}(GASUSDT) 📥 Iegādes plāns🤑 ✅ Iegādāties 1: 200 USDT ✅ Iegādāties 2: 150 USDT ✅ Iegādāties 3: 150 USDT 🎯 PEĻŅAS KĀPNES (GAS)💰💰 🔹 TP1 — 15% → 75 USDT 🔹 TP2 — 20% → 100 USDT 🔹 TP3 — 25% → 125 USDT 🔹 TP4 — 25% → 125 USDT 🔹 TP5 — 15% → 75 USDT 📌 PROFESIONĀLĀ NOTEIKUMS: Ja apjoms vājinās tuvu TP3 ➝ saspringt sekot līdzi stopam 🛑 🛑 STOP-IZMAKSAS LOĢIKA (ŠIS SAGLABĀ KONTA) 🔴 WLFI SL☢️☢️ Zem pēdējā augstā zemā Vai 8–12% zem vidējās iegādes 🔴 GAS SL☢️☢️ Zem diapazona zemā Vai 6–10% zem vidējās iegādes ⚠️ Ja SL tiek skarts → NAV ATRIEBŠANAS TIRDZNIECĪBA #Evryone $WLFI
🚀 SMART MONEY PLAYBOOK: WLFI & GAS (USDT-Bazēta stratēģija)
Šādi profesionāļi nodrošina peļņu, kamēr mazumtirdzniecība dzenas pēc virsotnēm 👇#Binancian

🟢 $WLFI — IENĀKŠANA, IZNĀKŠANA KĀ PROFIS
#trade 👇👇


📥 Iegādes plāns🤑🤑
✅ Iegādāties 1: 250 USDT
✅ Iegādāties 2: 250 USDT (atgriešanās/atbalsts)

🎯 PEĻŅAS KĀPNES (WLFI)💰💰
🟩 TP1 — 20% → 100 USDT (nodrošināt agrīnu peļņu)
🟩 TP2 — 20% → 100 USDT (risks segts 🔐)
🟩 TP3 — 25% → 125 USDT (tendences spēks)
🟩 TP4 — 20% → 100 USDT (momentuma zona)
🟩 TP5 — 15% → 75 USDT (FOMO / paplašināšanās 🚀)

📌 PROFESIONĀLĀ NOTEIKUMS:
Pēc TP2 ➝ pārvietot SL uz bezzaudējumu
👉 Tirdzniecība kļūst BEZ RISKA

🔵 $GAS — STRUKTURĒTA & DISCIPLINĒTA
#trade 👇👇


📥 Iegādes plāns🤑
✅ Iegādāties 1: 200 USDT
✅ Iegādāties 2: 150 USDT
✅ Iegādāties 3: 150 USDT

🎯 PEĻŅAS KĀPNES (GAS)💰💰
🔹 TP1 — 15% → 75 USDT
🔹 TP2 — 20% → 100 USDT
🔹 TP3 — 25% → 125 USDT
🔹 TP4 — 25% → 125 USDT
🔹 TP5 — 15% → 75 USDT

📌 PROFESIONĀLĀ NOTEIKUMS:
Ja apjoms vājinās tuvu TP3 ➝ saspringt sekot līdzi stopam 🛑

🛑 STOP-IZMAKSAS LOĢIKA (ŠIS SAGLABĀ KONTA)

🔴 WLFI SL☢️☢️
Zem pēdējā augstā zemā
Vai 8–12% zem vidējās iegādes

🔴 GAS SL☢️☢️
Zem diapazona zemā
Vai 6–10% zem vidējās iegādes
⚠️ Ja SL tiek skarts → NAV ATRIEBŠANAS TIRDZNIECĪBA
#Evryone $WLFI
🔘 Hold until ATH (hope mode)
73%
🔘 Sell too early (fear mode)
27%
🔘 Late entries
0%
🔘 Overtrading
0%
11 balsis • Balsošana ir beigusies
BNB Technical Outlook for $900IN THIS ARTICLE I AM EXPLAINING ABOUT Structure Breakdown, Trendline Rejection, and Recovery Scenario {spot}(BNBUSDT) The $BNB chart on the 4-hour timeframe reflects a major structural shift that occurred after an extended bullish phase. Initially, BNB was trading inside a strong uptrend, forming consistent higher highs and higher lows. This bullish structure confirmed sustained buyer control and healthy market momentum. Price respected key demand zones and used pullbacks as opportunities for continuation, which kept the trend intact for several weeks. However, as BNB approached the upper resistance region near the 900–920 zone, bullish momentum began to weaken. Multiple rejection wicks and failed breakout attempts indicated exhaustion among buyers. This loss of strength was followed by a breakdown below the previous support zone, which is highlighted on the chart in red. This area had previously acted as demand but later flipped into resistance, confirming a classic support-to-resistance transition and signaling a change in market structure. Breakdown and Impulsive Bearish Move After failing to reclaim the former support zone, BNB entered a strong bearish impulse. The price broke decisively below the descending trendline, accelerating selling pressure and triggering stop-losses from late long positions. This resulted in a sharp drop toward the major support region around 750. This type of move is typical of a liquidity-driven breakdown, where market makers and institutional participants clear leveraged positions before establishing new direction. The speed and volume of the decline suggest capitulation behavior, meaning weak hands were forced out of the market. The area around 749–752 now acts as a critical demand zone, where price has started to stabilize. Multiple candles show rejection of lower prices, indicating that selling pressure is slowing and buyers are beginning to defend this level. Trendline Interaction and Technical Confluence One of the most important technical elements in this chart is the descending trendline drawn from previous highs. This trendline has acted as dynamic resistance throughout the recent downtrend. Price is currently trading near this trendline, making it a key decision point. The blue circled region highlights a potential retest zone where price may interact with the trendline again. This area represents a confluence of: Descending trendline resistancePrevious structural levelShort-term supply zone How price behaves around this zone will determine the next major move. If BNB fails to break above this trendline, it would confirm that sellers still control the structure. If price manages to reclaim and hold above it, this would be the first sign of a possible trend reversal. Support and Resistance Framework The chart clearly defines multiple important horizontal levels: Major Support Zones 749–752 (Current Demand Zone)704 (Lower Support / Invalidation Level) Major Resistance Zones 822 (Intermediate Resistance)908 (Key Structural Resistance)954 (Higher-Timeframe Target) The 822 level is particularly important, as it represents the first major resistance above current price. It aligns with previous consolidation and is likely to attract selling pressure on any initial bounce. The 908 zone is the most critical resistance. A clean break and acceptance above this level would indicate a structural shift back to bullish control. Projected Price Scenario and Recovery Path The red projected path on the chart illustrates a realistic recovery scenario rather than an immediate vertical move. This suggests that BNB is likely to form a series of higher lows and higher highs, building strength gradually before attempting a major breakout. The expected sequence is: Continued consolidation above 750Gradual push toward 780–800Pullback and retest near trendline supportBreak above 822 resistanceExpansion toward 900+ zone This type of price behavior reflects healthy accumulation rather than speculative pumping. It allows strong hands to build positions while weak hands remain uncertain. Bullish Scenario The bullish scenario remains valid as long as BNB holds above the 749 support zone and continues to reject lower prices. Confirmation for bullish continuation would include: Strong bullish candles above 780Successful reclaim of the descending trendlineBreak and hold above 822Increasing volume on upward moves If these conditions are met, price may target 900 first, followed by 950 in the medium term. Bearish Scenario and Risk Factors The bullish recovery thesis will be invalidated if price loses acceptance below the current support. Warning signs include: Daily close below 745Failure to hold trendline retestsWeak bounce with low volumeStrong bearish rejection at 822 A breakdown below 704 would open the door for further downside expansion and signal continuation of the bearish trend. Market Psychology and Structure Perspective From a market psychology standpoint, this move reflects a classic transition from optimism to fear. The sharp sell-off forced emotional selling and removed late buyers from the market. Now, price is stabilizing in a zone where smart money typically accumulates. This phase is designed to frustrate both bulls and bears. Bulls are unsure after the dump, while bears hesitate after support holds. This uncertainty creates the foundation for the next major move. If accumulation continues, the resulting breakout will be driven by FOMO from traders who missed the bottom. Final Outlook BNB/USDT is currently trading at a crucial structural support zone after completing a strong bearish impulse. The market is showing early signs of stabilization, and price is attempting to build a base above 749. The descending trendline and the 822 resistance remain the main obstacles for bullish continuation. A confirmed break above these levels would signal a shift in momentum and open the path toward 900–950. Until confirmation appears, traders should remain patient, focus on price behavior near resistance, and manage risk carefully. The coming sessions will be decisive in determining whether this move develops into a full recovery or resumes its bearish continuation. #BNBbull #TRADE

BNB Technical Outlook for $900

IN THIS ARTICLE I AM EXPLAINING ABOUT Structure Breakdown, Trendline Rejection, and Recovery Scenario


The $BNB chart on the 4-hour timeframe reflects a major structural shift that occurred after an extended bullish phase. Initially, BNB was trading inside a strong uptrend, forming consistent higher highs and higher lows. This bullish structure confirmed sustained buyer control and healthy market momentum. Price respected key demand zones and used pullbacks as opportunities for continuation, which kept the trend intact for several weeks.
However, as BNB approached the upper resistance region near the 900–920 zone, bullish momentum began to weaken. Multiple rejection wicks and failed breakout attempts indicated exhaustion among buyers. This loss of strength was followed by a breakdown below the previous support zone, which is highlighted on the chart in red. This area had previously acted as demand but later flipped into resistance, confirming a classic support-to-resistance transition and signaling a change in market structure.
Breakdown and Impulsive Bearish Move
After failing to reclaim the former support zone, BNB entered a strong bearish impulse. The price broke decisively below the descending trendline, accelerating selling pressure and triggering stop-losses from late long positions. This resulted in a sharp drop toward the major support region around 750.
This type of move is typical of a liquidity-driven breakdown, where market makers and institutional participants clear leveraged positions before establishing new direction. The speed and volume of the decline suggest capitulation behavior, meaning weak hands were forced out of the market.
The area around 749–752 now acts as a critical demand zone, where price has started to stabilize. Multiple candles show rejection of lower prices, indicating that selling pressure is slowing and buyers are beginning to defend this level.
Trendline Interaction and Technical Confluence
One of the most important technical elements in this chart is the descending trendline drawn from previous highs. This trendline has acted as dynamic resistance throughout the recent downtrend. Price is currently trading near this trendline, making it a key decision point.
The blue circled region highlights a potential retest zone where price may interact with the trendline again. This area represents a confluence of:
Descending trendline resistancePrevious structural levelShort-term supply zone
How price behaves around this zone will determine the next major move.
If BNB fails to break above this trendline, it would confirm that sellers still control the structure. If price manages to reclaim and hold above it, this would be the first sign of a possible trend reversal.
Support and Resistance Framework
The chart clearly defines multiple important horizontal levels:
Major Support Zones
749–752 (Current Demand Zone)704 (Lower Support / Invalidation Level)
Major Resistance Zones
822 (Intermediate Resistance)908 (Key Structural Resistance)954 (Higher-Timeframe Target)
The 822 level is particularly important, as it represents the first major resistance above current price. It aligns with previous consolidation and is likely to attract selling pressure on any initial bounce.
The 908 zone is the most critical resistance. A clean break and acceptance above this level would indicate a structural shift back to bullish control.
Projected Price Scenario and Recovery Path
The red projected path on the chart illustrates a realistic recovery scenario rather than an immediate vertical move. This suggests that BNB is likely to form a series of higher lows and higher highs, building strength gradually before attempting a major breakout.
The expected sequence is:
Continued consolidation above 750Gradual push toward 780–800Pullback and retest near trendline supportBreak above 822 resistanceExpansion toward 900+ zone
This type of price behavior reflects healthy accumulation rather than speculative pumping. It allows strong hands to build positions while weak hands remain uncertain.
Bullish Scenario
The bullish scenario remains valid as long as BNB holds above the 749 support zone and continues to reject lower prices.
Confirmation for bullish continuation would include:
Strong bullish candles above 780Successful reclaim of the descending trendlineBreak and hold above 822Increasing volume on upward moves
If these conditions are met, price may target 900 first, followed by 950 in the medium term.
Bearish Scenario and Risk Factors
The bullish recovery thesis will be invalidated if price loses acceptance below the current support.
Warning signs include:
Daily close below 745Failure to hold trendline retestsWeak bounce with low volumeStrong bearish rejection at 822
A breakdown below 704 would open the door for further downside expansion and signal continuation of the bearish trend.
Market Psychology and Structure Perspective
From a market psychology standpoint, this move reflects a classic transition from optimism to fear. The sharp sell-off forced emotional selling and removed late buyers from the market. Now, price is stabilizing in a zone where smart money typically accumulates.
This phase is designed to frustrate both bulls and bears. Bulls are unsure after the dump, while bears hesitate after support holds. This uncertainty creates the foundation for the next major move.
If accumulation continues, the resulting breakout will be driven by FOMO from traders who missed the bottom.
Final Outlook
BNB/USDT is currently trading at a crucial structural support zone after completing a strong bearish impulse. The market is showing early signs of stabilization, and price is attempting to build a base above 749.
The descending trendline and the 822 resistance remain the main obstacles for bullish continuation. A confirmed break above these levels would signal a shift in momentum and open the path toward 900–950.
Until confirmation appears, traders should remain patient, focus on price behavior near resistance, and manage risk carefully. The coming sessions will be decisive in determining whether this move develops into a full recovery or resumes its bearish continuation.
#BNBbull #TRADE
🚨BTC Tirgus Atjauninājums – Struktūra Pirms Stratēģijas “Vienmēr cieniet struktūru pirms stratēģijas — nekad nestrādājiet pret to.” BTC turpina tirgoties lāču tirgus struktūrā, un pagaidām nav apstiprinātu reversijas signālu augstākos laika posmos. Neskatoties uz īstermiņa atsitieniem un svārstīguma radītiem uzplaiksnījumiem, cenu darbība paliek korektīva, nevis impulsīva. Tirgus Struktūras Pārskats • BTC joprojām drukā zemākus maksimumus un zemākus minimumus • Iepriekšējās atbalsta zonas ir pārvērstas par spēcīgu pretestību • Jebkura augšupejoša kustība šajā posmā jāuzskata par likviditātes radītu atsitienu Līdz BTC atgūst un turas virs galvenajiem struktūras līmeņiem, plašāka lāču noskaņa paliek neskarta. Svarīgas Likviditātes & Piegādes Zonas BTC var piedāvāt augstas varbūtības īso iespējas ap sekojošajām zonām pirms turpināšanas: • $82k–$84k Zona • Iepriekšējās sabrukšanas zona • Smaga atpūtas likviditāte • Iespējams stop-hunt zona virs nesenajiem maksimumiem • $90k Zona • Galvenā psiholoģiskā pretestība • Augstāka laika posma piegāde • Iespējams pēdējais likviditātes izsistums pirms paplašināšanās uz leju Šīs zonas nav pirkšanas apgabali, ja vien struktūra nemainās. Drīzāk tās ir vietas, kur meklēt apstiprinājuma balstītu svārstošo īso izkārtojumu, īpaši pēc likviditātes izsistumiem un atteikšanās signāliem. Lejupvēršu Paplašināšanas Mērķi Ja BTC neizdodas atgūt struktūru un reaģē lāču virzienā no iepriekšminētajām zonām, tirgus atver ceļu uz $54k–$64k diapazonu, kas sakrīt ar: • Nepieciešamā augstāka laika posma pieprasījuma • Iepriekšējo uzkrāšanas diapazonu • Galveno likviditāti, kas atrodas zem tirgus Šī zona pārstāv potenciālu makro reakcijas teritoriju, nevis tūlītēju atsitiena garantiju. Izpildes Fokuss • Gaidiet likviditātes izsistumus pie pretestības • Meklējiet pārvietošanu + atteikšanos • Iegādājieties tikai pēc apstiprinājuma, nevis gaidīšanas Kopsavilkums • Noskaņa: Lāču • Īsie darījumi vēlami pie $82k–$84k un $90k • Mērķa diapazons: $54k–$64k • Bullish tikai pēc skaidras struktūras maiņas 📉 Struktūra vada. Stratēģija seko. Disciplīna izdzīvo. #TrumpProCrypto #btc #MarketCorrection #bitcoin #trade $BTC
🚨BTC Tirgus Atjauninājums – Struktūra Pirms Stratēģijas

“Vienmēr cieniet struktūru pirms stratēģijas — nekad nestrādājiet pret to.”

BTC turpina tirgoties lāču tirgus struktūrā, un pagaidām nav apstiprinātu reversijas signālu augstākos laika posmos. Neskatoties uz īstermiņa atsitieniem un svārstīguma radītiem uzplaiksnījumiem, cenu darbība paliek korektīva, nevis impulsīva.

Tirgus Struktūras Pārskats
• BTC joprojām drukā zemākus maksimumus un zemākus minimumus
• Iepriekšējās atbalsta zonas ir pārvērstas par spēcīgu pretestību
• Jebkura augšupejoša kustība šajā posmā jāuzskata par likviditātes radītu atsitienu

Līdz BTC atgūst un turas virs galvenajiem struktūras līmeņiem, plašāka lāču noskaņa paliek neskarta.

Svarīgas Likviditātes & Piegādes Zonas

BTC var piedāvāt augstas varbūtības īso iespējas ap sekojošajām zonām pirms turpināšanas:
• $82k–$84k Zona
• Iepriekšējās sabrukšanas zona
• Smaga atpūtas likviditāte
• Iespējams stop-hunt zona virs nesenajiem maksimumiem
• $90k Zona
• Galvenā psiholoģiskā pretestība
• Augstāka laika posma piegāde
• Iespējams pēdējais likviditātes izsistums pirms paplašināšanās uz leju

Šīs zonas nav pirkšanas apgabali, ja vien struktūra nemainās. Drīzāk tās ir vietas, kur meklēt apstiprinājuma balstītu svārstošo īso izkārtojumu, īpaši pēc likviditātes izsistumiem un atteikšanās signāliem.

Lejupvēršu Paplašināšanas Mērķi

Ja BTC neizdodas atgūt struktūru un reaģē lāču virzienā no iepriekšminētajām zonām, tirgus atver ceļu uz $54k–$64k diapazonu, kas sakrīt ar:
• Nepieciešamā augstāka laika posma pieprasījuma
• Iepriekšējo uzkrāšanas diapazonu
• Galveno likviditāti, kas atrodas zem tirgus

Šī zona pārstāv potenciālu makro reakcijas teritoriju, nevis tūlītēju atsitiena garantiju.

Izpildes Fokuss
• Gaidiet likviditātes izsistumus pie pretestības
• Meklējiet pārvietošanu + atteikšanos
• Iegādājieties tikai pēc apstiprinājuma, nevis gaidīšanas

Kopsavilkums
• Noskaņa: Lāču
• Īsie darījumi vēlami pie $82k–$84k un $90k
• Mērķa diapazons: $54k–$64k
• Bullish tikai pēc skaidras struktūras maiņas

📉 Struktūra vada. Stratēģija seko. Disciplīna izdzīvo.
#TrumpProCrypto #btc #MarketCorrection #bitcoin #trade
$BTC
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Most mistakes happen when short-term execution ignores higher-timeframe structure
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