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Wolong_BNB
7.5k ပို့စ်များ

Wolong_BNB

I am WOLONG, a Forex trader with 10 years experience. I build robust automated trading systems using CSharp, MQL, and APIs. 📈🤖
Frequent Trader
8 Years
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20 ဖော်လိုလုပ်သူများ
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ဘာသာပြန်ဆိုချက် ကြည့်မည်
$MARSCOIN is moving fast — this is where I would stop chasing and watch the reaction. What stands out here is that volume is running about 5.2x its recent pace, the 1H move is +9.17%, and open interest is up 8.6%. That gives the move real context instead of treating every candle as a signal. The current structure leans bullish, but higher-timeframe alignment is mixed. That makes confirmation at the next key level more important than the headline direction. The next test is around $0.13583. A clean hold above that area would strengthen continuation; rejection there would make a pullback more likely. Would you chase $MARSCOIN here, wait for the retest, or stay out? #MARSCOIN #Trading Trade plan: LONG Entry: $0.10027 SL: $0.08108 TP1: $0.13583 TP2: $0.13864 TP3: $0.15783
$MARSCOIN is moving fast — this is where I would stop chasing and watch the reaction.

What stands out here is that volume is running about 5.2x its recent pace, the 1H move is +9.17%, and open interest is up 8.6%. That gives the move real context instead of treating every candle as a signal.

The current structure leans bullish, but higher-timeframe alignment is mixed. That makes confirmation at the next key level more important than the headline direction.

The next test is around $0.13583. A clean hold above that area would strengthen continuation; rejection there would make a pullback more likely.

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

#MARSCOIN #Trading

Trade plan: LONG
Entry: $0.10027
SL: $0.08108
TP1: $0.13583
TP2: $0.13864
TP3: $0.15783
ဘာသာပြန်ဆိုချက် ကြည့်မည်
The structure on $RAYSOL has changed enough to put this setup on my watchlist. What stands out here is that volume is running about 2.5x its recent pace, the 1H move is +2.42%, and the last 15m is +2.15%. 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 $1.747. A clean hold above that area would strengthen continuation; rejection there would make a pullback more likely. How would you manage this $RAYSOL setup from here? #RAYSOL #Trading Trade plan: LONG Entry: $1.4116 SL: $1.1831 TP1: $1.747 TP2: $1.8686 TP3: $2.0971
The structure on $RAYSOL has changed enough to put this setup on my watchlist.

What stands out here is that volume is running about 2.5x its recent pace, the 1H move is +2.42%, and the last 15m is +2.15%. 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 $1.747. A clean hold above that area would strengthen continuation; rejection there would make a pullback more likely.

How would you manage this $RAYSOL setup from here?

#RAYSOL #Trading

Trade plan: LONG
Entry: $1.4116
SL: $1.1831
TP1: $1.747
TP2: $1.8686
TP3: $2.0971
ဘာသာပြန်ဆိုချက် ကြည့်မည်
$SYN just made a serious move. The next reaction matters more than the candle that got us here. What stands out here is that the 1H move is +13.72%, open interest is up 6.5%, and the last 15m is +5.45%. That gives the move real context instead of treating every candle as a signal. The current structure leans bullish, but higher-timeframe alignment is mixed. That makes confirmation at the next key level more important than the headline direction. The next test is around $0.1246. A clean hold above that area would strengthen continuation; rejection there would make a pullback more likely. Do you think $SYN has another leg left, or is this move already too stretched? #SYN #Trading Trade plan: LONG Entry: $0.1797 SL: $0.0763 TP1: $0.2831 TP2: $0.3865 TP3: $0.4899
$SYN just made a serious move. The next reaction matters more than the candle that got us here.

What stands out here is that the 1H move is +13.72%, open interest is up 6.5%, and the last 15m is +5.45%. That gives the move real context instead of treating every candle as a signal.

The current structure leans bullish, but higher-timeframe alignment is mixed. That makes confirmation at the next key level more important than the headline direction.

The next test is around $0.1246. A clean hold above that area would strengthen continuation; rejection there would make a pullback more likely.

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

#SYN #Trading

Trade plan: LONG
Entry: $0.1797
SL: $0.0763
TP1: $0.2831
TP2: $0.3865
TP3: $0.4899
ဘာသာပြန်ဆိုချက် ကြည့်မည်
Don't overlook $ONE here — momentum is strong, but the setup now depends on what price does next. What stands out here is that volume is running about 305.1x its recent pace, the 1H move is +38.84%, and open interest is up 41.2%. That gives the move real context instead of treating every candle as a signal. The current structure leans bullish, but higher-timeframe alignment is mixed. That makes confirmation at the next key level more important than the headline direction. The next test is around $0.00086. A clean hold above that area would strengthen continuation; rejection there would make a pullback more likely. Do you think $ONE has another leg left, or is this move already too stretched? #ONE #Trading Trade plan: LONG Entry: $0.0009183 SL: $0.0006169 TP1: $0.0012197 TP2: $0.0015211 TP3: $0.0018225
Don't overlook $ONE here — momentum is strong, but the setup now depends on what price does next.

What stands out here is that volume is running about 305.1x its recent pace, the 1H move is +38.84%, and open interest is up 41.2%. That gives the move real context instead of treating every candle as a signal.

The current structure leans bullish, but higher-timeframe alignment is mixed. That makes confirmation at the next key level more important than the headline direction.

The next test is around $0.00086. A clean hold above that area would strengthen continuation; rejection there would make a pullback more likely.

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

#ONE #Trading

Trade plan: LONG
Entry: $0.0009183
SL: $0.0006169
TP1: $0.0012197
TP2: $0.0015211
TP3: $0.0018225
ဘာသာပြန်ဆိုချက် ကြည့်မည်
$AIN has momentum, yet one timeframe is still pushing back against the move. What stands out here is that open interest is down 3.2%, the 1H move is -2.54%, and the last 15m is +1.12%. That gives the move real context instead of treating every candle as a signal. The 4h setup is bullish, but the broader multi-timeframe bias is still bearish. I would treat this as a tactical setup, not a clean trend trade. The next test is around $0.08086. A clean hold above that area would strengthen continuation; rejection there would make a pullback more likely. Would you trade the short-term setup on $AIN, or respect the higher-timeframe conflict? #AIN #Trading Trade plan: LONG Entry: $0.02339 SL: $0.02327 TP1: $0.08086 TP2: $0.08087 TP3: $0.08088
$AIN has momentum, yet one timeframe is still pushing back against the move.

What stands out here is that open interest is down 3.2%, the 1H move is -2.54%, and the last 15m is +1.12%. That gives the move real context instead of treating every candle as a signal.

The 4h setup is bullish, but the broader multi-timeframe bias is still bearish. I would treat this as a tactical setup, not a clean trend trade.

The next test is around $0.08086. A clean hold above that area would strengthen continuation; rejection there would make a pullback more likely.

Would you trade the short-term setup on $AIN , or respect the higher-timeframe conflict?

#AIN #Trading

Trade plan: LONG
Entry: $0.02339
SL: $0.02327
TP1: $0.08086
TP2: $0.08087
TP3: $0.08088
ဘာသာပြန်ဆိုချက် ကြည့်မည်
$USDT is moving fast — this is where I would stop chasing and watch the reaction. What stands out here is that volume is running about 26.0x its recent pace, open interest is down 5.5%, and the 1H move is -4.55%. That gives the move real context instead of treating every candle as a signal. The next test is around $0.16483. A clean hold above that area would strengthen continuation; rejection there would make a pullback more likely. Do you think $USDT has another leg left, or is this move already too stretched? #USDT #Trading Trade plan: LONG Entry: $0.09495 SL: $0.07092 TP1: $0.16483 TP2: $0.16484 TP3: $0.16703
$USDT is moving fast — this is where I would stop chasing and watch the reaction.

What stands out here is that volume is running about 26.0x its recent pace, open interest is down 5.5%, and the 1H move is -4.55%. That gives the move real context instead of treating every candle as a signal.

The next test is around $0.16483. A clean hold above that area would strengthen continuation; rejection there would make a pullback more likely.

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

#USDT #Trading

Trade plan: LONG
Entry: $0.09495
SL: $0.07092
TP1: $0.16483
TP2: $0.16484
TP3: $0.16703
ဘာသာပြန်ဆိုချက် ကြည့်မည်
$SKYAI is giving a cleaner structural signal than it was a few candles ago. What stands out here is that the 1H move is -2.33% and the last 15m is -1.05%. That gives the move real context instead of treating every candle as a signal. The multi-timeframe read is leaning bullish, and the current 15m structure agrees. That keeps the advantage with buyers for now. The next test is around $0.05326. A clean hold above that area would strengthen continuation; rejection there would make a pullback more likely. Do you see the same structure on $SKYAI, or are you reading it differently? #SKYAI #Trading Trade plan: LONG Entry: $0.06013 SL: $0.05025 TP1: $0.07 TP2: $0.07988 TP3: $0.08975
$SKYAI is giving a cleaner structural signal than it was a few candles ago.

What stands out here is that the 1H move is -2.33% and the last 15m is -1.05%. That gives the move real context instead of treating every candle as a signal.

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

The next test is around $0.05326. A clean hold above that area would strengthen continuation; rejection there would make a pullback more likely.

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

#SKYAI #Trading

Trade plan: LONG
Entry: $0.06013
SL: $0.05025
TP1: $0.07
TP2: $0.07988
TP3: $0.08975
ဘာသာပြန်ဆိုချက် ကြည့်မည်
$BR is giving a cleaner structural signal than it was a few candles ago. Volatility is active enough to matter, but the move is not extreme. I would let structure decide the trade rather than chase raw momentum. How would you manage this $BR setup from here? #BR #Trading Trade plan: LONG Entry: $0.65336 SL: $0.20501 TP1: $1.1017 TP2: $1.55004 TP3: $1.99838
$BR is giving a cleaner structural signal than it was a few candles ago.

Volatility is active enough to matter, but the move is not extreme. I would let structure decide the trade rather than chase raw momentum.

How would you manage this $BR setup from here?

#BR #Trading

Trade plan: LONG
Entry: $0.65336
SL: $0.20501
TP1: $1.1017
TP2: $1.55004
TP3: $1.99838
ဘာသာပြန်ဆိုချက် ကြည့်မည်
$AKE just changed character — I would pay attention to this structure shift. What stands out here is that the last 15m is -1.56%. 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 $0.0093 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 see the same structure on $AKE, or are you reading it differently? #AKE #Trading Trade plan: SHORT Entry: $0.019026 SL: $0.019122 TP1: $0.0093 TP2: $0.009299 TP3: $0.009298
$AKE just changed character — I would pay attention to this structure shift.

What stands out here is that the last 15m is -1.56%. 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 $0.0093 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 see the same structure on $AKE , or are you reading it differently?

#AKE #Trading

Trade plan: SHORT
Entry: $0.019026
SL: $0.019122
TP1: $0.0093
TP2: $0.009299
TP3: $0.009298
ဘာသာပြန်ဆိုချက် ကြည့်မည်
The structure on $POWER has changed enough to put this setup on my watchlist. What stands out here is that the 1H move is +2.56%. That gives the move real context instead of treating every candle as a signal. The area around $0.07797 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 see the same structure on $POWER, or are you reading it differently? #POWER #Trading Trade plan: SHORT Entry: $0.13368 SL: $0.20904 TP1: $0.05832 TP2: $-0.01704 TP3: $-0.0924
The structure on $POWER has changed enough to put this setup on my watchlist.

What stands out here is that the 1H move is +2.56%. That gives the move real context instead of treating every candle as a signal.

The area around $0.07797 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 see the same structure on $POWER , or are you reading it differently?

#POWER #Trading

Trade plan: SHORT
Entry: $0.13368
SL: $0.20904
TP1: $0.05832
TP2: $-0.01704
TP3: $-0.0924
ဘာသာပြန်ဆိုချက် ကြည့်မည်
$LSK looks strong at first glance, but the higher-timeframe picture is not that simple. What stands out here is that open interest is down 3.9% and the last 15m is -3.29%. That gives the move real context instead of treating every candle as a signal. The 1h setup is bearish, but the broader multi-timeframe bias is still bullish. I would treat this as a tactical setup, not a clean trend trade. The area around $0.10403 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 trade the short-term setup on $LSK, or respect the higher-timeframe conflict? #LSK #Trading Trade plan: SHORT Entry: $0.70962 SL: $2.38236 TP1: $-0.96311 TP2: $-2.63584 TP3: $-4.30858
$LSK looks strong at first glance, but the higher-timeframe picture is not that simple.

What stands out here is that open interest is down 3.9% and the last 15m is -3.29%. That gives the move real context instead of treating every candle as a signal.

The 1h setup is bearish, but the broader multi-timeframe bias is still bullish. I would treat this as a tactical setup, not a clean trend trade.

The area around $0.10403 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 trade the short-term setup on $LSK , or respect the higher-timeframe conflict?

#LSK #Trading

Trade plan: SHORT
Entry: $0.70962
SL: $2.38236
TP1: $-0.96311
TP2: $-2.63584
TP3: $-4.30858
ဘာသာပြန်ဆိုချက် ကြည့်မည်
$ARB is giving a cleaner structural signal than it was a few candles ago. What stands out here is that the 1H move is +2.51% and the last 15m is +1.09%. That gives the move real context instead of treating every candle as a signal. The next test is around $0.1495. A clean hold above that area would strengthen continuation; rejection there would make a pullback more likely. How would you manage this $ARB setup from here? #ARB #Trading Trade plan: LONG Entry: $0.1648 SL: $0.07004 TP1: $0.25955 TP2: $0.3543 TP3: $0.44906
$ARB is giving a cleaner structural signal than it was a few candles ago.

What stands out here is that the 1H move is +2.51% and the last 15m is +1.09%. That gives the move real context instead of treating every candle as a signal.

The next test is around $0.1495. A clean hold above that area would strengthen continuation; rejection there would make a pullback more likely.

How would you manage this $ARB setup from here?

#ARB #Trading

Trade plan: LONG
Entry: $0.1648
SL: $0.07004
TP1: $0.25955
TP2: $0.3543
TP3: $0.44906
ဘာသာပြန်ဆိုချက် ကြည့်မည်
The structure on $SAGA has changed enough to put this setup on my watchlist. What stands out here is that open interest is up 3.2% and the last 15m is +1.37%. That gives the move real context instead of treating every candle as a signal. The multi-timeframe read is leaning bullish, and the current 15m structure agrees. That keeps the advantage with buyers for now. The next test is around $0.02544. A clean hold above that area would strengthen continuation; rejection there would make a pullback more likely. How would you manage this $SAGA setup from here? #SAGA #Trading Trade plan: LONG Entry: $0.02007 SL: $0.01772 TP1: $0.02544 TP2: $0.02545 TP3: $0.02712
The structure on $SAGA has changed enough to put this setup on my watchlist.

What stands out here is that open interest is up 3.2% and the last 15m is +1.37%. That gives the move real context instead of treating every candle as a signal.

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

The next test is around $0.02544. A clean hold above that area would strengthen continuation; rejection there would make a pullback more likely.

How would you manage this $SAGA setup from here?

#SAGA #Trading

Trade plan: LONG
Entry: $0.02007
SL: $0.01772
TP1: $0.02544
TP2: $0.02545
TP3: $0.02712
ဘာသာပြန်ဆိုချက် ကြည့်မည်
$HEI has momentum, yet one timeframe is still pushing back against the move. What stands out here is that open interest is up 6.8%, the 1H move is +4.94%, and volume is running about 1.7x its recent pace. That gives the move real context instead of treating every candle as a signal. The 15m setup is bullish, but the broader multi-timeframe bias is still bearish. I would treat this as a tactical setup, not a clean trend trade. The next test is around $0.11609. A clean hold above that area would strengthen continuation; rejection there would make a pullback more likely. Which timeframe are you trusting on $HEI here? #HEI #Trading Trade plan: LONG Entry: $0.14509 SL: $0.10556 TP1: $0.18461 TP2: $0.22413 TP3: $0.26365
$HEI has momentum, yet one timeframe is still pushing back against the move.

What stands out here is that open interest is up 6.8%, the 1H move is +4.94%, and volume is running about 1.7x its recent pace. That gives the move real context instead of treating every candle as a signal.

The 15m setup is bullish, but the broader multi-timeframe bias is still bearish. I would treat this as a tactical setup, not a clean trend trade.

The next test is around $0.11609. A clean hold above that area would strengthen continuation; rejection there would make a pullback more likely.

Which timeframe are you trusting on $HEI here?

#HEI #Trading

Trade plan: LONG
Entry: $0.14509
SL: $0.10556
TP1: $0.18461
TP2: $0.22413
TP3: $0.26365
ဘာသာပြန်ဆိုချက် ကြည့်မည်
$USDT just changed character — I would pay attention to this structure shift. What stands out here is that volume is running about 3.5x its recent pace, the 1H move is -4.46%, and open interest is down 4.5%. That gives the move real context instead of treating every candle as a signal. The next test is around $0.12511. A clean hold above that area would strengthen continuation; rejection there would make a pullback more likely. Do you see the same structure on $USDT, or are you reading it differently? #USDT #Trading Trade plan: LONG Entry: $0.10103 SL: $0.10052 TP1: $0.12511 TP2: $0.12512 TP3: $0.12513
$USDT just changed character — I would pay attention to this structure shift.

What stands out here is that volume is running about 3.5x its recent pace, the 1H move is -4.46%, and open interest is down 4.5%. That gives the move real context instead of treating every candle as a signal.

The next test is around $0.12511. A clean hold above that area would strengthen continuation; rejection there would make a pullback more likely.

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

#USDT #Trading

Trade plan: LONG
Entry: $0.10103
SL: $0.10052
TP1: $0.12511
TP2: $0.12512
TP3: $0.12513
ဘာသာပြန်ဆိုချက် ကြည့်မည်
$SOPH just changed character — I would pay attention to this structure shift. What stands out here is that volume is running about 2.5x its recent pace, the 1H move is -2.61%, and the last 15m is -1.45%. That gives the move real context instead of treating every candle as a signal. The area around $0.003269 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 see the same structure on $SOPH, or are you reading it differently? #SOPH #Trading Trade plan: SHORT Entry: $0.004013 SL: $0.012662 TP1: $-0.004636 TP2: $-0.013285 TP3: $-0.021934
$SOPH just changed character — I would pay attention to this structure shift.

What stands out here is that volume is running about 2.5x its recent pace, the 1H move is -2.61%, and the last 15m is -1.45%. That gives the move real context instead of treating every candle as a signal.

The area around $0.003269 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 see the same structure on $SOPH , or are you reading it differently?

#SOPH #Trading

Trade plan: SHORT
Entry: $0.004013
SL: $0.012662
TP1: $-0.004636
TP2: $-0.013285
TP3: $-0.021934
ဘာသာပြန်ဆိုချက် ကြည့်မည်
$AIN just changed character — I would pay attention to this structure shift. What stands out here is that the 1H move is +5.95%. That gives the move real context instead of treating every candle as a signal. The area around $0.019 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 $AIN, or wait for a cleaner entry? #AIN #Trading Trade plan: SHORT Entry: $0.02427 SL: $0.21806 TP1: $-0.16951 TP2: $-0.3633 TP3: $-0.55708
$AIN just changed character — I would pay attention to this structure shift.

What stands out here is that the 1H move is +5.95%. That gives the move real context instead of treating every candle as a signal.

The area around $0.019 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 $AIN , or wait for a cleaner entry?

#AIN #Trading

Trade plan: SHORT
Entry: $0.02427
SL: $0.21806
TP1: $-0.16951
TP2: $-0.3633
TP3: $-0.55708
ဘာသာပြန်ဆိုချက် ကြည့်မည်
$USDT just changed character — I would pay attention to this structure shift. What stands out here is that the 1H move is +2.19%, volume is running about 1.7x its recent pace, and the last 15m is +1.25%. That gives the move real context instead of treating every candle as a signal. The next test is around $0.020803. A clean hold above that area would strengthen continuation; rejection there would make a pullback more likely. Do you see the same structure on $USDT, or are you reading it differently? #USDT #Trading Trade plan: LONG Entry: $0.223371 SL: $0.005181 TP1: $0.44156 TP2: $0.659749 TP3: $0.877938
$USDT just changed character — I would pay attention to this structure shift.

What stands out here is that the 1H move is +2.19%, volume is running about 1.7x its recent pace, and the last 15m is +1.25%. That gives the move real context instead of treating every candle as a signal.

The next test is around $0.020803. A clean hold above that area would strengthen continuation; rejection there would make a pullback more likely.

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

#USDT #Trading

Trade plan: LONG
Entry: $0.223371
SL: $0.005181
TP1: $0.44156
TP2: $0.659749
TP3: $0.877938
ဘာသာပြန်ဆိုချက် ကြည့်မည်
$SKYAI is giving a cleaner structural signal than it was a few candles ago. What stands out here is that volume is running about 2.8x its recent pace, open interest is up 3.8%, and the last 15m is +2.47%. 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 $0.05367. A clean hold above that area would strengthen continuation; rejection there would make a pullback more likely. Would you take this LONG setup on $SKYAI, or wait for a cleaner entry? #SKYAI #Trading Trade plan: LONG Entry: $0.06157 SL: $0.04723 TP1: $0.07591 TP2: $0.09024 TP3: $0.10458
$SKYAI is giving a cleaner structural signal than it was a few candles ago.

What stands out here is that volume is running about 2.8x its recent pace, open interest is up 3.8%, and the last 15m is +2.47%. 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 $0.05367. A clean hold above that area would strengthen continuation; rejection there would make a pullback more likely.

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

#SKYAI #Trading

Trade plan: LONG
Entry: $0.06157
SL: $0.04723
TP1: $0.07591
TP2: $0.09024
TP3: $0.10458
ဘာသာပြန်ဆိုချက် ကြည့်မည်
$4 is giving a cleaner structural signal than it was a few candles ago. What stands out here is that the 1H move is -6.80%, open interest is down 6.0%, and the last 15m is -3.83%. That gives the move real context instead of treating every candle as a signal. The next test is around $0.035758. A clean hold above that area would strengthen continuation; rejection there would make a pullback more likely. Would you take this LONG setup on $4, or wait for a cleaner entry? #Trading Trade plan: LONG Entry: $0.020642 SL: $0.008739 TP1: $0.035758 TP2: $0.044448 TP3: $0.056351
$4 is giving a cleaner structural signal than it was a few candles ago.

What stands out here is that the 1H move is -6.80%, open interest is down 6.0%, and the last 15m is -3.83%. That gives the move real context instead of treating every candle as a signal.

The next test is around $0.035758. A clean hold above that area would strengthen continuation; rejection there would make a pullback more likely.

Would you take this LONG setup on $4, or wait for a cleaner entry?

#Trading

Trade plan: LONG
Entry: $0.020642
SL: $0.008739
TP1: $0.035758
TP2: $0.044448
TP3: $0.056351
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