🎯 HYPE/USDT Long Trading Strategy & Setup
📌 Market Context:
HYPE is coiling around 82.80 after a dip from its 86.792 peak. A strong 1H close back above the 83.50–83.80 moving average cluster is required for bullish resumption.
📝 Trade Execution & Entry Strategy:
• Primary Entry Zone (Optimal Dip): 81.500 – 82.500 (Retest near 24h low and horizontal support base)
• Aggressive Breakout Entry: 83.900 – 84.200 (Confirmation on a 1H candle close above dynamic MA20)
🚀 Profit Targets (TP Levels):
• TP1: 83.800 (Dynamic MA20 resistance — lock in partial profits)
• TP2: 85.700 (Intermediate swing high target)
• TP3: 86.700 (Retest of 24h High peak)
• TP4: 88.500 (Extended breakout expansion target)
🛡️ Risk Management & Stop Loss:
• Stop Loss (SL): 79.000 (Placed safely below the key macro floor at 79.470 to guard against false liquidity sweeps)
• Risk-to-Reward Ratio: ~ 1:2.2+ (Favorable asymmetry)
💡 Trading Management:
• Shift stop loss to Break-Even once price achieves TP1 and holds above 84.000.
• Maintain conservative leverage (recommended 3x – 5x) during short-term pullbacks. Safe trading!#QatarExtendsLNGForceMajeureByOneMonth #QatarExtendsLNGForceMajeureByOneMonth #TRONMainnetActivatesTVMPragueOsaka #SOLJumps20%OnTheWeek #WarshSaysInflationIsFedTopFocus $HYPE
📌 Market Context:
HYPE is coiling around 82.80 after a dip from its 86.792 peak. A strong 1H close back above the 83.50–83.80 moving average cluster is required for bullish resumption.
📝 Trade Execution & Entry Strategy:
• Primary Entry Zone (Optimal Dip): 81.500 – 82.500 (Retest near 24h low and horizontal support base)
• Aggressive Breakout Entry: 83.900 – 84.200 (Confirmation on a 1H candle close above dynamic MA20)
🚀 Profit Targets (TP Levels):
• TP1: 83.800 (Dynamic MA20 resistance — lock in partial profits)
• TP2: 85.700 (Intermediate swing high target)
• TP3: 86.700 (Retest of 24h High peak)
• TP4: 88.500 (Extended breakout expansion target)
🛡️ Risk Management & Stop Loss:
• Stop Loss (SL): 79.000 (Placed safely below the key macro floor at 79.470 to guard against false liquidity sweeps)
• Risk-to-Reward Ratio: ~ 1:2.2+ (Favorable asymmetry)
💡 Trading Management:
• Shift stop loss to Break-Even once price achieves TP1 and holds above 84.000.
• Maintain conservative leverage (recommended 3x – 5x) during short-term pullbacks. Safe trading!#QatarExtendsLNGForceMajeureByOneMonth #QatarExtendsLNGForceMajeureByOneMonth #TRONMainnetActivatesTVMPragueOsaka #SOLJumps20%OnTheWeek #WarshSaysInflationIsFedTopFocus $HYPE