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#futurestrading

futurestrading

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18,454 සාකච්ඡා කරමින්
JoseZuletAaA
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උසබ තත්ත්වය
🚦 SEÑAL DE TRADING — $BTC / USDT 📈 Dirección: LONG (Largo) Zona de Entrada: $76,200 – $76,800 Apalancamiento: 5x a 25x Take Profit 1: $77,740 Take Profit 2: $78,590 Take Profit 3: $79,500 Stop Loss: $75,500 📊 Fundamento Técnico: Barrido de liquidez por debajo del soporte de $76,885.18 con el indicador RCI en sobreventa (-59.69). La reconquista de los $76.8K activará un apretón de cortos hacia la zona de medias móviles ($77,740 - $78,195). 👇 ¡Abre tu orden directamente en el widget de abajo y asegura tu entrada! #bitcoin #BTC #CryptoSignals #Binance #FuturesTrading {spot}(BTCUSDT)
🚦 SEÑAL DE TRADING — $BTC / USDT 📈
Dirección: LONG (Largo)
Zona de Entrada: $76,200 – $76,800
Apalancamiento: 5x a 25x
Take Profit 1: $77,740
Take Profit 2: $78,590
Take Profit 3: $79,500
Stop Loss: $75,500
📊 Fundamento Técnico:
Barrido de liquidez por debajo del soporte de $76,885.18 con el indicador RCI en sobreventa (-59.69). La reconquista de los $76.8K activará un apretón de cortos hacia la zona de medias móviles ($77,740 - $78,195).
👇 ¡Abre tu orden directamente en el widget de abajo y asegura tu entrada!
#bitcoin #BTC #CryptoSignals #Binance #FuturesTrading
$FIL – LARGO 0.7658 TP1: 0.7773 TP2: 0.7888 TP3: 0.8041 SL: 0.7505 Noticias: "Aumento relevante en el volumen de contratos derivados de FIL." ¿Por qué esta configuración?: Configuración en largo debido a la presión de compra en temporalidades menores y al impulso generado por la noticia: 'Aumento relevante en el volumen de contratos derivados de FIL.'. #FuturesTrading #$FIL
$FIL – LARGO
0.7658
TP1: 0.7773
TP2: 0.7888
TP3: 0.8041
SL: 0.7505

Noticias:
"Aumento relevante en el volumen de contratos derivados de FIL."

¿Por qué esta configuración?: Configuración en largo debido a la presión de compra en temporalidades menores y al impulso generado por la noticia: 'Aumento relevante en el volumen de contratos derivados de FIL.'.

#FuturesTrading #$FIL
Everyone thinks high-leverage futures trading is a fast track to quick wealth, but actually, it is often just an express lane to wiping out your entire account. Most traders keep holding onto losing positions hoping for a miracle bounce, watching unrealized losses spiral until liquidation hits. It feels like staying in a burning building just because you like the furniture. When you open an aggressive long without an exit plan, the market will teach you a harsh lesson. Just look at a recent top trader tracking board where an open long position on $BTR plummeted by 29.50% in a single day, racking up over 10,646 USDT in floating losses. That is the reality of trading $USDT perpetuals without disciplined risk controls. Think of leverage like driving a sports car on ice. If you do not tap the brakes when it starts sliding, pressing the gas harder will only guarantee a crash. Managing risk on high-volatility pairs like $BTC and mid-caps is the only way to survive long enough to win. How do you usually handle your stop losses when a trade moves against you fast? #CryptoTrading #FuturesTrading #RiskManagement
Everyone thinks high-leverage futures trading is a fast track to quick wealth, but actually, it is often just an express lane to wiping out your entire account.

Most traders keep holding onto losing positions hoping for a miracle bounce, watching unrealized losses spiral until liquidation hits. It feels like staying in a burning building just because you like the furniture.

When you open an aggressive long without an exit plan, the market will teach you a harsh lesson. Just look at a recent top trader tracking board where an open long position on $BTR plummeted by 29.50% in a single day, racking up over 10,646 USDT in floating losses. That is the reality of trading $USDT perpetuals without disciplined risk controls.

Think of leverage like driving a sports car on ice. If you do not tap the brakes when it starts sliding, pressing the gas harder will only guarantee a crash. Managing risk on high-volatility pairs like $BTC and mid-caps is the only way to survive long enough to win.

How do you usually handle your stop losses when a trade moves against you fast?

#CryptoTrading #FuturesTrading #RiskManagement
Have you noticed how most retail traders treat leverage like a lottery ticket instead of a risk management tool? Watching an open position bleed into the red while refusing to cut losses is the single fastest way to blow up your account. Most traders freeze when a trade turns against them, hoping for a miraculous bounce rather than executing an invalidation level. Take a look at the recent liquidations on volatile mid-caps like $BTR. Holding an open long deep underwater down -29.50% with an unrealized loss exceeding -10,646 USDT is not diamond hands, it is pure liquidation gambling. When volatility spikes across pairs like $BTC and higher-beta altcoins like $SOL, market makers will ruthlessly hunt those overleveraged positions. If you want to survive these market conditions, you need a rule-based execution plan. First, determine your maximum acceptable loss before entering any futures order, not after the drawdown begins. Second, hardcode a stop-loss that caps risk at 1-2% of total equity so a single bad trade cannot wipe out weeks of gains. Finally, size down significantly when trading low-liquidity perps because slippage will crush you on the exit. How do you handle your risk parameters when a high-beta trade starts going against you? #FuturesTrading #RiskManagement #CryptoTrading
Have you noticed how most retail traders treat leverage like a lottery ticket instead of a risk management tool?

Watching an open position bleed into the red while refusing to cut losses is the single fastest way to blow up your account. Most traders freeze when a trade turns against them, hoping for a miraculous bounce rather than executing an invalidation level.

Take a look at the recent liquidations on volatile mid-caps like $BTR . Holding an open long deep underwater down -29.50% with an unrealized loss exceeding -10,646 USDT is not diamond hands, it is pure liquidation gambling. When volatility spikes across pairs like $BTC and higher-beta altcoins like $SOL , market makers will ruthlessly hunt those overleveraged positions.

If you want to survive these market conditions, you need a rule-based execution plan. First, determine your maximum acceptable loss before entering any futures order, not after the drawdown begins. Second, hardcode a stop-loss that caps risk at 1-2% of total equity so a single bad trade cannot wipe out weeks of gains. Finally, size down significantly when trading low-liquidity perps because slippage will crush you on the exit.

How do you handle your risk parameters when a high-beta trade starts going against you?

#FuturesTrading #RiskManagement #CryptoTrading
Picture this: a trader watches their screen in disbelief as an opening long position quickly bleeds out over ten thousand dollars in just a single day. Most traders know the brutal sting of holding onto a falling knife, hoping for a bounce while unrealized losses mount. When momentum flips on leveraged trades, the gap between managing risk and watching your portfolio evaporate comes down to seconds. We just saw a live example with $BTR futures, where a single long position racked up an unrealized loss of -$10,646.79 USDT, down -29.50% within 24 hours. It immediately brings back memories of similar sudden pullbacks on high-volatility tokens like $PEPE and $ENA when leverage gets overextended. When sentiment turns sharply, even high-ranking daily PnL positions can flip into liquidation traps before traders can react. What is your rule for cutting a leveraged trade when a breakout moves against you? #FuturesTrading #RiskManagement #CryptoTrading
Picture this: a trader watches their screen in disbelief as an opening long position quickly bleeds out over ten thousand dollars in just a single day.

Most traders know the brutal sting of holding onto a falling knife, hoping for a bounce while unrealized losses mount. When momentum flips on leveraged trades, the gap between managing risk and watching your portfolio evaporate comes down to seconds.

We just saw a live example with $BTR futures, where a single long position racked up an unrealized loss of -$10,646.79 USDT, down -29.50% within 24 hours. It immediately brings back memories of similar sudden pullbacks on high-volatility tokens like $PEPE and $ENA when leverage gets overextended. When sentiment turns sharply, even high-ranking daily PnL positions can flip into liquidation traps before traders can react.

What is your rule for cutting a leveraged trade when a breakout moves against you?

#FuturesTrading #RiskManagement #CryptoTrading
Picture this: a trader ranked in the top 9 for annual futures performance suddenly watching a position bleed over $10,800 in unrealized losses within hours. Most traders believe a proven track record protects them from catastrophic drawdowns, but leverage does not respect past win rates. The psychological trap of holding a losing trade and hoping for a bounce often turns a routine loss into an account-threatening event. Here is what went wrong with the recent $BTR long position. Even with the underlying asset showing a relatively modest drop of 6.76%, heavy position sizing against $USDT magnified the downside immediately. High-leverage perp trades leave almost zero room for error when momentum stalls, turning disciplined execution into an emotional plea for a reversal. When market conditions shift, even seasoned accounts get trapped if risk limits are ignored in favor of averaging down on tokens like $BTC or high-beta altcoins. Survival in derivatives comes down to cutting losing setups early, not hoping the market bails you out. Where do you draw the hard line between giving a trade room to breathe and simply admitting you were wrong? #CryptoTrading #RiskManagement #FuturesTrading
Picture this: a trader ranked in the top 9 for annual futures performance suddenly watching a position bleed over $10,800 in unrealized losses within hours.

Most traders believe a proven track record protects them from catastrophic drawdowns, but leverage does not respect past win rates. The psychological trap of holding a losing trade and hoping for a bounce often turns a routine loss into an account-threatening event.

Here is what went wrong with the recent $BTR long position. Even with the underlying asset showing a relatively modest drop of 6.76%, heavy position sizing against $USDT magnified the downside immediately. High-leverage perp trades leave almost zero room for error when momentum stalls, turning disciplined execution into an emotional plea for a reversal.

When market conditions shift, even seasoned accounts get trapped if risk limits are ignored in favor of averaging down on tokens like $BTC or high-beta altcoins. Survival in derivatives comes down to cutting losing setups early, not hoping the market bails you out.

Where do you draw the hard line between giving a trade room to breathe and simply admitting you were wrong?

#CryptoTrading #RiskManagement #FuturesTrading
Even top ranked traders with strong yearly track records can get completely trapped when leverage goes against them. Most people assume following profitable accounts guarantees safe plays, but holding underwater positions often turns manageable swings into deep drawdown spirals. When you refuse to cut a losing trade early, unrealized loss quickly eats away months of gains while margin pressure builds up. Take a look at this recent position on $BTR perp where an open long is sitting on an unrealized loss of over -10,807 USDT after just a 6.76% dip. When trading pairs like $BTRUSDT or volatile setups like $BTC with high leverage, small market corrections can instantly paralyze your capital and leave you begging for a bounce that might never come. Risk management always beats high win rates in the long run because a single unhedged mistake can wipe out an entire portfolio. How do you usually handle your stop loss when a high conviction trade starts bleeding against you? #CryptoTrading #RiskManagement #FuturesTrading
Even top ranked traders with strong yearly track records can get completely trapped when leverage goes against them.

Most people assume following profitable accounts guarantees safe plays, but holding underwater positions often turns manageable swings into deep drawdown spirals. When you refuse to cut a losing trade early, unrealized loss quickly eats away months of gains while margin pressure builds up.

Take a look at this recent position on $BTR perp where an open long is sitting on an unrealized loss of over -10,807 USDT after just a 6.76% dip. When trading pairs like $BTRUSDT or volatile setups like $BTC with high leverage, small market corrections can instantly paralyze your capital and leave you begging for a bounce that might never come.

Risk management always beats high win rates in the long run because a single unhedged mistake can wipe out an entire portfolio.

How do you usually handle your stop loss when a high conviction trade starts bleeding against you?

#CryptoTrading #RiskManagement #FuturesTrading
$CVX – CORTO 2.4380 TP1: 2.4014 TP2: 2.3649 TP3: 2.3161 SL: 2.4868 Noticias: "Aumento relevante en el volumen de contratos derivados de CVX." ¿Por qué esta configuración?: Configuración en corto ante el rechazo en resistencia y el impacto del titular: 'Aumento relevante en el volumen de contratos derivados de CVX.'. #FuturesTrading #$CVX
$CVX – CORTO
2.4380
TP1: 2.4014
TP2: 2.3649
TP3: 2.3161
SL: 2.4868

Noticias:
"Aumento relevante en el volumen de contratos derivados de CVX."

¿Por qué esta configuración?: Configuración en corto ante el rechazo en resistencia y el impacto del titular: 'Aumento relevante en el volumen de contratos derivados de CVX.'.

#FuturesTrading #$CVX
$MRNA – CORTO 153.3200 TP1: 151.0202 TP2: 148.7204 TP3: 145.6540 SL: 156.3864 Noticias: "Aumento relevante en el volumen de contratos derivados de MRNA." ¿Por qué esta configuración?: Configuración en corto ante el rechazo en resistencia y el impacto del titular: 'Aumento relevante en el volumen de contratos derivados de MRNA.'. #FuturesTrading #$MRNA
$MRNA – CORTO
153.3200
TP1: 151.0202
TP2: 148.7204
TP3: 145.6540
SL: 156.3864

Noticias:
"Aumento relevante en el volumen de contratos derivados de MRNA."

¿Por qué esta configuración?: Configuración en corto ante el rechazo en resistencia y el impacto del titular: 'Aumento relevante en el volumen de contratos derivados de MRNA.'.

#FuturesTrading #$MRNA
$ACE – CORTO 0.2036 TP1: 0.2006 TP2: 0.1975 TP3: 0.1934 SL: 0.2077 Noticias: "Aumento relevante en el volumen de contratos derivados de ACE." ¿Por qué esta configuración?: Configuración en corto ante el rechazo en resistencia y el impacto del titular: 'Aumento relevante en el volumen de contratos derivados de ACE.'. #FuturesTrading #$ACE
$ACE – CORTO
0.2036
TP1: 0.2006
TP2: 0.1975
TP3: 0.1934
SL: 0.2077

Noticias:
"Aumento relevante en el volumen de contratos derivados de ACE."

¿Por qué esta configuración?: Configuración en corto ante el rechazo en resistencia y el impacto del titular: 'Aumento relevante en el volumen de contratos derivados de ACE.'.

#FuturesTrading #$ACE
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උසබ තත්ත්වය
KathalGs:
Profit 🫵
$CRV – CORTO 0.3678 TP1: 0.3623 TP2: 0.3568 TP3: 0.3494 SL: 0.3752 Noticias: "Aumento relevante en el volumen de contratos derivados de CRV." ¿Por qué esta configuración?: Configuración en corto ante el rechazo en resistencia y el impacto del titular: 'Aumento relevante en el volumen de contratos derivados de CRV.'. #FuturesTrading #$CRV
$CRV – CORTO
0.3678
TP1: 0.3623
TP2: 0.3568
TP3: 0.3494
SL: 0.3752

Noticias:
"Aumento relevante en el volumen de contratos derivados de CRV."

¿Por qué esta configuración?: Configuración en corto ante el rechazo en resistencia y el impacto del titular: 'Aumento relevante en el volumen de contratos derivados de CRV.'.

#FuturesTrading #$CRV
$FF – CORTO 0.1012 TP1: 0.0997 TP2: 0.0982 TP3: 0.0961 SL: 0.1032 Noticias: "Aumento relevante en el volumen de contratos derivados de FF." ¿Por qué esta configuración?: Configuración en corto ante el rechazo en resistencia y el impacto del titular: 'Aumento relevante en el volumen de contratos derivados de FF.'. #FuturesTrading #$FF
$FF – CORTO
0.1012
TP1: 0.0997
TP2: 0.0982
TP3: 0.0961
SL: 0.1032

Noticias:
"Aumento relevante en el volumen de contratos derivados de FF."

¿Por qué esta configuración?: Configuración en corto ante el rechazo en resistencia y el impacto del titular: 'Aumento relevante en el volumen de contratos derivados de FF.'.

#FuturesTrading #$FF
$TUT Bajista 🔴 ALERTA DE MERCADO: $TUT / USDT $TUT entra en una zona defensiva clave cotizando en el rango de los $0,031 - $0,034 USDT. Tras la corrección de casi un 85% desde su máximo histórico ($0,29), la liquidez en contratos perpetuos empieza a testear el piso del movimiento. 📌 Puntos Clave: • Soporte crítico actual: $0,029 - $0,030 USDT (Zona de riesgo de liquidación para posiciones en Long). • Resistencia a recuperar: $0,037 - $0,045 USDT (Necesario para validar un cambio de estructura). • Próximo piso si rompe el soporte: $0,022 - $0,025 USDT. 💡 Lectura de mercado: Gran parte de la caída responde al cierre masivo de apalancamiento y toma de ganancias. Mientras no observemos mechas de absorción rápida sobre los $0,034+, los Shorts mantienen el control técnico del rango bajo. ¡Gestionen su riesgo con responsabilidad! 🛡️ #TUT #BinanceSquare #CryptoUpdate #FuturesTrading #CryptoAnalysis {future}(TUTUSDT)
$TUT Bajista 🔴
ALERTA DE MERCADO: $TUT / USDT

$TUT entra en una zona defensiva clave cotizando en el rango de los $0,031 - $0,034 USDT. Tras la corrección de casi un 85% desde su máximo histórico ($0,29), la liquidez en contratos perpetuos empieza a testear el piso del movimiento.
📌 Puntos Clave:

• Soporte crítico actual: $0,029 - $0,030 USDT (Zona de riesgo de liquidación para posiciones en Long).

• Resistencia a recuperar: $0,037 - $0,045 USDT (Necesario para validar un cambio de estructura).

• Próximo piso si rompe el soporte: $0,022 - $0,025 USDT.

💡 Lectura de mercado: Gran parte de la caída responde al cierre masivo de apalancamiento y toma de ganancias. Mientras no observemos mechas de absorción rápida sobre los $0,034+, los Shorts mantienen el control técnico del rango bajo.
¡Gestionen su riesgo con responsabilidad! 🛡️
#TUT #BinanceSquare #CryptoUpdate #FuturesTrading #CryptoAnalysis
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බෙයාරිෂ්
🔻 Market Red Wave: Futures Top Losers Alert! 🔻 Heavy bleeding across the Futures market today, with top losers dropping rapidly: $CYS: -34.05% $牛来: -25.30% $TRIA: -20.42% $SKR: -19.04% $ZORA: -17.77% ⚠️ Trading Tip: High volatility ahead. Avoid FOMO and panic trading—always stick to your risk management strategy and use strict stop-losses. Are you catching the dip or staying on the sidelines? Drop your thoughts below! #BinanceSquare #CryptoMarket #FuturesTrading $CYS {future}(CYSUSDT) $牛来 {future}(牛来USDT) $TRIA {future}(TRIAUSDT)
🔻 Market Red Wave: Futures Top Losers Alert! 🔻
Heavy bleeding across the Futures market today, with top losers dropping rapidly:
$CYS : -34.05%
$牛来 : -25.30%
$TRIA : -20.42%
$SKR: -19.04%
$ZORA: -17.77%
⚠️ Trading Tip: High volatility ahead. Avoid FOMO and panic trading—always stick to your risk management strategy and use strict stop-losses.
Are you catching the dip or staying on the sidelines? Drop your thoughts below!
#BinanceSquare #CryptoMarket #FuturesTrading

$CYS

$牛来

$TRIA
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උසබ තත්ත්වය
$龙虾 🦞 龙虾/USDT PERP — MOMENTUM LONG 🚀 Current Price: 0.086166 1H Change: +3.51% 1H Range: 12.60% Market Structure: 🟢 Bullish Momentum This is the kind of setup where I would respect the momentum, but I would NOT blindly chase the candle. Price has pushed strongly from 0.076191 to 0.086681 and is closing very close to the session high — a sign that buyers are currently in control. 🎯 TRADE PLAN 🟢 Preferred LONG Entry: 0.08380 – 0.08530 If price pulls back into this area and holds, I would look for a bullish reaction before entering. 🚀 Breakout Entry: 0.08670+ A clean break above 0.086681, followed by confirmation/retest, would give the stronger momentum entry. 💰 PROFIT TARGETS TP1: 0.08950 TP2: 0.09300 TP3: 0.09800 Extended Target: 0.10500 🚀 🛑 STOP LOSS 0.08180 If price loses this area with a strong 1H candle, I would consider the bullish setup invalid. 🧠 HOW TRADE IT Best risk/reward: 0.0838–0.0853 pullback → bullish reaction → LONG 🟢 Best momentum play: 0.08668 breakout → retest → LONG 🚀 What avoid: ❌ Buying after a huge vertical candle without confirmation. ⚠️ Risk The 12.60% 1H range means volatility is extremely high. This can produce both massive upside candles and brutal pullbacks. I would keep leverage modest and risk only a small percentage of capital. Overall view: 🟢 Bullish | Momentum: 🔥🔥🔥 | Setup quality: 8/10 DYOR — this is a technical setup based on the data you provided, not a guaranteed signal. #FuturesTrading #BullishMomentum #Breakout #cryptosignals #TechnicalAnalysis
$龙虾 🦞 龙虾/USDT PERP — MOMENTUM LONG 🚀

Current Price: 0.086166
1H Change: +3.51%
1H Range: 12.60%
Market Structure: 🟢 Bullish Momentum

This is the kind of setup where I would respect the momentum, but I would NOT blindly chase the candle. Price has pushed strongly from 0.076191 to 0.086681 and is closing very close to the session high — a sign that buyers are currently in control.

🎯 TRADE PLAN

🟢 Preferred LONG Entry:
0.08380 – 0.08530

If price pulls back into this area and holds, I would look for a bullish reaction before entering.

🚀 Breakout Entry:
0.08670+

A clean break above 0.086681, followed by confirmation/retest, would give the stronger momentum entry.

💰 PROFIT TARGETS
TP1: 0.08950
TP2: 0.09300
TP3: 0.09800
Extended Target: 0.10500 🚀
🛑 STOP LOSS

0.08180

If price loses this area with a strong 1H candle, I would consider the bullish setup invalid.

🧠 HOW TRADE IT

Best risk/reward:
0.0838–0.0853 pullback → bullish reaction → LONG 🟢

Best momentum play:
0.08668 breakout → retest → LONG 🚀

What avoid:
❌ Buying after a huge vertical candle without confirmation.

⚠️ Risk

The 12.60% 1H range means volatility is extremely high. This can produce both massive upside candles and brutal pullbacks. I would keep leverage modest and risk only a small percentage of capital.

Overall view: 🟢 Bullish | Momentum: 🔥🔥🔥 | Setup quality: 8/10

DYOR — this is a technical setup based on the data you provided, not a guaranteed signal.

#FuturesTrading #BullishMomentum #Breakout #cryptosignals #TechnicalAnalysis
$ONG – LARGO 0.1102 TP1: 0.1119 TP2: 0.1135 TP3: 0.1157 SL: 0.1080 Noticias: "Aumento relevante en el volumen de contratos derivados de ONG." ¿Por qué esta configuración?: Configuración en largo debido a la presión de compra en temporalidades menores y al impulso generado por la noticia: 'Aumento relevante en el volumen de contratos derivados de ONG.'. #FuturesTrading #$ONG
$ONG – LARGO
0.1102
TP1: 0.1119
TP2: 0.1135
TP3: 0.1157
SL: 0.1080

Noticias:
"Aumento relevante en el volumen de contratos derivados de ONG."

¿Por qué esta configuración?: Configuración en largo debido a la presión de compra en temporalidades menores y al impulso generado por la noticia: 'Aumento relevante en el volumen de contratos derivados de ONG.'.

#FuturesTrading #$ONG
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බෙයාරිෂ්
$牛来 🔴 牛来/USDT PERP — BEARISH SHORT SETUP Current Price: 0.08173 1H Change: -1.94% Overall Move: -26.68% 🎯 SHORT PLAN Entry Zone: 0.0818 – 0.0835 Stop Loss: 0.0865 TP1: 0.0789 TP2: 0.0755 TP3: 0.0720 Leverage: 3–5x preferred Bias: 🔴 Strong Bearish Risk: High Volatility 🔥 Best Entry Do NOT blindly short at 0.0817. The cleaner setup is: 0.0825–0.0840 rejection → SHORT 🔴 Or: 0.07889 breakdown + volume → SHORT 🚨 ⚠️ Invalidation If price reclaims 0.0865 with a strong 1H close, I would consider this short setup invalid. High volatility warning: After a 26%+ decline, sharp short squeezes can happen. Keep leverage and position size under control. #cryptotrading #FuturesTrading #TechnicalAnalysis #cryptosignals #ShortSetup {future}(牛来USDT)
$牛来 🔴 牛来/USDT PERP — BEARISH SHORT SETUP

Current Price: 0.08173
1H Change: -1.94%
Overall Move: -26.68%

🎯 SHORT PLAN
Entry Zone: 0.0818 – 0.0835
Stop Loss: 0.0865
TP1: 0.0789
TP2: 0.0755
TP3: 0.0720
Leverage: 3–5x preferred
Bias: 🔴 Strong Bearish
Risk: High Volatility

🔥 Best Entry

Do NOT blindly short at 0.0817.

The cleaner setup is:

0.0825–0.0840 rejection → SHORT 🔴

Or:

0.07889 breakdown + volume → SHORT 🚨

⚠️ Invalidation

If price reclaims 0.0865 with a strong 1H close, I would consider this short setup invalid.

High volatility warning: After a 26%+ decline, sharp short squeezes can happen. Keep leverage and position size under control.

#cryptotrading #FuturesTrading #TechnicalAnalysis #cryptosignals #ShortSetup
$STAR – CORTO 0.1468 TP1: 0.1446 TP2: 0.1424 TP3: 0.1395 SL: 0.1497 Noticias: "Aumento relevante en el volumen de contratos derivados de STAR." ¿Por qué esta configuración?: Configuración en corto ante el rechazo en resistencia y el impacto del titular: 'Aumento relevante en el volumen de contratos derivados de STAR.'. #FuturesTrading #$STAR
$STAR – CORTO
0.1468
TP1: 0.1446
TP2: 0.1424
TP3: 0.1395
SL: 0.1497

Noticias:
"Aumento relevante en el volumen de contratos derivados de STAR."

¿Por qué esta configuración?: Configuración en corto ante el rechazo en resistencia y el impacto del titular: 'Aumento relevante en el volumen de contratos derivados de STAR.'.

#FuturesTrading #$STAR
$ARB – CORTO 0.1096 TP1: 0.1080 TP2: 0.1064 TP3: 0.1042 SL: 0.1118 Noticias: "Aumento relevante en el volumen de contratos derivados de ARB." ¿Por qué esta configuración?: Configuración en corto ante el rechazo en resistencia y el impacto del titular: 'Aumento relevante en el volumen de contratos derivados de ARB.'. #FuturesTrading #$ARB
$ARB – CORTO
0.1096
TP1: 0.1080
TP2: 0.1064
TP3: 0.1042
SL: 0.1118

Noticias:
"Aumento relevante en el volumen de contratos derivados de ARB."

¿Por qué esta configuración?: Configuración en corto ante el rechazo en resistencia y el impacto del titular: 'Aumento relevante en el volumen de contratos derivados de ARB.'.

#FuturesTrading #$ARB
තවත් අන්තර්ගතයන් ගවේෂණය කිරීමට ඇතුල් වන්න
Binance චතුරශ්‍රය හි ගෝලීය ක්‍රිප්ටෝ පරිශීලකයින් හා එක්වන්න
⚡️ ක්‍රිප්ටෝ පිළිබඳ නවතම සහ ප්‍රයෝජනවත් තොරතුරු ලබා ගන්න.
💬 ලොව විශාලතම ක්‍රිප්ටෝ හුවමාරුව මගින් විශ්වාස කෙරේ.
👍 සත්‍යායනය කරන ලද නිර්මාණකරුවන්ගෙන් සැබෑ විදසුන් සොයා ගන්න.
විද්‍යුත් තැපෑල / දුරකථන අංකය