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Leverage: Cross 10X Reason: Above the recent resistance and swing high. Use a trailing stop once the trade moves into profit.
MANAGEMENT • Use only 1%–2% of your account as margin. • TP1 → Close 25%, move SL to breakeven. • TP2 → Close 25%. • TP3 → Close 25%. • TP4 → Trail the remaining position until stopped out. • SL hit → Full exit, no averaging.
Reason: Below the recent liquidity zone and key structural support. A sustained break below 1.35 invalidates the bullish thesis and increases the probability of a move toward 1.25–1.30.
STRUCTURAL READ • Structure: 1H market structure remains bearish with lower highs after distribution from 1.84. Current long is a counter-trend setup. • Liquidity: Sell-side liquidity is likely below 1.40–1.35 before any meaningful reversal. Buy-side liquidity rests around 1.60–1.65. • Zone: Stronger demand exists around 1.32–1.36. Current entry at 1.45 is not located at an ideal demand zone. • Volume: Declining participation suggests weakening buying interest. • Momentum: RSI is oversold (~24), but oversold conditions alone do not confirm a reversal.
MANAGEMENT • Use only 0.25%–0.5% of your account as margin due to the lower-quality setup. • TP1 → Close 20%, move SL to breakeven. • TP2 → Close 20%. • TP3 → Close 20%. • TP4 → Close 20%. • TP5 → Trail the remaining position until stopped out. • SL hit → Full exit, no averaging.
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Dr Signal
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බෙයාරිෂ්
$ARPA 🔻 Bearish Move Expected
Leverage: Cross 50X
Entry 1: 0.0110 — Limit Order Entry 2: 0.0112 — Limit Order
STOP LOSS: 0.0114 Reason: Above the recent resistance and entry zone, invalidating the bearish continuation setup.
MANAGEMENT • Use only 1%–2% of your account as margin. • TP1 → Close 20%, move SL to breakeven. • TP2 → Close 20%. • TP3 → Close 20%. • TP4 → Close 20%. • TP5 → Trail the remaining position until stopped out. • SL hit → Full exit, no averaging.
STOP LOSS: 0.0114 Reason: Above the recent resistance and entry zone, invalidating the bearish continuation setup.
MANAGEMENT • Use only 1%–2% of your account as margin. • TP1 → Close 20%, move SL to breakeven. • TP2 → Close 20%. • TP3 → Close 20%. • TP4 → Close 20%. • TP5 → Trail the remaining position until stopped out. • SL hit → Full exit, no averaging.
• Structure: Clean lower highs and lower lows with a strong impulsive bearish move still intact. • Liquidity: Sell-side liquidity below 0.07129 has already been swept; a relief bounce into supply is likely before continuation. • Zone: 0.07550–0.07620 is the previous intraday breakdown area and strongest shorting zone. • Momentum: Trend remains bearish, but RSI(6) is around 16, signaling an extremely oversold market and increasing bounce probability. • Volume: Elevated selling volume confirms strong bearish participation, though recent candles show slight tapering.
Confluence Count: 3.5/6 Risks: Extremely oversold conditions, no higher-timeframe confirmation (15m/1H), and no Open Interest/Funding data available.
── INVALIDATION ── A sustained 1m close above 0.08350–0.08360 invalidates the bearish setup and increases the probability of a deeper recovery.
── MANAGEMENT ── TP1 → Close 30%, move SL to breakeven. TP2 → Close 40%. TP3 → Trail the remaining position. If entry triggers without a strong rejection candle, exit early rather than forcing the trade.
Leverage Note: 10x cross leverage is highly aggressive for this C-grade setup. Reduce position size so total account risk remains ≤1%.
• Structure: Clear higher low formed at 0.07012 → bullish 1H market structure shift. Currently printing higher highs & higher lows. • Liquidity: Sell-side liquidity taken below 0.072 and 0.070; upside liquidity rests above 0.0798 and 0.0860. • Zone: 0.0745–0.0755 = 1H demand / impulsive origin candle. Clean reaction area. • Volume: Expansion on bounce from 0.070 shows genuine participation. Current volume neutral — no climax yet. • RSI(6): Around 51 — mid-range, room to expand upward.
Confluence count: 4 Risks: Overhead supply 0.0798–0.0810; no HTF (4H/D) context visible; no OI/funding shown.
── INVALIDATION ── A 1H close below 0.0700 completely invalidates bullish structure → opens path to 0.066–0.064.
── MANAGEMENT ── TP1 → Close 30%, move SL to breakeven TP2 → Close 40% TP3 → Trail remainder under 1H higher lows SL hit → Exit fully, no averaging down
Leverage note: 20x–50x cross is aggressive for a B-grade setup. If using leverage, reduce position so true account risk ≤1%.
STRUCTURAL READ • Structure: 4H trend remains bullish with higher lows since 0.1509, but short-term price action is a corrective pullback after a climax top. • Liquidity: Buy-side liquidity at 0.2325 was swept. Price is likely seeking sell-side liquidity below 0.182 before continuation. • Zone: Strong 4H imbalance between 0.176–0.185 provides the preferred discount entry area. • Volume: Climactic buying volume at the top followed by elevated selling volume, but no confirmed absorption yet. • Momentum: 4H RSI around 30–35, approaching oversold but without a confirmed bullish reversal.
MANAGEMENT TP1 → Close 30%, move SL to breakeven. TP2 → Close 40%. TP3 → Close the remaining position. If price rejects strongly before reaching the entry zone, wait and do not chase.
MANAGEMENT • Risk only 1%–2% of your account per trade. • TP1 → Close 25%, move SL to breakeven. • TP2 → Close 25%. • TP3 → Close 25%. • TP4 → Let the remaining position run with a trailing stop. • SL hit → Full exit, no averaging.
STRUCTURAL READ • Structure: Clear 4H bearish trend with multiple lower highs and lower lows. Long setup is valid only after a confirmed Market Structure Shift (MSS). • Liquidity: Equal lows around 0.07545 have been swept. Major buy-side liquidity rests above 0.0820–0.0830. • Zone: Preferred long only after reclaiming 0.07820 and retesting 0.07750–0.07800. Current price has no confirmed bullish order block. • Volume: No strong capitulation or absorption volume yet; selling pressure remains persistent. • Momentum: RSI is deeply oversold (~17–22), but oversold alone is not a valid buy signal.
MANAGEMENT TP1 → Close 30%, move SL to breakeven. TP2 → Close 40%. TP3 → Close the remaining position. SL hit → Full exit, no averaging.
STRUCTURAL READ • Structure: 4H trend remains bullish with higher lows since 0.1509, but short-term price action is a corrective pullback after a climax top. • Liquidity: Buy-side liquidity at 0.2325 was swept. Price is likely seeking sell-side liquidity below 0.182 before continuation. • Zone: Strong 4H imbalance between 0.176–0.185 provides the preferred discount entry area. • Volume: Climactic buying volume at the top followed by elevated selling volume, but no confirmed absorption yet. • Momentum: 4H RSI around 30–35, approaching oversold but without a confirmed bullish reversal.
MANAGEMENT TP1 → Close 30%, move SL to breakeven. TP2 → Close 40%. TP3 → Close the remaining position. If price rejects strongly before reaching the entry zone, wait and do not chase.
STOP LOSS: 0.04590 Reason: Below breakout base structure & invalidation of impulse leg
Risk:Reward: ~1:2.5 to 1:4 depending on entry
STRUCTURAL READ • Structure: Clear 15m BOS to upside after accumulation base at 0.0415. • Liquidity: Buy-side liquidity swept at 0.05440 → short-term pullback probable. • Zone: Large bullish imbalance left between 0.047–0.049. • Volume: Expansion volume confirms real breakout, not low-liquidity spike. • Momentum: RSI overheated → cooling phase likely.
MANAGEMENT TP1 → Close 30%, move SL to breakeven. TP2 → Close 40%. TP3 → Trail remainder under 15m higher lows. SL hit → Full exit, no averaging. #POWR/USDT