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Bipin Nirala

Otvorený obchod
Príležitostný obchodník
Počet rokov: 1.9
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$C98 Follow For More {future}(C98USDT) Trading Setup 🟢 Setup 1: Buy the Pullback (Safer Entry) Entry Zone: $0.0280 – $0.0290 Stop Loss: $0.0255 Take Profit 1: $0.0330 Take Profit 2: $0.0355 Take Profit 3: $0.0380 Setup 2: Breakout Trade (Aggressive) If daily candle closes above $0.0355 Entry: $0.0360 Stop Loss: $0.0325 Target 1: $0.0400 Target 2: $0.0450
$C98 Follow For More
Trading Setup

🟢 Setup 1: Buy the Pullback (Safer Entry)
Entry Zone: $0.0280 – $0.0290
Stop Loss: $0.0255
Take Profit 1: $0.0330
Take Profit 2: $0.0355
Take Profit 3: $0.0380

Setup 2: Breakout Trade (Aggressive)
If daily candle closes above $0.0355
Entry: $0.0360
Stop Loss: $0.0325
Target 1: $0.0400
Target 2: $0.0450
$PUMP {spot}(PUMPUSDT) Trading Setups Setup 1: Range Support Long (Safer) Only if 0.00190–0.00200 holds. Entry: 0.00195–0.00200 Stop: Below 0.00185 Target 1: 0.00230 Target 2: 0.00250 This is a short-term bounce trade. Setup 2: Breakdown Short (Higher Probability If Weakness Continues) If daily closes below 0.00185: Entry: 0.00182–0.00185 Stop: 0.00200 Target 1: 0.00166 Target 2: 0.00155 Trend-following setup. Setup 3: Trend Reversal Long (Confirmation Needed) Only if: Strong daily close above 0.00250 Volume expansion Entry: 0.00255 breakout Stop: 0.00230 Target: 0.00290–0.00320 Without reclaiming 0.00250, upside is limited. Current Best Play? Right now price is mid-range → not at ideal entry. Better to: Wait for support test (0.00190) OR Wait for breakdown confirmation.
$PUMP
Trading Setups

Setup 1: Range Support Long (Safer)
Only if 0.00190–0.00200 holds.
Entry: 0.00195–0.00200
Stop: Below 0.00185
Target 1: 0.00230
Target 2: 0.00250
This is a short-term bounce trade.

Setup 2: Breakdown Short (Higher Probability If Weakness Continues)
If daily closes below 0.00185:
Entry: 0.00182–0.00185
Stop: 0.00200
Target 1: 0.00166
Target 2: 0.00155
Trend-following setup.

Setup 3: Trend Reversal Long (Confirmation Needed)
Only if:
Strong daily close above 0.00250
Volume expansion
Entry: 0.00255 breakout
Stop: 0.00230
Target: 0.00290–0.00320
Without reclaiming 0.00250, upside is limited.

Current Best Play?
Right now price is mid-range → not at ideal entry.
Better to:
Wait for support test (0.00190) OR
Wait for breakdown confirmation.
$NAORIS {future}(NAORISUSDT) Trading Setups Setup 1: Pullback Long (High Probability) Best play. Entry: 0.038–0.040 Stop: Below 0.034 Target 1: 0.050 Target 2: 0.060 Target 3: 0.064 retest R:R approx 1:3 or better. Setup 2: Exhaustion Short (Aggressive) Only if price shows: Bearish engulfing on 4H Or fails to hold above 0.048–0.050 Entry: 0.048–0.050 rejection Stop: 0.052–0.054 Target 1: 0.040 Target 2: 0.034 Counter-trend → reduce size. Best Strategy Right Now? Wait. After vertical expansion, market usually: Pulls back Or ranges before next move The highest probability trade is buying pullback into 0.038–0.040.
$NAORIS
Trading Setups

Setup 1: Pullback Long (High Probability)
Best play.
Entry: 0.038–0.040
Stop: Below 0.034
Target 1: 0.050
Target 2: 0.060
Target 3: 0.064 retest
R:R approx 1:3 or better.

Setup 2: Exhaustion Short (Aggressive)
Only if price shows:
Bearish engulfing on 4H
Or fails to hold above 0.048–0.050
Entry: 0.048–0.050 rejection
Stop: 0.052–0.054
Target 1: 0.040
Target 2: 0.034
Counter-trend → reduce size.

Best Strategy Right Now?
Wait.
After vertical expansion, market usually:
Pulls back
Or ranges before next move
The highest probability trade is buying pullback into 0.038–0.040.
$CYS {future}(CYSUSDT) Trading Setups Setup 1: Pullback Long (Safer Play) Best risk/reward option Entry: 0.42–0.45 Stop Loss: Below 0.39 Target 1: 0.56 Target 2: 0.65 (if breakout continuation) 👉 Wait for bullish confirmation (strong green candle / higher low on lower timeframe). Setup 2: Rejection Short (Aggressive) Only if price fails to reclaim 0.53–0.55. Entry: 0.52–0.55 rejection Stop Loss: Above 0.58 Target 1: 0.45 Target 2: 0.40 This is counter-trend — manage size carefully. Setup 3: Breakout Long If daily closes above 0.57 with strong volume: Entry: 0.58 breakout Stop: 0.52 Target: 0.68–0.72
$CYS

Trading Setups

Setup 1: Pullback Long (Safer Play)
Best risk/reward option
Entry: 0.42–0.45
Stop Loss: Below 0.39
Target 1: 0.56
Target 2: 0.65 (if breakout continuation)
👉 Wait for bullish confirmation (strong green candle / higher low on lower timeframe).

Setup 2: Rejection Short (Aggressive)
Only if price fails to reclaim 0.53–0.55.
Entry: 0.52–0.55 rejection
Stop Loss: Above 0.58
Target 1: 0.45
Target 2: 0.40
This is counter-trend — manage size carefully.

Setup 3: Breakout Long
If daily closes above 0.57 with strong volume:
Entry: 0.58 breakout
Stop: 0.52
Target: 0.68–0.72
$MIRA {future}(MIRAUSDT) Trading Setups ✅ Setup 1: Rejection Short (Higher Probability) If price rejects at 0.100–0.105 Entry: 0.100 rejection Stop: 0.108 Targets: 0.088 0.076 This aligns with macro trend. Setup 2: Breakdown Short If price loses 0.088 Entry: 0.087 breakdown Stop: 0.095 Targets: 0.075 0.069 Continuation of bearish structure.
$MIRA
Trading Setups

✅ Setup 1: Rejection Short (Higher Probability)
If price rejects at 0.100–0.105
Entry: 0.100 rejection
Stop: 0.108
Targets:
0.088
0.076
This aligns with macro trend.

Setup 2: Breakdown Short
If price loses 0.088
Entry: 0.087 breakdown
Stop: 0.095
Targets:
0.075
0.069
Continuation of bearish structure.
$JTO {spot}(JTOUSDT) Trading Setups Setup 1: Pullback Long (Safer) Entry: 0.285 – 0.295 Stop: 0.265 Targets: TP1: 0.35 TP2: 0.40 TP3: 0.48 R:R ≈ 1:2+ 👉 Best setup while price holds above 0.28 Setup 2: Breakout Long If daily closes above 0.37 Entry: 0.375 Stop: 0.33 Targets: 0.40 0.48 0.55 This would signal stronger reversal.
$JTO

Trading Setups

Setup 1: Pullback Long (Safer)
Entry: 0.285 – 0.295
Stop: 0.265
Targets:
TP1: 0.35
TP2: 0.40
TP3: 0.48
R:R ≈ 1:2+
👉 Best setup while price holds above 0.28

Setup 2: Breakout Long
If daily closes above 0.37
Entry: 0.375
Stop: 0.33
Targets:
0.40
0.48
0.55
This would signal stronger reversal.
$JELLYJELLY Trading Setups ✅ Setup 1: Breakout Continuation (Momentum Play) If daily closes above 0.083 Entry: 0.084 Stop: 0.074 Targets: TP1: 0.095 TP2: 0.104 TP3: 0.120 R:R ≈ 1:2 to 1:3 👉 Requires volume confirmation. Setup 2: Retest Long (Higher Probability) Wait for pullback into 0.063–0.066 Entry: 0.065 Stop: 0.057 Targets: 0.083 0.095 0.104 This is cleaner and safer.
$JELLYJELLY

Trading Setups

✅ Setup 1: Breakout Continuation (Momentum Play)
If daily closes above 0.083
Entry: 0.084
Stop: 0.074
Targets:
TP1: 0.095
TP2: 0.104
TP3: 0.120
R:R ≈ 1:2 to 1:3
👉 Requires volume confirmation.

Setup 2: Retest Long (Higher Probability)
Wait for pullback into 0.063–0.066
Entry: 0.065
Stop: 0.057
Targets:
0.083
0.095
0.104
This is cleaner and safer.
$GUN {spot}(GUNUSDT) Trading Setups ✅ Setup 1: Break & Hold Long (Best Setup) Wait for daily close above 0.0288 – 0.0290 Entry: 0.0292 Stop Loss: 0.0258 Targets: TP1: 0.0345 TP2: 0.0395 TP3: 0.044+ extension R:R approx 1:2 to 1:3.5 👉 Confirms continuation toward previous high. Setup 2: Pullback Long (Safer) If price retraces: Entry: 0.0235 – 0.0240 Stop: 0.0215 Targets: 0.0285 0.0345 👉 High probability zone based on structure.
$GUN
Trading Setups

✅ Setup 1: Break & Hold Long (Best Setup)
Wait for daily close above 0.0288 – 0.0290
Entry: 0.0292
Stop Loss: 0.0258
Targets:
TP1: 0.0345
TP2: 0.0395
TP3: 0.044+ extension
R:R approx 1:2 to 1:3.5
👉 Confirms continuation toward previous high.

Setup 2: Pullback Long (Safer)
If price retraces:
Entry: 0.0235 – 0.0240
Stop: 0.0215
Targets:
0.0285
0.0345
👉 High probability zone based on structure.
$GPS {spot}(GPSUSDT) Trading Setups ✅ Setup 1: Pullback Long (High Probability) Entry: 0.0120 – 0.0123 Stop Loss: 0.0108 Targets: TP1: 0.0168 TP2: 0.0185 TP3: 0.0200 R:R approx 1:3+ 👉 Best setup. Let price retrace to support. Setup 2: Breakout Long Only if daily candle closes above 0.0168 Entry: 0.0170 breakout Stop: 0.0148 Targets: 0.0185 0.020 0.022 👉 Momentum continuation play.
$GPS
Trading Setups

✅ Setup 1: Pullback Long (High Probability)
Entry: 0.0120 – 0.0123
Stop Loss: 0.0108
Targets:
TP1: 0.0168
TP2: 0.0185
TP3: 0.0200
R:R approx 1:3+
👉 Best setup. Let price retrace to support.

Setup 2: Breakout Long
Only if daily candle closes above 0.0168
Entry: 0.0170 breakout
Stop: 0.0148
Targets:
0.0185
0.020
0.022
👉 Momentum continuation play.
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Optimistický
$ASTER {spot}(ASTERUSDT) Trading Setups ✅ Setup 1: Pullback Long (Safer) Entry: 0.66 – 0.68 Stop Loss: 0.62 Targets: TP1: 0.75 TP2: 0.81 TP3: 0.95 Risk/Reward: ~1:2 to 1:4 👉 Best if price pulls back to MA25 and shows strong bounce. Setup 2: Breakout Long Only if daily candle closes above 0.80–0.82 Entry: 0.82 breakout Stop Loss: 0.74 Targets: TP1: 0.95 TP2: 1.05 TP3: 1.20 👉 Confirms reversal structure.
$ASTER
Trading Setups

✅ Setup 1: Pullback Long (Safer)
Entry: 0.66 – 0.68
Stop Loss: 0.62
Targets:
TP1: 0.75
TP2: 0.81
TP3: 0.95
Risk/Reward: ~1:2 to 1:4
👉 Best if price pulls back to MA25 and shows strong bounce.

Setup 2: Breakout Long
Only if daily candle closes above 0.80–0.82
Entry: 0.82 breakout
Stop Loss: 0.74
Targets:
TP1: 0.95
TP2: 1.05
TP3: 1.20
👉 Confirms reversal structure.
$SKY {spot}(SKYUSDT) Trading Setups ✅ Setup 1: Breakout Trade (Safer) Entry: Daily close above 0.072 Stop Loss: 0.066 Targets: TP1: 0.075 TP2: 0.080 TP3: 0.088 👉 Wait for strong volume confirmation. Setup 2: Pullback Long (Better R:R) Entry Zone: 0.060 – 0.062 Stop Loss: 0.056 Targets: TP1: 0.069 TP2: 0.072 TP3: 0.078 This gives better risk/reward if market dips.
$SKY
Trading Setups

✅ Setup 1: Breakout Trade (Safer)
Entry: Daily close above 0.072
Stop Loss: 0.066
Targets:
TP1: 0.075
TP2: 0.080
TP3: 0.088
👉 Wait for strong volume confirmation.

Setup 2: Pullback Long (Better R:R)
Entry Zone: 0.060 – 0.062
Stop Loss: 0.056
Targets:
TP1: 0.069
TP2: 0.072
TP3: 0.078
This gives better risk/reward if market dips.
$SHIB {spot}(SHIBUSDT) SHIB/USDT – 1D Chart Analysis & $10 Trading Setup $10 Spot Trading Setup 🔹 Safer Breakout Trade Entry: 0.0000069 (daily close above resistance) TP: 0.0000085 SL: 0.0000060 Dip Buy Setup (Better Risk/Reward) Entry Zone: 0.0000060 – 0.0000062 TP: 0.0000078 SL: 0.0000054 Logic: Buying near support where previous bounce started.
$SHIB
SHIB/USDT – 1D Chart Analysis & $10 Trading Setup

$10 Spot Trading Setup
🔹 Safer Breakout Trade
Entry: 0.0000069 (daily close above resistance)
TP: 0.0000085
SL: 0.0000060

Dip Buy Setup (Better Risk/Reward)
Entry Zone: 0.0000060 – 0.0000062
TP: 0.0000078
SL: 0.0000054
Logic: Buying near support where previous bounce started.
$CYBER {spot}(CYBERUSDT) CYBER/USDT – 1D Chart Analysis & $10 Trading Setup Trend: Short-term bullish bounce from 0.42 support, but still below MA(99) ≈ 0.743 → resistance nearby. Trading Setup (Budget: $10) 🔹 Option 1: Breakout Trade (Safer) Entry: 0.75 (after daily candle closes above 0.74) Take Profit (TP): 0.88 Stop Loss (SL): 0.64 Reason: Break above MA(99) confirms bullish continuation. Option 2: Dip Buy (Risky but Better RR) Entry: 0.62 – 0.65 zone TP: 0.85 SL: 0.54 Reason: Buy near strong support + pullback area.
$CYBER
CYBER/USDT – 1D Chart Analysis & $10 Trading Setup

Trend: Short-term bullish bounce from 0.42 support, but still below MA(99) ≈ 0.743 → resistance nearby.

Trading Setup (Budget: $10)

🔹 Option 1: Breakout Trade (Safer)
Entry: 0.75 (after daily candle closes above 0.74)
Take Profit (TP): 0.88
Stop Loss (SL): 0.64
Reason: Break above MA(99) confirms bullish continuation.

Option 2: Dip Buy (Risky but Better RR)
Entry: 0.62 – 0.65 zone
TP: 0.85
SL: 0.54
Reason: Buy near strong support + pullback area.
$PEPE {spot}(PEPEUSDT) PEPE/USDT (1D) Chart Analysis – Trading Setup Long Setup (Breakout Trade) Entry: Above 0.00000475 (daily candle close) Stop Loss: 0.00000405 Targets: TP1: 0.00000530 TP2: 0.00000650 TP3: 0.00000720 Short Setup (Rejection Trade) Entry: 0.00000465 – 0.00000475 rejection zone Stop Loss: 0.00000510 Targets: TP1: 0.00000405 TP2: 0.00000350 TP3: 0.00000310
$PEPE
PEPE/USDT (1D) Chart Analysis – Trading Setup

Long Setup (Breakout Trade)
Entry: Above 0.00000475 (daily candle close)
Stop Loss: 0.00000405
Targets:
TP1: 0.00000530
TP2: 0.00000650
TP3: 0.00000720

Short Setup (Rejection Trade)
Entry: 0.00000465 – 0.00000475 rejection zone
Stop Loss: 0.00000510
Targets:
TP1: 0.00000405
TP2: 0.00000350
TP3: 0.00000310
$PENGU {spot}(PENGUUSDT) Trade Setup 🔹 Buy (Breakout Setup) Entry: 0.0076 (daily close above resistance) TP1: 0.0088 TP2: 0.0100 – 0.0102 SL: 0.0066 Buy (Dip Accumulation) Entry Zone: 0.0068 – 0.0069 TP: 0.0079 / 0.0088 SL: 0.0059
$PENGU
Trade Setup

🔹 Buy (Breakout Setup)
Entry: 0.0076 (daily close above resistance)
TP1: 0.0088
TP2: 0.0100 – 0.0102
SL: 0.0066

Buy (Dip Accumulation)
Entry Zone: 0.0068 – 0.0069
TP: 0.0079 / 0.0088
SL: 0.0059
$BTC {spot}(BTCUSDT) BTC/USDT – 1D Chart Analysis & Trading Setup Trend: Bearish (lower highs + price below MA25 & MA99) Current Price: ~$68,150 Key Support: 65,000 → 60,000 Key Resistance: 70,500 → 74,500 Short (Sell) Setup – Trend Continuation Entry: 69,500 – 70,500 (retest of resistance zone) Stop Loss: 73,200 Take Profit: TP1: 65,000 TP2: 60,500 TP3: 58,000 (if panic sell) Long (Buy) Setup – Reversal Only if Breakout Entry: Daily close above 71,000 Stop Loss: 66,800 Take Profit: TP1: 74,500 TP2: 80,000
$BTC
BTC/USDT – 1D Chart Analysis & Trading Setup

Trend: Bearish (lower highs + price below MA25 & MA99)
Current Price: ~$68,150
Key Support: 65,000 → 60,000
Key Resistance: 70,500 → 74,500

Short (Sell) Setup – Trend Continuation
Entry: 69,500 – 70,500 (retest of resistance zone)
Stop Loss: 73,200
Take Profit:
TP1: 65,000
TP2: 60,500
TP3: 58,000 (if panic sell)

Long (Buy) Setup – Reversal Only if Breakout
Entry: Daily close above 71,000
Stop Loss: 66,800
Take Profit:
TP1: 74,500
TP2: 80,000
$LUNC {spot}(LUNCUSDT) Trading Setup 🟩 Long (Bounce Trade – Safer) Entry: 0.0000325 – 0.0000332 Stop Loss: 0.0000298 Targets: TP1: 0.0000365 TP2: 0.0000405 Final Setup (Long) Buy: 156,000 LUNC at 0.0000330 Stop Loss: 0.0000298 TP1: 0.0000365 → Profit ≈ $0.55 TP2: 0.0000405 → Profit ≈ $1.17
$LUNC
Trading Setup

🟩 Long (Bounce Trade – Safer)
Entry: 0.0000325 – 0.0000332
Stop Loss: 0.0000298
Targets:
TP1: 0.0000365
TP2: 0.0000405

Final Setup (Long)
Buy: 156,000 LUNC at 0.0000330
Stop Loss: 0.0000298
TP1: 0.0000365 → Profit ≈ $0.55
TP2: 0.0000405 → Profit ≈ $1.17
$TOSHI {future}(TOSHIUSDT) Trading Setups 🟢 Setup 1: Safe Buy (Pullback Entry) Entry: 0.000200 – 0.000205 Target 1: 0.000230 Target 2: 0.000260 Stop Loss: 0.000179 👉 Best if price retests support and holds. Setup 2: Breakout Buy (Aggressive) Entry: Daily close above 0.000235 Target 1: 0.000270 Target 2: 0.000320 Stop Loss: 0.000210 👉 Confirm breakout with volume. $10 Small Capital Plan Buy: $5 at 0.000205 Buy: $5 at breakout 0.000235 Hold till 0.00026–0.00032 zone
$TOSHI

Trading Setups

🟢 Setup 1: Safe Buy (Pullback Entry)
Entry: 0.000200 – 0.000205
Target 1: 0.000230
Target 2: 0.000260
Stop Loss: 0.000179
👉 Best if price retests support and holds.

Setup 2: Breakout Buy (Aggressive)

Entry: Daily close above 0.000235
Target 1: 0.000270
Target 2: 0.000320
Stop Loss: 0.000210
👉 Confirm breakout with volume.

$10 Small Capital Plan
Buy: $5 at 0.000205
Buy: $5 at breakout 0.000235
Hold till 0.00026–0.00032 zone
$PIPPIN {future}(PIPPINUSDT) Trading Setups 🟢 Long Setup (Safer Buy) Entry: 0.38 – 0.42 zone Stop Loss: 0.32 Targets: TP1: 0.50 TP2: 0.64 TP3: 0.75 👉 Reason: Pullback into support + uptrend intact Short Setup (Aggressive) Entry: Rejection near 0.50 – 0.52 Stop Loss: 0.58 Targets: TP1: 0.42 TP2: 0.33 TP3: 0.29 👉 Reason: Lower highs forming + correction after pump $10 Capital Example Buy: $5 at 0.42 Buy: $5 at 0.35 Average hold for swing pump
$PIPPIN
Trading Setups

🟢 Long Setup (Safer Buy)
Entry: 0.38 – 0.42 zone
Stop Loss: 0.32
Targets:
TP1: 0.50
TP2: 0.64
TP3: 0.75
👉 Reason: Pullback into support + uptrend intact

Short Setup (Aggressive)

Entry: Rejection near 0.50 – 0.52
Stop Loss: 0.58
Targets:
TP1: 0.42
TP2: 0.33
TP3: 0.29
👉 Reason: Lower highs forming + correction after pump

$10 Capital Example
Buy: $5 at 0.42
Buy: $5 at 0.35
Average hold for swing pump
$WIF {future}(WIFUSDT) Trading Setup Scenario 1: Short-Term Bounce Trade (Risky Counter-Trend) Entry: 0.215 – 0.220 Stop Loss: 0.198 TP1: 0.245 TP2: 0.252 👉 Only if price holds above 0.210 support. Scenario 2: Breakout Buy (Safer) Wait for daily close above 0.252 Entry: 0.255 Stop Loss: 0.230 TP1: 0.300 TP2: 0.326 $10 Spot Example If you buy $10 at 0.220 You get ≈ 45.45 WIF If price hits 0.252 → Value ≈ $11.45 If price drops to 0.198 → Value ≈ $9.00
$WIF
Trading Setup

Scenario 1: Short-Term Bounce Trade (Risky Counter-Trend)
Entry: 0.215 – 0.220
Stop Loss: 0.198
TP1: 0.245
TP2: 0.252
👉 Only if price holds above 0.210 support.

Scenario 2: Breakout Buy (Safer)
Wait for daily close above 0.252
Entry: 0.255
Stop Loss: 0.230
TP1: 0.300
TP2: 0.326

$10 Spot Example
If you buy $10 at 0.220
You get ≈ 45.45 WIF
If price hits 0.252 →
Value ≈ $11.45
If price drops to 0.198 →
Value ≈ $9.00
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