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🚨 SAVDO TAHLILI: $XRP /$USDT da imkoniyat 🚨 $1.3400 ga kirishni o‘ylayapsizmi? Xarid tugmasini bosishdan oldin ushbu operatsiyaning afzalliklari, kamchiliklari va asosiy risklarini tahlil qilamiz.👇 📊 Ssenariy: Maqsadli kirish: $1.3400 (Limit order) Take Profit (TP): $1.4400 (+7.46%) Stop Loss (SL): $1.2900 (-3.73%) Taxminiy tugatish narxi: $1.2120 ⚖️ Yaxshi vs. Yomon 🟢 Afzalliklar: Risk/Foyda nisbati (1:2): 3.7% risk qilib 7.5% ni izlayapsiz. * TP ga erishish mumkin: $1.44 dagi maqsad amaldagi struktura bo‘yicha real. * Tayanch zona: muhim narx nuqtasida strategik kirish. 🔴 E’tibor beriladigan jihatlar: Yuqori tugatish (liquidatsiya) riski: $1.2120 da (atigi -9.5% masofada), bu yuqori leverage (~10x) borligini bildiradi. Qisqa muddatli past momentum: qisqa muddatda pasayish tendensiyasi va asosiy harakatlanuvchi o‘rtachalardan pastda. 💡 Yaxshiroq bajarish bo‘yicha maslahatlar: Leverage’ni pasaytiring: 10x dan 5x ga o‘ting — tugatish narxini uzoqroq qiling va pozitsiyaga “havo” qoldiring. Bosqichlab kirish (DCA): kapitalni 2 yoki 3 ta bosqichma-bosqich xaridga bo‘ling, bitta buyurtma emas. Tasdiqni kuting: faollashtirishdan oldin tayanchda rad etish shamini yoki qaytish signali paydo bo‘lsin. 📌 Yakuniy hukm: ⚠️ MODERATSIYA QILIB RISKLILIGI Texnik struktura mustahkam va TP ehtiyotkor, lekin volatilite tufayli “supurib” ketilmaslik uchun leverage’ni qat’iy nazorat qilishni talab qiladi. 💬 Hozir kirasizmi yoki qaytish tasdig‘ini kutasizmi? Izohlarda o‘qib qolaman!👇 #Xrp🔥🔥 #Ripple💰 #tradingtips
🚨 SAVDO TAHLILI: $XRP /$USDT da imkoniyat 🚨

$1.3400 ga kirishni o‘ylayapsizmi? Xarid tugmasini bosishdan oldin ushbu operatsiyaning afzalliklari, kamchiliklari va asosiy risklarini tahlil qilamiz.👇
📊 Ssenariy:

Maqsadli kirish: $1.3400 (Limit order)

Take Profit (TP): $1.4400 (+7.46%)

Stop Loss (SL): $1.2900 (-3.73%)

Taxminiy tugatish narxi: $1.2120
⚖️ Yaxshi vs. Yomon

🟢 Afzalliklar:
Risk/Foyda nisbati (1:2): 3.7% risk qilib 7.5% ni izlayapsiz.
* TP ga erishish mumkin: $1.44 dagi maqsad amaldagi struktura bo‘yicha real.
* Tayanch zona: muhim narx nuqtasida strategik kirish.
🔴 E’tibor beriladigan jihatlar:

Yuqori tugatish (liquidatsiya) riski: $1.2120 da (atigi -9.5% masofada), bu yuqori leverage (~10x) borligini bildiradi.

Qisqa muddatli past momentum: qisqa muddatda pasayish tendensiyasi va asosiy harakatlanuvchi o‘rtachalardan pastda.
💡 Yaxshiroq bajarish bo‘yicha maslahatlar:

Leverage’ni pasaytiring: 10x dan 5x ga o‘ting — tugatish narxini uzoqroq qiling va pozitsiyaga “havo” qoldiring.

Bosqichlab kirish (DCA): kapitalni 2 yoki 3 ta bosqichma-bosqich xaridga bo‘ling, bitta buyurtma emas.

Tasdiqni kuting: faollashtirishdan oldin tayanchda rad etish shamini yoki qaytish signali paydo bo‘lsin.
📌 Yakuniy hukm: ⚠️ MODERATSIYA QILIB RISKLILIGI
Texnik struktura mustahkam va TP ehtiyotkor, lekin volatilite tufayli “supurib” ketilmaslik uchun leverage’ni qat’iy nazorat qilishni talab qiladi.
💬 Hozir kirasizmi yoki qaytish tasdig‘ini kutasizmi? Izohlarda o‘qib qolaman!👇

#Xrp🔥🔥 #Ripple💰 #tradingtips
ZONAOESTEVO:
viene en caída libre BTC también
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O‘suvchi
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تحليل عملة $JTO .. الارتداد بدأ من القاع والانفجار قادم 🚀🔥 الـ $JTO شكلت قاع ارتدادي نموذجي عند 0.3928 وحالياً الإشارات كلها عم تتحول أخضر بعد دخول سيولة شراء قوية على فريم الـ 4 ساعات 🧐 التحليل الفني: على الفريم اليومي: انتهاء الضغط الهابط وبداية شمعة ارتدادية تجميعية على فريم الـ 4 ساعات والـ 15 دقيقة: اختراق وثبات فوق متوسطات EMA7 وEMA25 مع فوليوم شرائي ممتاز والاتجاه صاعد لحظي مستقر فوق خطوط الدعم والـ SAR 🎯 خطة العمل : ⬅️ سعر الدخول الحالي: بين 0.4350 لـ 0.4410 تعتبر ممتازة 🔒 شرط التأكيد القوي: اختراق المقاومة القريبة عند 0.4450 والإغلاق فوقها 🎯 الأهداف : الهدف الأول: 0.4600 الهدف الثاني: 0.4860 الهدف الثالث: 0.5290 🛑 وقف الخسارة: إغلاق شمعة 4 ساعات أسفل مستويات 0.4150 ⚠️ تذكير: لا تدخل بكامل السيولة وفعل وقف الخسارة دائماً لحماية رأس مالك .. بالتوفيق للجميع 🤲💵 #CryptoAnalysis #CryptoAnalysis #TradingTips #TechnicalAnalysis #تحليل_العملات_الرقمية #تداول_فوري {spot}(JTOUSDT)
تحليل عملة $JTO .. الارتداد بدأ من القاع والانفجار قادم 🚀🔥
الـ $JTO شكلت قاع ارتدادي نموذجي عند 0.3928 وحالياً الإشارات كلها عم تتحول أخضر بعد دخول سيولة شراء قوية على فريم الـ 4 ساعات
🧐 التحليل الفني:
على الفريم اليومي: انتهاء الضغط الهابط وبداية شمعة ارتدادية تجميعية
على فريم الـ 4 ساعات والـ 15 دقيقة: اختراق وثبات فوق متوسطات EMA7 وEMA25 مع فوليوم شرائي ممتاز والاتجاه صاعد لحظي مستقر فوق خطوط الدعم والـ SAR
🎯 خطة العمل :
⬅️ سعر الدخول الحالي: بين 0.4350 لـ 0.4410 تعتبر ممتازة
🔒 شرط التأكيد القوي: اختراق المقاومة القريبة عند 0.4450 والإغلاق فوقها
🎯 الأهداف :
الهدف الأول: 0.4600
الهدف الثاني: 0.4860
الهدف الثالث: 0.5290
🛑 وقف الخسارة: إغلاق شمعة 4 ساعات أسفل مستويات 0.4150
⚠️ تذكير: لا تدخل بكامل السيولة وفعل وقف الخسارة دائماً لحماية رأس مالك .. بالتوفيق للجميع 🤲💵
#CryptoAnalysis #CryptoAnalysis #TradingTips #TechnicalAnalysis #تحليل_العملات_الرقمية #تداول_فوري
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Most people place stops at round percentages. That’s not where the stop belongs. For $KORUB, price is $23.1100. The last 1h swing low is 21.1200. That’s the level that proves your long thesis wrong. The 1h ATR is 1.9% of price that’s 0.439. A stop at 22.67 would get hit by normal noise. A stop at 21.12 waits for real failure. Place your stop below the last confirmed swing low. Not below a percentage. What’s your rule for where the stop actually belongs? #TradingTips #KORUB Not financial advice. My levels, my risk.
Most people place stops at round percentages. That’s not where the stop belongs.

For $KORUB , price is $23.1100.
The last 1h swing low is 21.1200.
That’s the level that proves your long thesis wrong.
The 1h ATR is 1.9% of price that’s 0.439.
A stop at 22.67 would get hit by normal noise.
A stop at 21.12 waits for real failure.

Place your stop below the last confirmed swing low. Not below a percentage.

What’s your rule for where the stop actually belongs?
#TradingTips #KORUB

Not financial advice. My levels, my risk.
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Most traders ignore volume confirmation and chase price alone. $NEAR is up 0.4% today but volume is $96.6M 1.4x the 7-day average of 69M. That’s 96.6 divided by 69 = 1.4. A move with volume behind it means buyers are actively stepping in. A move without it is just noise price drifting with no conviction. Check it in 20 seconds: go to Binance, scroll to 24h volume, divide by 7-day average. On my next trade, I wait for volume >1.2x average before considering any breakout. What’s your rule for confirming volume? #TradingTips #NEAR Not financial advice. My levels, my risk.
Most traders ignore volume confirmation and chase price alone.

$NEAR is up 0.4% today but volume is $96.6M 1.4x the 7-day average of 69M.
That’s 96.6 divided by 69 = 1.4.
A move with volume behind it means buyers are actively stepping in.
A move without it is just noise price drifting with no conviction.
Check it in 20 seconds: go to Binance, scroll to 24h volume, divide by 7-day average.

On my next trade, I wait for volume >1.2x average before considering any breakout.

What’s your rule for confirming volume?
#TradingTips #NEAR

Not financial advice. My levels, my risk.
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Demystifying Market Depth: How Order Books Shape Crypto Price MovementWhen observing financial markets, most traders rely heavily on standard candlestick charts. These charts showcase historical price actions—where the price opened, closed, peaked, and bottomed over specific timeframes. While historical price action is essential, it only tells half the story. It tells you where the market has been, but it provides little structural insight into how easily the market can move right now. To understand how price movements actually occur under the hood, traders must look beyond price candles and evaluate market depth. Market depth offers a real-time window into pending buy and sell interest across different price levels. Understanding this visual and mathematical landscape is a crucial step for intermediate traders looking to refine their execution, manage trading costs, and avoid common market execution traps. ### What is Market Depth? At its core, market depth refers to the market's ability to absorb relatively large market orders without causing significant price fluctuations. It represents the aggregate volume of outstanding limit orders positioned on both sides of an asset’s current market price. Every centralized exchange operates an electronic matching engine powered by an order book. This order book contains two main sides: 1. **The Bid Side (Buyers):** A list of traders offering to purchase the asset at specific prices below the current market price. 2. **The Ask or Offer Side (Sellers):** A list of traders offering to sell the asset at specific prices above the current market price. Market depth visualizes these limit orders, typically through a depth chart or an aggregated order book ladder. The horizontal axis represents price levels, while the vertical axis (or cumulative volume total) shows the quantity of the asset available at those price points. ### Market Volume vs. Market Depth: A Key Distinction It is easy to confuse trading volume with market depth, yet they measure fundamentally different mechanics: * **Trading Volume** is a backward-looking metric. It measures the total amount of an asset that has successfully changed hands over a given period (such as 24 hours). High historical volume indicates robust past activity, but it does not guarantee immediate liquidity. * **Market Depth** is a present-moment metric. It measures the volume of orders currently sitting in the order book, waiting to be matched. An asset might boast millions of dollars in 24-hour volume due to rapid back-and-forth trading, but if its active order book contains very few resting orders near the spot price, a single large order can easily push the price up or down significantly. ### Core Components of Order Book Depth To read market depth effectively, traders must understand three essential elements: #### 1. The Bid-Ask Spread The distance between the highest price a buyer is willing to pay (best bid) and the lowest price a seller is willing to accept (best ask) is called the spread. Tight spreads generally signal high market depth and liquid conditions, while wide spreads suggest lower liquidity and higher trading friction. #### 2. Market Slippage When you execute a market order, the exchange matches your order against existing limit orders in the book. If your order size exceeds the volume available at the best bid or ask, the matching engine continues filling the remainder of your order at progressively worse prices deeper into the book. This difference between your expected fill price and your actual average execution price is known as slippage. #### 3. Depth Walls (Buy and Sell Walls) When viewing a visual market depth chart, you will frequently notice steep vertical steps on either side of the price curve. These are known as order walls. * **Buy Wall:** Occurs when a massive concentration of buy limit orders exists at a specific price level. This creates a psychological and financial barrier, as sellers must exhaust all that buy liquidity before the price can push lower. * **Sell Wall:** Occurs when a massive concentration of sell limit orders sits at a specific price. Buyers must purchase all available inventory at that level before the price can climb higher. ### Practical Example: The Mechanics of Execution To understand how depth affects your trade, consider a practical scenario involving an asset traded on an exchange. Imagine Asset X is currently trading at $100.00. You decide to place a market buy order for 1,000 units of Asset X. Let's examine two different market depth scenarios: **Scenario A: Deep Market Depth** * Best Ask: $100.05 (500 units available) * Second Ask: $100.10 (500 units available) * **Result:** Your order is filled in two parts—500 units at $100.05 and 500 units at $100.10. Your average execution price is $100.075. Slippage is negligible (less than 0.08%). **Scenario B: Thin Market Depth** * Best Ask: $100.05 (100 units available) * Second Ask: $101.00 (200 units available) * Third Ask: $103.00 (700 units available) * **Result:** Your order matches 100 units at $100.05, 200 units at $101.00, and 700 units at $103.00. Your average execution price jumps to approximately $102.30. You suffered over 2.3% in slippage simply due to poor market depth. This example highlights why market order execution on low-depth assets can severely impair overall trading performance, even if your directional bias was correct. ### Advanced Order Book Dynamics Market depth is not static; it is a dynamic environment driven by automated market makers, institutional algorithmic execution engines, and retail participants. * **Algorithmic Market Making:** Automated programs continuously quote buy and sell prices, capturing the bid-ask spread while providing liquidity to the order book. When market volatility spikes, these algorithms often retreat or widen their spreads to mitigate risk, causing market depth to evaporate rapidly. * **Iceberg Orders:** Large traders often wish to hide their true execution intentions to prevent the market from moving against them. They use iceberg orders, which divide a massive order into small visible portions. As soon as one visible chunk is filled, the system automatically posts the next chunk. Therefore, the visible order book depth may not always represent the full extent of true market liquidity. ### Risks, Limitations, and Misconceptions While evaluating order book depth provides valuable insights, relying on static depth snapshots carries inherent risks: #### 1. Phantom Liquidity and Spoofing Not every order in the book is intended to be executed. Spoofing is an illegal or manipulative tactic where market actors place massive fake orders (buy or sell walls) to create a false impression of support or resistance. As soon as the market price approaches these orders, the manipulator cancels them. Expecting a buy wall to act as a guaranteed price floor can lead to costly mistakes. #### 2. Fragmented Liquidity Unlike traditional financial markets that rely on centralized clearinghouses, the cryptocurrency landscape is highly fragmented. Liquidity is split across dozens of centralized exchanges, decentralized exchanges, and over-the-counter desks. A token might exhibit deep order book liquidity on one exchange venue while remaining virtually illiquid on another. Looking at depth on a single platform provides only a partial view of global liquidity. #### 3. Rapid Order Cancellation During Volatility During sharp macro announcements or sudden price breakouts, limit order books can empty within milliseconds. Limit orders placed by liquidity providers represent commitment; when extreme volatility hits, market makers quickly cancel their orders to avoid being caught on the wrong side of a major trend. Consequently, depth that exists during quiet market conditions often disappears when you need it most. ### Practical Checklist for Intermediate Traders 1. **Match Order Type to Liquidity:** For large trade sizes relative to the asset’s order book depth, utilize limit orders, Time-Weighted Average Price (TWAP) algorithms, or scale into positions gradually rather than relying on standard market orders. 2. **Monitor 1% and 2% Depth Metrics:** Instead of focusing only on the spot price, monitor how much capital is required to move the price by 1% or 2% in either direction. This metric provides a far clearer picture of true market resilience. 3. **Beware of Single Wall Signals:** Avoid using large order book walls as isolated entry or exit triggers. Treat them as dynamic indicators that require confirmation from volume and price action tools. 4. **Verify Venue-Specific Depth:** Always verify execution depth specifically on the exchange venue where you intend to place your order. ### Conclusion Market depth is the foundational structural layer that governs price formation and trade execution across crypto markets. By moving beyond historic price action and mastering the mechanics of order books, bid-ask spreads, and liquidity distribution, traders can protect themselves from unnecessary slippage, avoid market manipulation traps, and execute orders with far greater precision. #CryptoEducation #TradingTips #MarketDepth

Demystifying Market Depth: How Order Books Shape Crypto Price Movement

When observing financial markets, most traders rely heavily on standard candlestick charts. These charts showcase historical price actions—where the price opened, closed, peaked, and bottomed over specific timeframes. While historical price action is essential, it only tells half the story. It tells you where the market has been, but it provides little structural insight into how easily the market can move right now.
To understand how price movements actually occur under the hood, traders must look beyond price candles and evaluate market depth. Market depth offers a real-time window into pending buy and sell interest across different price levels. Understanding this visual and mathematical landscape is a crucial step for intermediate traders looking to refine their execution, manage trading costs, and avoid common market execution traps.
### What is Market Depth?
At its core, market depth refers to the market's ability to absorb relatively large market orders without causing significant price fluctuations. It represents the aggregate volume of outstanding limit orders positioned on both sides of an asset’s current market price.
Every centralized exchange operates an electronic matching engine powered by an order book. This order book contains two main sides:
1. **The Bid Side (Buyers):** A list of traders offering to purchase the asset at specific prices below the current market price.
2. **The Ask or Offer Side (Sellers):** A list of traders offering to sell the asset at specific prices above the current market price.
Market depth visualizes these limit orders, typically through a depth chart or an aggregated order book ladder. The horizontal axis represents price levels, while the vertical axis (or cumulative volume total) shows the quantity of the asset available at those price points.
### Market Volume vs. Market Depth: A Key Distinction
It is easy to confuse trading volume with market depth, yet they measure fundamentally different mechanics:
* **Trading Volume** is a backward-looking metric. It measures the total amount of an asset that has successfully changed hands over a given period (such as 24 hours). High historical volume indicates robust past activity, but it does not guarantee immediate liquidity.
* **Market Depth** is a present-moment metric. It measures the volume of orders currently sitting in the order book, waiting to be matched.
An asset might boast millions of dollars in 24-hour volume due to rapid back-and-forth trading, but if its active order book contains very few resting orders near the spot price, a single large order can easily push the price up or down significantly.
### Core Components of Order Book Depth
To read market depth effectively, traders must understand three essential elements:
#### 1. The Bid-Ask Spread
The distance between the highest price a buyer is willing to pay (best bid) and the lowest price a seller is willing to accept (best ask) is called the spread. Tight spreads generally signal high market depth and liquid conditions, while wide spreads suggest lower liquidity and higher trading friction.
#### 2. Market Slippage
When you execute a market order, the exchange matches your order against existing limit orders in the book. If your order size exceeds the volume available at the best bid or ask, the matching engine continues filling the remainder of your order at progressively worse prices deeper into the book. This difference between your expected fill price and your actual average execution price is known as slippage.
#### 3. Depth Walls (Buy and Sell Walls)
When viewing a visual market depth chart, you will frequently notice steep vertical steps on either side of the price curve. These are known as order walls.
* **Buy Wall:** Occurs when a massive concentration of buy limit orders exists at a specific price level. This creates a psychological and financial barrier, as sellers must exhaust all that buy liquidity before the price can push lower.
* **Sell Wall:** Occurs when a massive concentration of sell limit orders sits at a specific price. Buyers must purchase all available inventory at that level before the price can climb higher.
### Practical Example: The Mechanics of Execution
To understand how depth affects your trade, consider a practical scenario involving an asset traded on an exchange.
Imagine Asset X is currently trading at $100.00. You decide to place a market buy order for 1,000 units of Asset X.
Let's examine two different market depth scenarios:
**Scenario A: Deep Market Depth**
* Best Ask: $100.05 (500 units available)
* Second Ask: $100.10 (500 units available)
* **Result:** Your order is filled in two parts—500 units at $100.05 and 500 units at $100.10. Your average execution price is $100.075. Slippage is negligible (less than 0.08%).
**Scenario B: Thin Market Depth**
* Best Ask: $100.05 (100 units available)
* Second Ask: $101.00 (200 units available)
* Third Ask: $103.00 (700 units available)
* **Result:** Your order matches 100 units at $100.05, 200 units at $101.00, and 700 units at $103.00. Your average execution price jumps to approximately $102.30. You suffered over 2.3% in slippage simply due to poor market depth.
This example highlights why market order execution on low-depth assets can severely impair overall trading performance, even if your directional bias was correct.
### Advanced Order Book Dynamics
Market depth is not static; it is a dynamic environment driven by automated market makers, institutional algorithmic execution engines, and retail participants.
* **Algorithmic Market Making:** Automated programs continuously quote buy and sell prices, capturing the bid-ask spread while providing liquidity to the order book. When market volatility spikes, these algorithms often retreat or widen their spreads to mitigate risk, causing market depth to evaporate rapidly.
* **Iceberg Orders:** Large traders often wish to hide their true execution intentions to prevent the market from moving against them. They use iceberg orders, which divide a massive order into small visible portions. As soon as one visible chunk is filled, the system automatically posts the next chunk. Therefore, the visible order book depth may not always represent the full extent of true market liquidity.
### Risks, Limitations, and Misconceptions
While evaluating order book depth provides valuable insights, relying on static depth snapshots carries inherent risks:
#### 1. Phantom Liquidity and Spoofing
Not every order in the book is intended to be executed. Spoofing is an illegal or manipulative tactic where market actors place massive fake orders (buy or sell walls) to create a false impression of support or resistance. As soon as the market price approaches these orders, the manipulator cancels them. Expecting a buy wall to act as a guaranteed price floor can lead to costly mistakes.
#### 2. Fragmented Liquidity
Unlike traditional financial markets that rely on centralized clearinghouses, the cryptocurrency landscape is highly fragmented. Liquidity is split across dozens of centralized exchanges, decentralized exchanges, and over-the-counter desks. A token might exhibit deep order book liquidity on one exchange venue while remaining virtually illiquid on another. Looking at depth on a single platform provides only a partial view of global liquidity.
#### 3. Rapid Order Cancellation During Volatility
During sharp macro announcements or sudden price breakouts, limit order books can empty within milliseconds. Limit orders placed by liquidity providers represent commitment; when extreme volatility hits, market makers quickly cancel their orders to avoid being caught on the wrong side of a major trend. Consequently, depth that exists during quiet market conditions often disappears when you need it most.
### Practical Checklist for Intermediate Traders
1. **Match Order Type to Liquidity:** For large trade sizes relative to the asset’s order book depth, utilize limit orders, Time-Weighted Average Price (TWAP) algorithms, or scale into positions gradually rather than relying on standard market orders.
2. **Monitor 1% and 2% Depth Metrics:** Instead of focusing only on the spot price, monitor how much capital is required to move the price by 1% or 2% in either direction. This metric provides a far clearer picture of true market resilience.
3. **Beware of Single Wall Signals:** Avoid using large order book walls as isolated entry or exit triggers. Treat them as dynamic indicators that require confirmation from volume and price action tools.
4. **Verify Venue-Specific Depth:** Always verify execution depth specifically on the exchange venue where you intend to place your order.
### Conclusion
Market depth is the foundational structural layer that governs price formation and trade execution across crypto markets. By moving beyond historic price action and mastering the mechanics of order books, bid-ask spreads, and liquidity distribution, traders can protect themselves from unnecessary slippage, avoid market manipulation traps, and execute orders with far greater precision.
#CryptoEducation #TradingTips #MarketDepth
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Chasing the top gainer loses because you’re buying from the people who just sold high. $BLUR is up 14.2% but sitting at 45% of its 24h range ($0.01594 to $0.02207). That means half the daily price action has already happened. The 1h swing high was $0.02207 price is now 15.3% below that. Volume is 17.1x the 7-day average most buyers entered earlier. The last 1h swing low was $0.01594 if price drops back there, it’s a retest of support. Who’s selling now? The early buyers taking profit at the top of the range. I wait for price to retest the lower end of the range with volume dropping below average. What’s your rule for avoiding the top gainer trap? #TradingTips #BLUR Not financial advice. My levels, my risk.
Chasing the top gainer loses because you’re buying from the people who just sold high.

$BLUR is up 14.2% but sitting at 45% of its 24h range ($0.01594 to $0.02207).
That means half the daily price action has already happened.
The 1h swing high was $0.02207 price is now 15.3% below that.
Volume is 17.1x the 7-day average most buyers entered earlier.
The last 1h swing low was $0.01594 if price drops back there, it’s a retest of support.
Who’s selling now? The early buyers taking profit at the top of the range.

I wait for price to retest the lower end of the range with volume dropping below average.

What’s your rule for avoiding the top gainer trap?
#TradingTips #BLUR

Not financial advice. My levels, my risk.
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Crypto trading is 10% buying, 10% selling, and 80% waiting. ​Successful traders don’t chase every pump; they wait for the right setup. Control your emotions before the market controls your wallet. 🚀 ​Stay patient, stay informed!" #CryptoMindset #tradingtips #HODL #Binance
Crypto trading is 10% buying, 10% selling, and 80% waiting.
​Successful traders don’t chase every pump; they wait for the right setup. Control your emotions before the market controls your wallet. 🚀
​Stay patient, stay informed!"

#CryptoMindset #tradingtips #HODL #Binance
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​📊 Bitcoin Market Update & Next Targets ​Bitcoin is currently showing strong price action around key resistance levels. Volume is steadily increasing, which suggests potential bullish momentum if we hold above the major support zone. ​💡 Strategy: Always manage your risk properly and never use high leverage in volatile conditions. DCA (Dollar-Cost Averaging) remains the safest entry method for long-term holders. ​What is your target for $BTC this week? Let me know in the comments! 👇 ​#Bitcoin #BTC #CryptoAnalysis #tradingtips #BTC☀️ #bitcoin
​📊 Bitcoin Market Update & Next Targets
​Bitcoin is currently showing strong price action around key resistance levels. Volume is steadily increasing, which suggests potential bullish momentum if we hold above the major support zone.
​💡 Strategy: Always manage your risk properly and never use high leverage in volatile conditions. DCA (Dollar-Cost Averaging) remains the safest entry method for long-term holders.
​What is your target for $BTC this week? Let me know in the comments! 👇
​#Bitcoin #BTC #CryptoAnalysis #tradingtips #BTC☀️ #bitcoin
Ko‘pchilik to‘xtash (stop) buyurtmalarini yumaloq raqamlarga qo‘yadi. Biroq bozor u yerda emas. $CRV da narx $0.34420 atrofida. Oxirgi 1 soatlik tebranishning (swing) past nuqtasi $0.33190. Mana shu daraja sizni xato ekaningizni isbotlaydi. Uning ustidan stop qo‘ysangiz, masalan $0.34000, oddiy shovqin (noise) sababli uriladi. 1 soatlik ATR narxning 1.8% ini tashkil qiladi. Bu $0.0062. Demak, joriy narxdan 1.8% pasayish $0.3380 ga teng. $0.33190 esa bundan past. Bu haqiqiy. Stopingizni $0.33190 dan pastga qo‘ying. $0.3400 da emas. $0.3300 da emas. Oxirgi tebranish past nuqtasidan pastda. Stopni qayerga qo‘yish bo‘yicha sizning qoidaingiz qanday? #TradingTips #CRV Moliyaviy maslahat emas. Mening darajalarim, mening riskim.
Ko‘pchilik to‘xtash (stop) buyurtmalarini yumaloq raqamlarga qo‘yadi. Biroq bozor u yerda emas.

$CRV da narx $0.34420 atrofida.
Oxirgi 1 soatlik tebranishning (swing) past nuqtasi $0.33190.
Mana shu daraja sizni xato ekaningizni isbotlaydi.
Uning ustidan stop qo‘ysangiz, masalan $0.34000, oddiy shovqin (noise) sababli uriladi.

1 soatlik ATR narxning 1.8% ini tashkil qiladi.
Bu $0.0062.
Demak, joriy narxdan 1.8% pasayish $0.3380 ga teng.
$0.33190 esa bundan past. Bu haqiqiy.

Stopingizni $0.33190 dan pastga qo‘ying.
$0.3400 da emas. $0.3300 da emas.
Oxirgi tebranish past nuqtasidan pastda.

Stopni qayerga qo‘yish bo‘yicha sizning qoidaingiz qanday?
#TradingTips #CRV

Moliyaviy maslahat emas. Mening darajalarim, mening riskim.
Ko‘pchilik volatillikni e’tiborsiz qoldirgani uchun juda ko‘p risk qiladi. Mening hisobim $1000. Men 1% risk qilaman = $10. ENA’ning 1 soatlik ATR ko‘rsatkichı narxning 1.6% ga teng. Narx 0.14600. 0.14600 ning 1.6% i = 0.002336. Stop 1 ATR masofada bo‘lsa, faqat $10 yo‘qotish uchun: $10 ÷ 0.002336 = 4280.4 ta coin. Men 4280 ta ENA ga joylayman. Keyingi savdoda esa, stop masofasi risk limitimga mos kelishi uchun shunday o‘lchayman, ichki sezgimga emas. Pozitsiya o‘lchash uchun sizning qoidaingiz nima? #TradingTips #ENA Moliyaviy maslahat emas. Mening darajalarim, mening riskim.
Ko‘pchilik volatillikni e’tiborsiz qoldirgani uchun juda ko‘p risk qiladi.

Mening hisobim $1000. Men 1% risk qilaman = $10.

ENA’ning 1 soatlik ATR ko‘rsatkichı narxning 1.6% ga teng.
Narx 0.14600.
0.14600 ning 1.6% i = 0.002336.

Stop 1 ATR masofada bo‘lsa, faqat $10 yo‘qotish uchun:
$10 ÷ 0.002336 = 4280.4 ta coin.

Men 4280 ta ENA ga joylayman.

Keyingi savdoda esa, stop masofasi risk limitimga mos kelishi uchun shunday o‘lchayman, ichki sezgimga emas.

Pozitsiya o‘lchash uchun sizning qoidaingiz nima? #TradingTips #ENA

Moliyaviy maslahat emas. Mening darajalarim, mening riskim.
Amaliy treyding/Risk-menejment bo‘yicha maslahat Kripto treyderlarni yo‘q qilib yuboradigan #1 xato ⚠️ Ko‘pincha bu chart tahlili emas—gap pozitsiya hajmida. BTC kabi asosiy (major) valyutalar yoki BNB kabi yuqori foydali aktivlarda odatda sabr to‘g‘ri keladi. Ammo siz haddan tashqari leverage qilganingizda yoki altkoinlarda har bir tredda 1–2% dan ko‘proq risk olsangiz, bitta shamchiroq (vik) oylar davomidagi yutuqlarni bir zumda silab tashlashi mumkin. O‘yinda qolishingiz uchun 3 ta qoida: 1. Invalidation darajasiz (Stop Loss) hech qachon savdo qilmang. 2. Kuchayish paytida qisman foyda oling; aniq teppani kutmang. 3. Noaniq (choppy) bozorlarda kapitalni asrash tajovuzkor quvishdan ustun. Kriptoda riskni boshqarish bo‘yicha sizning “oltin qoidangiz” qaysi? Pastga yozib qoldiring! 👇 @Binance_Square_Official #Write2Earn #CryptoTrading #tradingtips #KhmerSharing24h
Amaliy treyding/Risk-menejment bo‘yicha maslahat
Kripto treyderlarni yo‘q qilib yuboradigan #1 xato ⚠️

Ko‘pincha bu chart tahlili emas—gap pozitsiya hajmida.

BTC kabi asosiy (major) valyutalar yoki BNB kabi yuqori foydali aktivlarda odatda sabr to‘g‘ri keladi. Ammo siz haddan tashqari leverage qilganingizda yoki altkoinlarda har bir tredda 1–2% dan ko‘proq risk olsangiz, bitta shamchiroq (vik) oylar davomidagi yutuqlarni bir zumda silab tashlashi mumkin.

O‘yinda qolishingiz uchun 3 ta qoida:
1. Invalidation darajasiz (Stop Loss) hech qachon savdo qilmang.
2. Kuchayish paytida qisman foyda oling; aniq teppani kutmang.
3. Noaniq (choppy) bozorlarda kapitalni asrash tajovuzkor quvishdan ustun.

Kriptoda riskni boshqarish bo‘yicha sizning “oltin qoidangiz” qaysi? Pastga yozib qoldiring! 👇

@Binance Square Official #Write2Earn #CryptoTrading #tradingtips #KhmerSharing24h
Ko‘pchilik stop-larni yumaloq raqamlarga qo‘yadi. Bozor esa buni hisobga olmaydi. Mening stopim meni noto‘g‘ri ekanimni isbotlaydigan darajadan pastda turishi kerak. $THETA uchun oxirgi 1 soatlik swing low $0.16840. Bu qisqa muddatli trend teskari aylangan nuqta. Agar narx undan pastga tushsa, kuzatayotgan momentum yo‘qoladi. $0.18500 stop qo‘yish? Bu hozirgi narxdan atigi 3.6% past. Lekin 1 soatlik ATR 2.4% — odatiy tebranishlar undan kattaroq. $0.18500 stop shovqin bilan “kesilib” ketadi, strategiya bilan emas. Men stop-larni foiz bilan emas, tasdiqlangan swing low-lar ostiga qo‘yaman. Stop aslida qayerga tegishli bo‘lishi bo‘yicha sizning qoidangiz qanday? #TradingTips #THETA Moliyaviy maslahat emas. Meniki — mening darajalarim, mening riskim.
Ko‘pchilik stop-larni yumaloq raqamlarga qo‘yadi. Bozor esa buni hisobga olmaydi.

Mening stopim meni noto‘g‘ri ekanimni isbotlaydigan darajadan pastda turishi kerak.
$THETA uchun oxirgi 1 soatlik swing low $0.16840.
Bu qisqa muddatli trend teskari aylangan nuqta.
Agar narx undan pastga tushsa, kuzatayotgan momentum yo‘qoladi.

$0.18500 stop qo‘yish? Bu hozirgi narxdan atigi 3.6% past.
Lekin 1 soatlik ATR 2.4% — odatiy tebranishlar undan kattaroq.
$0.18500 stop shovqin bilan “kesilib” ketadi, strategiya bilan emas.

Men stop-larni foiz bilan emas, tasdiqlangan swing low-lar ostiga qo‘yaman.

Stop aslida qayerga tegishli bo‘lishi bo‘yicha sizning qoidangiz qanday?
#TradingTips #THETA

Moliyaviy maslahat emas. Meniki — mening darajalarim, mening riskim.
Ko‘pchilik stoplarni yumaloq raqamlarga qo‘yadi. Bozor aynan u joyda burilmaydi. $EIGEN $0.21670 da. Oxirgi 1 soatlik swing lowi $0.19500. Trend aynan shu yerda buzilgan — siz esa u joyda adashyapsiz. 1 soatlik ATR narxning 3.3% i = $0.00715. $0.20900 dagi stop ($0.20900) (1% past) normal shovqin tomonidan uriladi. $0.19400 dagi stop ($0.19500 dan past) savdoga nafas olish imkonini beradi. Sizni noto‘g‘ri ekaningizni isbotlaydigan darajadan pastga stop qo‘ying — yumaloq raqam ostiga emas. Stopni qayerga qo‘yish bo‘yicha sizning qoidangiz nima? #TradingTips #EIGEN Moliyaviy maslahat emas. Mening darajalarim, mening xavfim.
Ko‘pchilik stoplarni yumaloq raqamlarga qo‘yadi. Bozor aynan u joyda burilmaydi.

$EIGEN $0.21670 da.
Oxirgi 1 soatlik swing lowi $0.19500.
Trend aynan shu yerda buzilgan — siz esa u joyda adashyapsiz.
1 soatlik ATR narxning 3.3% i = $0.00715.
$0.20900 dagi stop ($0.20900) (1% past) normal shovqin tomonidan uriladi.
$0.19400 dagi stop ($0.19500 dan past) savdoga nafas olish imkonini beradi.

Sizni noto‘g‘ri ekaningizni isbotlaydigan darajadan pastga stop qo‘ying — yumaloq raqam ostiga emas.

Stopni qayerga qo‘yish bo‘yicha sizning qoidangiz nima?
#TradingTips #EIGEN

Moliyaviy maslahat emas. Mening darajalarim, mening xavfim.
Ko‘pchilik to‘xtash (stop) orderlarini yumaloq raqamlarga qo‘yadi. Bozor esa aynan shunda qiziqmaydi. $SAGA $0.01604 da turibdi. Oxirgi 1 soatlik tebranishdagi eng past nuqtasi $0.01425. Bozor xaridorlar xato qilganini aynan o‘sha yerda isbotladi. Bundan pastda stop? Mayli. $0.01500 ga stop qo‘yish? Bu shunchaki shovqin. 1 soatlik ATR narxning 7.0% i, bu $0.00112 ga teng. $0.01604 minus $0.00112 = $0.01492. Demak, $0.01500 dagi stop oddiy soatlik tebranishlar bilan “kesilib” ketadi. Stopni oxirgi aniq ko‘rinadigan tebranishning eng past nuqtasidan pastroqqa qo‘ying. Yumaloq raqam emas. Foiz ham emas. Stop qayerga tegishli bo‘lishi bo‘yicha sizning qoidangiz nima? #TradingTips #SAGA Moliyaviy maslahat emas. Mening darajalarim, mening riskim.
Ko‘pchilik to‘xtash (stop) orderlarini yumaloq raqamlarga qo‘yadi. Bozor esa aynan shunda qiziqmaydi.

$SAGA $0.01604 da turibdi.
Oxirgi 1 soatlik tebranishdagi eng past nuqtasi $0.01425.
Bozor xaridorlar xato qilganini aynan o‘sha yerda isbotladi.
Bundan pastda stop? Mayli.
$0.01500 ga stop qo‘yish? Bu shunchaki shovqin.
1 soatlik ATR narxning 7.0% i, bu $0.00112 ga teng.
$0.01604 minus $0.00112 = $0.01492.
Demak, $0.01500 dagi stop oddiy soatlik tebranishlar bilan “kesilib” ketadi.

Stopni oxirgi aniq ko‘rinadigan tebranishning eng past nuqtasidan pastroqqa qo‘ying.
Yumaloq raqam emas. Foiz ham emas.

Stop qayerga tegishli bo‘lishi bo‘yicha sizning qoidangiz nima?
#TradingTips #SAGA

Moliyaviy maslahat emas. Mening darajalarim, mening riskim.
Ko‘pchilik to‘xtash nuqtalarini yumaloq raqamlarga qo‘yadi. Bozor esa bunday joyda yashamaydi. $RUNE 0.53500$ da. Oxirgi 1 soatlik tebranishdagi eng past nuqtasi 0.47700$ . Qisqa muddatli trend buzilganini isbotlaydigan daraja shu. 0.47700$ dan pastga qo‘yilgan stop tezisingizga qarshi bo‘lganini anglatadi. 1 soatlik ATR narxning 2.5% ini tashkil qiladi, bu 0.013375$ . 0.52000$ (3% past) stop oddiy shovqin ichida uriladi. Shovqin sizning kirishingizni qiziqtirmaydi. Tebranishdagi eng past nuqta esa — qiziqtiradi. Stopni oxirgi tasdiqlangan tebranishdagi eng past nuqtadan pastga qo‘ying. Yumaloq raqam ostiga emas. Qo‘rquvga asoslanmaydi. Stopni qayerga qo‘yish bo‘yicha sizning qoidangiz qanday? #TradingTips #RUNE Moliyaviy maslahat emas. Mening darajalarim, mening riskim.
Ko‘pchilik to‘xtash nuqtalarini yumaloq raqamlarga qo‘yadi. Bozor esa bunday joyda yashamaydi.

$RUNE 0.53500$ da.
Oxirgi 1 soatlik tebranishdagi eng past nuqtasi 0.47700$ .
Qisqa muddatli trend buzilganini isbotlaydigan daraja shu.
0.47700$ dan pastga qo‘yilgan stop tezisingizga qarshi bo‘lganini anglatadi.

1 soatlik ATR narxning 2.5% ini tashkil qiladi, bu 0.013375$ .
0.52000$ (3% past) stop oddiy shovqin ichida uriladi.
Shovqin sizning kirishingizni qiziqtirmaydi. Tebranishdagi eng past nuqta esa — qiziqtiradi.

Stopni oxirgi tasdiqlangan tebranishdagi eng past nuqtadan pastga qo‘ying.
Yumaloq raqam ostiga emas. Qo‘rquvga asoslanmaydi.

Stopni qayerga qo‘yish bo‘yicha sizning qoidangiz qanday?
#TradingTips #RUNE

Moliyaviy maslahat emas. Mening darajalarim, mening riskim.
Ko‘pchilik treyderlar volume (hajm) tasdig‘ini inobatga olmay, faqat narx ortidan quvishadi. $LSK 1.4M $ hajmda 12.6% ga oshgan. Uning 7 kunlik o‘rtacha hajmi 206K. 1.4M $ ÷ 206K = 6.8x. Bu faqat “ralli” emas — bu hajm bilan tasdiqlangan harakat. Bu nisbat bo‘lmaganda siz 12.6% lik “spike”ni ko‘rib, momentum deb o‘ylab qolardingiz. U bilan esa bozorda haqiqatan ishtirok bor-yo‘qligini ko‘rasiz. Buni 20 soniyada tekshiring: Binance’ga kiring, coin’ni bosing, “24h Vol”ga pastga aylantiring, uning ostida ko‘rsatilgan 7 kunlik o‘rtacha hajmga bo‘ling. Agar 3x dan yuqori bo‘lsa, e’tiborga arziydi. Keyingi savdomda men breakoutni ko‘rib chiqishdan oldin volume ≥ 3x 7 kunlik o‘rtacha bo‘lishini kutaman. Sizning volume’ni tasdiqlash bo‘yicha qoidangiz qanday? #TradingTips #LSK Moliyaviy maslahat emas. Mening darajalarim, mening riskim.
Ko‘pchilik treyderlar volume (hajm) tasdig‘ini inobatga olmay, faqat narx ortidan quvishadi.

$LSK 1.4M $ hajmda 12.6% ga oshgan.
Uning 7 kunlik o‘rtacha hajmi 206K.
1.4M $ ÷ 206K = 6.8x.
Bu faqat “ralli” emas — bu hajm bilan tasdiqlangan harakat.
Bu nisbat bo‘lmaganda siz 12.6% lik “spike”ni ko‘rib, momentum deb o‘ylab qolardingiz.
U bilan esa bozorda haqiqatan ishtirok bor-yo‘qligini ko‘rasiz.

Buni 20 soniyada tekshiring:
Binance’ga kiring, coin’ni bosing, “24h Vol”ga pastga aylantiring,
uning ostida ko‘rsatilgan 7 kunlik o‘rtacha hajmga bo‘ling.
Agar 3x dan yuqori bo‘lsa, e’tiborga arziydi.

Keyingi savdomda men breakoutni ko‘rib chiqishdan oldin volume ≥ 3x 7 kunlik o‘rtacha bo‘lishini kutaman.

Sizning volume’ni tasdiqlash bo‘yicha qoidangiz qanday?
#TradingTips #LSK

Moliyaviy maslahat emas. Mening darajalarim, mening riskim.
Tasavvur qiling: siz eng yuqori volatillik paytida trading terminalingizga kirasiz, faqat brauzeringiz muhim local cookie’larni tajovuzkor tarzda o‘chirib tashlagani sababli sessiya uzilib qolganini ko‘rasiz. Ko‘p traderlar slippage va tarmoq tiqilishini kuzatishga berilib ketishadi, ammo sessiya arxitekturasi ijro tezligi va xavfsizlik credential’larini kritik bozor harakatlari paytida qanday himoyalashini butunlay e’tiborsiz qoldirishadi. Web3 va birjalardagi infratuzilma qatlamlariga nazar tashlasangiz, muhim sessiya ma’lumotlari funksiyalari tarmoqdagi $SOL kabi validator heartbeats (yurak urishlari) yoki $ETH’dagi konsensus holatini kuzatish bilan o‘xshash ishlaydi. Muhim cookie’lar doimiy bo‘lmasa, sessiyaga asoslangan API auth, 2FA (ikki omilli autentifikatsiya) saqlanishi va zero-PII (shaxsiy ma’lumotlarsiz) maxfiylik sozlamalari darhol ishlamay qoladi. Bu, xuddi markazlashmagan protokol orqali tezkor svop (almashinuv)ni yo‘naltirishga uringandek, lekin ulangan wallet manzilingizni tekshirish uchun kerak bo‘lgan state storage’ni to‘sib qo‘yishga o‘xshaydi. $BNB chain bloklar harakatda bo‘lishi uchun rad etib bo‘lmaydigan asosiy validator parametrlariga tayansa, zamonaviy interfeyslar ham sizning shaxsiy ma’lumotlaringizga hech qachon tegmasdan faol login va foydalanuvchi sozlamalaringizni ushlab turishi uchun faqat qat’iy funksional cookie’larga muhtoj. Yuqori volatillik hodisalari bilan trading qilishdan oldin brauzeringiz va privacy (maxfiylik) sozlamalarini qanchalik tez-tez ko‘rib chiqasiz? #CryptoSecurity #Web3Infrastructure #TradingTips
Tasavvur qiling: siz eng yuqori volatillik paytida trading terminalingizga kirasiz, faqat brauzeringiz muhim local cookie’larni tajovuzkor tarzda o‘chirib tashlagani sababli sessiya uzilib qolganini ko‘rasiz.

Ko‘p traderlar slippage va tarmoq tiqilishini kuzatishga berilib ketishadi, ammo sessiya arxitekturasi ijro tezligi va xavfsizlik credential’larini kritik bozor harakatlari paytida qanday himoyalashini butunlay e’tiborsiz qoldirishadi.

Web3 va birjalardagi infratuzilma qatlamlariga nazar tashlasangiz, muhim sessiya ma’lumotlari funksiyalari tarmoqdagi $SOL kabi validator heartbeats (yurak urishlari) yoki $ETH ’dagi konsensus holatini kuzatish bilan o‘xshash ishlaydi. Muhim cookie’lar doimiy bo‘lmasa, sessiyaga asoslangan API auth, 2FA (ikki omilli autentifikatsiya) saqlanishi va zero-PII (shaxsiy ma’lumotlarsiz) maxfiylik sozlamalari darhol ishlamay qoladi. Bu, xuddi markazlashmagan protokol orqali tezkor svop (almashinuv)ni yo‘naltirishga uringandek, lekin ulangan wallet manzilingizni tekshirish uchun kerak bo‘lgan state storage’ni to‘sib qo‘yishga o‘xshaydi.

$BNB chain bloklar harakatda bo‘lishi uchun rad etib bo‘lmaydigan asosiy validator parametrlariga tayansa, zamonaviy interfeyslar ham sizning shaxsiy ma’lumotlaringizga hech qachon tegmasdan faol login va foydalanuvchi sozlamalaringizni ushlab turishi uchun faqat qat’iy funksional cookie’larga muhtoj.

Yuqori volatillik hodisalari bilan trading qilishdan oldin brauzeringiz va privacy (maxfiylik) sozlamalarini qanchalik tez-tez ko‘rib chiqasiz?

#CryptoSecurity #Web3Infrastructure #TradingTips
Eng baland o‘suvchini quvish ko‘pincha yutqazishga olib keladi. $AVAX bugun 3.7% ga pasaygan. Narx $7.4480 bo‘lib, uning 24 soatlik diapazonining 7% qismida turibdi ($7.4140 dan $7.8680 gacha). Bu esa bugungi narx harakatining 93% qismi yaqinroq bo‘lganini bildiradi. Hajm 7 kunlik o‘rtacha ko‘rsatkichning 0.6 baravari — ishtirok sust. Oxirgi soatdagi eng yuqori nuqta $7.8680 edi. U yerda xaridorlar bir soatda 5.4% yutqazdi. $7.4480 da sizga kim sotyapti? Xuddi $7.8680 da xarid qilgan va hozirgina stop-out bo‘lgan odamlar. Kirishdan oldin hajm va diapazon tasdig‘ini kuting. Bu tuzoqdan qochish uchun qoidangiz qanday? #TradingTips #AVAX Moliyaviy maslahat emas. Mening darajalarim, mening riskim.
Eng baland o‘suvchini quvish ko‘pincha yutqazishga olib keladi.

$AVAX bugun 3.7% ga pasaygan.
Narx $7.4480 bo‘lib, uning 24 soatlik diapazonining 7% qismida turibdi ($7.4140 dan $7.8680 gacha).
Bu esa bugungi narx harakatining 93% qismi yaqinroq bo‘lganini bildiradi.
Hajm 7 kunlik o‘rtacha ko‘rsatkichning 0.6 baravari — ishtirok sust.
Oxirgi soatdagi eng yuqori nuqta $7.8680 edi. U yerda xaridorlar bir soatda 5.4% yutqazdi.
$7.4480 da sizga kim sotyapti? Xuddi $7.8680 da xarid qilgan va hozirgina stop-out bo‘lgan odamlar.

Kirishdan oldin hajm va diapazon tasdig‘ini kuting.

Bu tuzoqdan qochish uchun qoidangiz qanday?
#TradingTips #AVAX

Moliyaviy maslahat emas. Mening darajalarim, mening riskim.
Ko‘pchilik stopni dumaloq raqamlarga qo‘yadi. Bozor esa buni qayerga qarashini bilmaydi. Mening stopim men xato ekanim isbotlanadigan darajadan pastda. $WIF uchun: Oxirgi 1 soatlik swing low $0.18910. Bu oxirgi soatdagi eng past narx. Agar narx undan pastga tushsa, qisqa muddatli momentum yo‘qoladi. Oddiy 1 soatlik swing $0.19020 ning 1.5%i = $0.00285. $0.18735 dagi stop ($0.19020 - $0.00285) faqat shovqin (noise) sabab zarbaga uchraydi. Men stopni $0.18910 dan pastga qo‘yaman, chunki u dumaloq emas, balki oxirgi tasdiqlangan low bo‘lgani uchun. Keyingi savdoda men stopimni bozor strukturasiga tayangan holda belgilayman. Sizning qoidangiz qanday? #TradingTips #WIF Moliyaviy maslahat emas. Mening darajalarim, mening riskim.
Ko‘pchilik stopni dumaloq raqamlarga qo‘yadi. Bozor esa buni qayerga qarashini bilmaydi.

Mening stopim men xato ekanim isbotlanadigan darajadan pastda.

$WIF uchun:
Oxirgi 1 soatlik swing low $0.18910.
Bu oxirgi soatdagi eng past narx.
Agar narx undan pastga tushsa, qisqa muddatli momentum yo‘qoladi.

Oddiy 1 soatlik swing $0.19020 ning 1.5%i = $0.00285.
$0.18735 dagi stop ($0.19020 - $0.00285) faqat shovqin (noise) sabab zarbaga uchraydi.

Men stopni $0.18910 dan pastga qo‘yaman, chunki u dumaloq emas, balki oxirgi tasdiqlangan low bo‘lgani uchun.

Keyingi savdoda men stopimni bozor strukturasiga tayangan holda belgilayman.

Sizning qoidangiz qanday?
#TradingTips #WIF

Moliyaviy maslahat emas. Mening darajalarim, mening riskim.
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O‘suvchi
Agar siz treydingga endi kirayotgan bo‘lsangiz, LEVERAGEga qo‘l urishdan OLDIN buni o‘rganing. 📚 Ko‘pchilik yangi boshlovchilar “mukammal kirish”ni topishga e’tibor qaratadi. Lekin bu eng muhim qism emas. Avval shularni o‘rganing (5 ta narsa): 1️⃣ Riskni boshqarish — yo‘qotishga qodir bo‘lmagan pulni hech qachon risk qilmang. 2️⃣ Pozitsiya hajmi — pozitsiyangiz hayajoningizga emas, riskingizga mos bo‘lsin. 3️⃣ Stop loss — kirishdan oldin qayerda xato qilayotganingizni biling. 4️⃣ Bitta setup — hamma harakatni quvlamay, bitta strategiyani o‘zlashtiring. 5️⃣ Sabrlilik — yomon treyddan ko‘ra treyd qilmaslik yaxshiroq. Va esda tuting: Har bir treydda g‘alaba qozonishingiz shart emas. Yaxshi bo‘lishingiz uchun yetarlicha uzoq omon qolishingiz kerak. Kichikdan boshlang. O‘rganing. Treydlaringizni jurnal qiling. Yaxshilang. 📈 #Trading #CryptoTrading #RiskManagement #TradingTips
Agar siz treydingga endi kirayotgan bo‘lsangiz, LEVERAGEga qo‘l urishdan OLDIN buni o‘rganing. 📚

Ko‘pchilik yangi boshlovchilar “mukammal kirish”ni topishga e’tibor qaratadi.

Lekin bu eng muhim qism emas.

Avval shularni o‘rganing (5 ta narsa):

1️⃣ Riskni boshqarish — yo‘qotishga qodir bo‘lmagan pulni hech qachon risk qilmang.
2️⃣ Pozitsiya hajmi — pozitsiyangiz hayajoningizga emas, riskingizga mos bo‘lsin.
3️⃣ Stop loss — kirishdan oldin qayerda xato qilayotganingizni biling.
4️⃣ Bitta setup — hamma harakatni quvlamay, bitta strategiyani o‘zlashtiring.
5️⃣ Sabrlilik — yomon treyddan ko‘ra treyd qilmaslik yaxshiroq.

Va esda tuting:

Har bir treydda g‘alaba qozonishingiz shart emas. Yaxshi bo‘lishingiz uchun yetarlicha uzoq omon qolishingiz kerak.

Kichikdan boshlang. O‘rganing. Treydlaringizni jurnal qiling. Yaxshilang. 📈

#Trading #CryptoTrading #RiskManagement #TradingTips
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