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509 JonyDong
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509 JonyDong

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Market Survivor | Real Trading Insights Not a "guru". Just sharing what I trade based on years of experience.
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5.1 yil
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Tarjimani ko‘rish
$DASH Long played out clean, and the lesson is in how the entry position was built. The original call was simple: this entry zone at 58.88-59.2 is pivotal, so execution is key. That zone was not just a random area; it was the decision point where price had to prove whether buyers were still in control. The long side was cleaner because price defended that entry position and expanded upward, instead of accepting below the zone and flipping the setup. The opposite side would have needed price to break down and hold below the zone, but that never became the dominant behavior. RSI helped confirm the read too, moving from around 50.0 near entry to around 75.7 as the trade developed. TP1 confirmed the reaction, TP2 showed continuation, and TP3 at 62.11 completed the full target sequence. The stop at 57.5 was not touched before TP3, so the trade had room to reach the planned targets without invalidating the idea first.
$DASH Long played out clean, and the lesson is in how the entry position was built.

The original call was simple: this entry zone at 58.88-59.2 is pivotal, so execution is key.

That zone was not just a random area; it was the decision point where price had to prove whether buyers were still in control.

The long side was cleaner because price defended that entry position and expanded upward, instead of accepting below the zone and flipping the setup.

The opposite side would have needed price to break down and hold below the zone, but that never became the dominant behavior.

RSI helped confirm the read too, moving from around 50.0 near entry to around 75.7 as the trade developed.

TP1 confirmed the reaction, TP2 showed continuation, and TP3 at 62.11 completed the full target sequence.

The stop at 57.5 was not touched before TP3, so the trade had room to reach the planned targets without invalidating the idea first.
509 JonyDong
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O‘suvchi
$DASH Long 10x | Ushbu kirish zonasi hal qiluvchi ahamiyatga ega; ijro muhim.

DASH kritik zonaga yetib keldi, men bu yerda faoliyatni boshlashga tayyorman. Long pozitsiya faollashtirilgan, ushbu zonada bozordan tasdiq kutilmoqda.

Savdo rejasi:
- Kirish: 58.88000 – 59.20000
- TP1: 60.19000 (R:R 1:0.7)
- TP2: 60.96000 (R:R 1:1.2)
- TP3: 62.11000 (R:R 1:2.0)
- SL: 57.50000

Nega bu setup?
- Long setup 4 soatda ushlab turadi, narx harakati 58.88000–59.20000 oralig‘ini hurmat qilmoqda, chunki kundalik ko‘rinish bullishligicha qolmoqda.
- 15m RSI 44 da bo‘lib, xaridorlar bu darajani himoya qilsa, yuqoriga itarish ehtimoli borligini ko‘rsatadi.
- Hozirgi hajm 3.75x: 822.97000 ga qarshi 3.09K savdo amalga oshirilgan — bu harakatni qo‘llab-quvvatlayotgan yetarli ishtirok borligini bildiradi.

Bu yerda👇 savdo qiling va hozir kirishni himoya qilish aqlidan yaxshiroqmi yoki tasdiq ochilishini kutish kerakmi?

FAQAT TA’LIM MA’LUMOTLARI. MASLAHAT EMAS, TAKLIF EMAS, MURURIYAT EMAS, YOKI TAVSIYA EMAS. QADAMINGIZ SIZIKI, XAVF HAM SIZIKI.

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Pasayuvchi
Tarjimani ko‘rish
$ONDO Short 10x | Targeted entry zone, no impulsive moves. ONDO has arrived at the anticipated supply zone, drawing in buyers. I’m already in the trade; my focus is solely on whether the supply holds firm. Trade Plan: - Entry: 0.41023 – 0.41302 - TP1: 0.40158 (R:R 1:0.7) - TP2: 0.39489 (R:R 1:1.3) - TP3: 0.38485 (R:R 1:2.0) - SL: 0.42501 Why this setup? - The higher timeframe setup still favors the short, with the key reaction point at 0.41023–0.41302 near 0.41162. - The 15m RSI at 31 suggests potential for further downside, contingent on sellers maintaining control, so confirmation is essential. - Current volume is at 1.01x, with 5.09M traded against 5.02M anticipated, reinforcing the participation analysis. Trade here 👇 and Are you ready to trust this zone, or would you prefer to see stronger volume before acting? EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK. {future}(ONDOUSDT)
$ONDO Short 10x | Targeted entry zone, no impulsive moves.

ONDO has arrived at the anticipated supply zone, drawing in buyers. I’m already in the trade; my focus is solely on whether the supply holds firm.

Trade Plan:
- Entry: 0.41023 – 0.41302
- TP1: 0.40158 (R:R 1:0.7)
- TP2: 0.39489 (R:R 1:1.3)
- TP3: 0.38485 (R:R 1:2.0)
- SL: 0.42501

Why this setup?
- The higher timeframe setup still favors the short, with the key reaction point at 0.41023–0.41302 near 0.41162.
- The 15m RSI at 31 suggests potential for further downside, contingent on sellers maintaining control, so confirmation is essential.
- Current volume is at 1.01x, with 5.09M traded against 5.02M anticipated, reinforcing the participation analysis.

Trade here 👇 and Are you ready to trust this zone, or would you prefer to see stronger volume before acting?

EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK.
🎙️ Guruhimga qo‘shiling, suhbatlashamiz https://app.binance.com/uni-qr/VoQqq19y
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liveJONLI
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O‘suvchi
$IOST Long 10x | Test talab qilinmoqda, yo‘l ochiq. IOST uzoq pozitsiya uchun muhim zonaga yetib keldi. Ushbu long setup’da aniq bekor qilinish nuqtasi bor, bu esa mening ishonchimni mustahkamlaydi. Savdo reja: - Kirish: 0.00095 – 0.00096 - TP1: 0.00098 (R:R 1:0.8) - TP2: 0.00100 (R:R 1:1.2) - TP3: 0.00102 (R:R 1:2.0) - SL: 0.00092 Nega bu setup? - Tuzilma 4h bo‘yicha buzilmagan va 1D konteksti diapazonga bog‘langan bo‘lib, aynan shu muhim darajada mukammal mos keladi. - RSI15 44 da neytral impulsni ko‘rsatadi, bu esa potensial o‘sish imkonini beradi; men xaridorlar bu joydan foyda olishlarini istayman, faqat “chetlab o‘tmasinlar”. - Hozirgi hajm 0.28x: 130.30M kutilganga qarshi 36.77M savdo bo‘lib, haqiqiy xarid tomoni qiziqishi borligini bildiradi. Bu yerda savdo qiling 👇 va sizning strategiyangiz qanday: aniq stopmi yoki kengroq strukturaviy stopmi? FAQAT TA’LIM MA’LUMOTI. MASLAHAT EMAS, TAKLIF EMAS, SO‘ROV EMAS, YOKI TAVSIYA EMAS. QADAMINGIZ — SIZNING RISKINGIZ. {future}(IOSTUSDT)
$IOST Long 10x | Test talab qilinmoqda, yo‘l ochiq.

IOST uzoq pozitsiya uchun muhim zonaga yetib keldi. Ushbu long setup’da aniq bekor qilinish nuqtasi bor, bu esa mening ishonchimni mustahkamlaydi.

Savdo reja:
- Kirish: 0.00095 – 0.00096
- TP1: 0.00098 (R:R 1:0.8)
- TP2: 0.00100 (R:R 1:1.2)
- TP3: 0.00102 (R:R 1:2.0)
- SL: 0.00092

Nega bu setup?
- Tuzilma 4h bo‘yicha buzilmagan va 1D konteksti diapazonga bog‘langan bo‘lib, aynan shu muhim darajada mukammal mos keladi.
- RSI15 44 da neytral impulsni ko‘rsatadi, bu esa potensial o‘sish imkonini beradi; men xaridorlar bu joydan foyda olishlarini istayman, faqat “chetlab o‘tmasinlar”.
- Hozirgi hajm 0.28x: 130.30M kutilganga qarshi 36.77M savdo bo‘lib, haqiqiy xarid tomoni qiziqishi borligini bildiradi.

Bu yerda savdo qiling 👇 va sizning strategiyangiz qanday: aniq stopmi yoki kengroq strukturaviy stopmi?

FAQAT TA’LIM MA’LUMOTI. MASLAHAT EMAS, TAKLIF EMAS, SO‘ROV EMAS, YOKI TAVSIYA EMAS. QADAMINGIZ — SIZNING RISKINGIZ.
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Pasayuvchi
$BEAT Short 10x | Zona tegib tasdiqlandi, bekor qilish (invalidation) belgilandi. BEAT kutilgan zonaga yetib keldi, hozir uni quvlamaslik kerak. Sotuvchilar talabni yutib borar ekan, bu holat o‘z kuchida qoladi. Savdo rejasi: - Kirish: 0.09300 – 0.09340 - TP1: 0.09150 (R:R 1:0.8) - TP2: 0.09040 (R:R 1:1.3) - TP3: 0.08880 (R:R 1:2.0) - SL: 0.09540 Nega bu joylashuv (setup)? - 4 soatlik timeframe hali ham short tezisini qo‘llab-quvvatlaydi: narx aynan men xohlagan joyda, ya’ni 0.09300–0.09340 oralig‘ida (0.09320 atrofida) aniq reaksiyaga kirishyapti. - 15m RSI 59 bo‘lib, neytral impulsni ko‘rsatadi — potentsial pasayish uchun joy bor; zona hali ham o‘zini tasdiqlashi kerak. - Kuchli hajm ko‘rinmoqda: 0.94x, 308.02K savdolar kutilgan 326.20K ga nisbatan. Bu yerda savdo qiling 👇 bu revers uchun setupmi yoki shunchaki zaif rad etish belgisimi? FAQAT TA’LIM MA’LUMOTI. HECH QANDAY MASLAHAT, TAKLIF, QO‘ZG‘ATISH YOKI TAVSIYA EMAS. QADAMINGIZ SIZIKI, XAVFINGIZ SIZIKI. {future}(BEATUSDT)
$BEAT Short 10x | Zona tegib tasdiqlandi, bekor qilish (invalidation) belgilandi.

BEAT kutilgan zonaga yetib keldi, hozir uni quvlamaslik kerak. Sotuvchilar talabni yutib borar ekan, bu holat o‘z kuchida qoladi.

Savdo rejasi:
- Kirish: 0.09300 – 0.09340
- TP1: 0.09150 (R:R 1:0.8)
- TP2: 0.09040 (R:R 1:1.3)
- TP3: 0.08880 (R:R 1:2.0)
- SL: 0.09540

Nega bu joylashuv (setup)?
- 4 soatlik timeframe hali ham short tezisini qo‘llab-quvvatlaydi: narx aynan men xohlagan joyda, ya’ni 0.09300–0.09340 oralig‘ida (0.09320 atrofida) aniq reaksiyaga kirishyapti.
- 15m RSI 59 bo‘lib, neytral impulsni ko‘rsatadi — potentsial pasayish uchun joy bor; zona hali ham o‘zini tasdiqlashi kerak.
- Kuchli hajm ko‘rinmoqda: 0.94x, 308.02K savdolar kutilgan 326.20K ga nisbatan.

Bu yerda savdo qiling 👇 bu revers uchun setupmi yoki shunchaki zaif rad etish belgisimi?

FAQAT TA’LIM MA’LUMOTI. HECH QANDAY MASLAHAT, TAKLIF, QO‘ZG‘ATISH YOKI TAVSIYA EMAS. QADAMINGIZ SIZIKI, XAVFINGIZ SIZIKI.
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O‘suvchi
$SOPH Uzun 10x | Yo‘naltirilgan qaytish (pullback) amalga oshirildi. SOPH bozorning qaror nuqtasi joylashgan talab (demand) zonasiga yetib keldi. Men bu yerda aniq bekor qilinish (invalidation) bilan pozitsiyadaman; agar talab sustlashsa, mening tezisim (scenario) ham bekor bo‘ladi. Savdo rejasi: - Kirish: 0.00381 – 0.00382 - TP1: 0.00386 (R:R 1:0.8) - TP2: 0.00390 (R:R 1:1.2) - TP3: 0.00394 (R:R 1:2.0) - SL: 0.00375 Nega bu setup? - Bu asosan lokatsion savdo: 4 soatlik long struktura, kunlik (daily) fon esa bearish, narx 0.00381–0.00382 oralig‘idan reaksiyaga kirishmoqda. - RSI15 48 da xaridorlar yuqoriga itarishi mumkinligini ko‘rsatadi, bu ularning nazoratiga bog‘liq. - Hacm 0.12x: 1.82M savdo qilingan, kutilgan 15.35M ga nisbatan — bu faol ishtirokni tasdiqlaydi. Bu yerda savdo qiling 👇 va biz xaridorlar yutib (absorb) olayotganini ko‘ryapmizmi yoki sotuvchilar hali ham sahnani boshqarayaptimi? FAQAT TA’LIM MA’LUMOTI. MASLAHAT, TAKLIF, MUROJAAT YOKI TAVSIYA EMAS. QADAMINGIZNI O‘ZINGIZ QILING, RISKINGIZ O‘ZINGIZDA. {future}(SOPHUSDT)
$SOPH Uzun 10x | Yo‘naltirilgan qaytish (pullback) amalga oshirildi.

SOPH bozorning qaror nuqtasi joylashgan talab (demand) zonasiga yetib keldi. Men bu yerda aniq bekor qilinish (invalidation) bilan pozitsiyadaman; agar talab sustlashsa, mening tezisim (scenario) ham bekor bo‘ladi.

Savdo rejasi:
- Kirish: 0.00381 – 0.00382
- TP1: 0.00386 (R:R 1:0.8)
- TP2: 0.00390 (R:R 1:1.2)
- TP3: 0.00394 (R:R 1:2.0)
- SL: 0.00375

Nega bu setup?
- Bu asosan lokatsion savdo: 4 soatlik long struktura, kunlik (daily) fon esa bearish, narx 0.00381–0.00382 oralig‘idan reaksiyaga kirishmoqda.
- RSI15 48 da xaridorlar yuqoriga itarishi mumkinligini ko‘rsatadi, bu ularning nazoratiga bog‘liq.
- Hacm 0.12x: 1.82M savdo qilingan, kutilgan 15.35M ga nisbatan — bu faol ishtirokni tasdiqlaydi.

Bu yerda savdo qiling 👇 va biz xaridorlar yutib (absorb) olayotganini ko‘ryapmizmi yoki sotuvchilar hali ham sahnani boshqarayaptimi?

FAQAT TA’LIM MA’LUMOTI. MASLAHAT, TAKLIF, MUROJAAT YOKI TAVSIYA EMAS. QADAMINGIZNI O‘ZINGIZ QILING, RISKINGIZ O‘ZINGIZDA.
Tarjimani ko‘rish
$USELESS Short recap. This short was built around a clear decision zone, not a random bias. The entry position was 0.351091-0.354439, and price rejected that area instead of reclaiming it. That rejection mattered because it told us sellers were still in control at the zone. The short side was cleaner than the opposite side because price expanded lower from the entry position rather than breaking back above it. RSI stayed near 50.0 around entry and was still near 50.0 as the trade developed, so it did not signal a strong shift against the idea. The stop at 0.373661 was not touched before TP2. TP1 confirmed the rejection, and TP2 at 0.326644 showed continuation. TP3 remained the next planned target, not a completed result.
$USELESS Short recap.

This short was built around a clear decision zone, not a random bias. The entry position was 0.351091-0.354439, and price rejected that area instead of reclaiming it. That rejection mattered because it told us sellers were still in control at the zone. The short side was cleaner than the opposite side because price expanded lower from the entry position rather than breaking back above it. RSI stayed near 50.0 around entry and was still near 50.0 as the trade developed, so it did not signal a strong shift against the idea. The stop at 0.373661 was not touched before TP2. TP1 confirmed the rejection, and TP2 at 0.326644 showed continuation. TP3 remained the next planned target, not a completed result.
509 JonyDong
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Pasayuvchi
$USELESS Short 10x | This short only plays out if the supply holds firm.

USELESS is approaching a critical supply zone, and the next move is pivotal. I’m not pursuing weakness blindly; I’m leveraging the zone to set my risk parameters.

Trade Plan:
- Entry: 0.35109 – 0.35444
- TP1: 0.33709 (R:R 1:0.8)
- TP2: 0.32664 (R:R 1:1.3)
- TP3: 0.31097 (R:R 1:2.0)
- SL: 0.37366

Why this setup?
- This is fundamentally a location trade: 4h short structure, a bullish daily backdrop, and price reacting from 0.35109–0.35444.
- RSI15 at 59 provides space for sellers to push lower, contingent on maintaining control.
- Volume is clocking in at 1.82x, with 4.42M traded versus 2.42M anticipated, validating the active participation.

Trade here 👇 and Are you ready to sell the zone, or will you wait for a break below support?

EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK.

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Pasayuvchi
$AVAX Short 10x | Kirish zonasi tasdiqlandi, noto‘g‘ri bekor qilish (invalidation) o‘rnatilgan. AVAX qisqa strategiyamiz uchun muhim zonaga yetib keldi. Men bu savdoga faqat qulay grafik bo‘lgani uchun emas, balki aniq risk profili bo‘lgani uchun kirdim. Savdo reja: - Kirish: 11.12448 – 11.16214 - TP1: 11.00774 (R:R 1:0.8) - TP2: 10.91737 (R:R 1:1.3) - TP3: 10.78180 (R:R 1:2.0) - SL: 11.32407 Nega bunday sozlama? - 4h struktura va diapazonga bog‘langan kundalik kontekst ikkalasi ham 11.12448–11.16214 atrofida munosabat bildirmoqda, shuning uchun sozlama buzilmagan. - 15m RSI 48 da bo‘lib, zona mustahkam ushlansa, sotuvchilar pastga itarishi mumkin. - Hajm (volume) bu oddiy “signal” emasligini ko‘rsatmoqda: 0.82x, kutilgani 131.09K ga qarshi 107.33K. Bu yerda savdo qiling 👇 va sizning keyingi qadamingiz nima: ta’minot zonasidan foydalanasizmi yoki sotuvchi tasdig‘i uchun kutasizmi? FAQAT TA’LIM MA’LUMOTI. MASLAHAT, TAKLIF, QO‘ZG‘ATISH yoki TAVSIYA EMAS. QADAMINGIZ O‘ZINGIZNIKI, RISKINGIZ O‘ZINGIZNIKI. {future}(AVAXUSDT)
$AVAX Short 10x | Kirish zonasi tasdiqlandi, noto‘g‘ri bekor qilish (invalidation) o‘rnatilgan.

AVAX qisqa strategiyamiz uchun muhim zonaga yetib keldi. Men bu savdoga faqat qulay grafik bo‘lgani uchun emas, balki aniq risk profili bo‘lgani uchun kirdim.

Savdo reja:
- Kirish: 11.12448 – 11.16214
- TP1: 11.00774 (R:R 1:0.8)
- TP2: 10.91737 (R:R 1:1.3)
- TP3: 10.78180 (R:R 1:2.0)
- SL: 11.32407

Nega bunday sozlama?
- 4h struktura va diapazonga bog‘langan kundalik kontekst ikkalasi ham 11.12448–11.16214 atrofida munosabat bildirmoqda, shuning uchun sozlama buzilmagan.
- 15m RSI 48 da bo‘lib, zona mustahkam ushlansa, sotuvchilar pastga itarishi mumkin.
- Hajm (volume) bu oddiy “signal” emasligini ko‘rsatmoqda: 0.82x, kutilgani 131.09K ga qarshi 107.33K.

Bu yerda savdo qiling 👇 va sizning keyingi qadamingiz nima: ta’minot zonasidan foydalanasizmi yoki sotuvchi tasdig‘i uchun kutasizmi?

FAQAT TA’LIM MA’LUMOTI. MASLAHAT, TAKLIF, QO‘ZG‘ATISH yoki TAVSIYA EMAS. QADAMINGIZ O‘ZINGIZNIKI, RISKINGIZ O‘ZINGIZNIKI.
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Pasayuvchi
Tarjimani ko‘rish
$SAHARA Short 10x | Target zone achieved, trade is now active. SAHARA has hit the critical zone where I seek confirmation from sellers, not mere speculation. I’m already positioned, and the strategy below outlines where my invalidation lies. Trade Plan: - Entry: 0.00995 – 0.00999 - TP1: 0.00982 (R:R 1:0.7) - TP2: 0.00972 (R:R 1:1.2) - TP3: 0.00957 (R:R 1:2.0) - SL: 0.01017 Why this setup? - The short scenario holds on 4h, with price action adhering to 0.00995–0.00999 while the daily trend remains within a range. - 15m RSI at 42 still provides space for sellers to push lower, assuming they defend this level. - Current volume at 4.00x, with 7.17M traded against 1.79M anticipated, indicates solid participation in this move. Trade here 👇 and How do you see it: genuine supply pressure, or merely a liquidity grab? EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK. {future}(SAHARAUSDT)
$SAHARA Short 10x | Target zone achieved, trade is now active.

SAHARA has hit the critical zone where I seek confirmation from sellers, not mere speculation. I’m already positioned, and the strategy below outlines where my invalidation lies.

Trade Plan:
- Entry: 0.00995 – 0.00999
- TP1: 0.00982 (R:R 1:0.7)
- TP2: 0.00972 (R:R 1:1.2)
- TP3: 0.00957 (R:R 1:2.0)
- SL: 0.01017

Why this setup?
- The short scenario holds on 4h, with price action adhering to 0.00995–0.00999 while the daily trend remains within a range.
- 15m RSI at 42 still provides space for sellers to push lower, assuming they defend this level.
- Current volume at 4.00x, with 7.17M traded against 1.79M anticipated, indicates solid participation in this move.

Trade here 👇 and How do you see it: genuine supply pressure, or merely a liquidity grab?

EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK.
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O‘suvchi
$PROM Long 10x | Talabni ushlab turish strategiyasi, bajarishga yo‘naltirilgan. PROM kutilganidek talab zonasi ichiga qaytyapti. Menda risk aniq belgilangan: bozor shovqini ta’sir qilmaydi. Savdo rejasi: - Kirish: 5.13655 – 5.16715 - TP1: 5.26200 (R:R 1:0.7) - TP2: 5.33544 (R:R 1:1.3) - TP3: 5.44559 (R:R 1:2.0) - SL: 5.00498 Nega bunday setup? - 4 soatlik timeframe uzoq muddatli qarashni qo‘llab-quvvatlaydi, 1D (1 kunlik) nuqtayi nazar esa narx 5.13655–5.16715 oralig‘ida 5.15185 atrofida yurayotganida buqa (bullish) bo‘lib qoladi. - 15m RSI 70 ko‘rsatmoqda; bu kuchli momentumni bildiradi, demak biz shoshilinch quvishdan ko‘ra davomiylikni kutishimiz kerak. - Hajm (volume) dinamikasi qulay: 0.82x temp, 60.53K kutilganiga qarshi 49.41K sotilgan. Bu yerdan savdo qiling 👇 va biz long uchun aynan “shirin nuqta”damizmi yoki aniqroq signal uchun kutgan ma’qulmi? Faqat TA’LIM MA’LUMOTI. MASLAHAT, TAKLIF, MURAJAAAT yoki TAVSIYA EMAS. Sizniki — sizning riskingiz. {future}(PROMUSDT)
$PROM Long 10x | Talabni ushlab turish strategiyasi, bajarishga yo‘naltirilgan.

PROM kutilganidek talab zonasi ichiga qaytyapti. Menda risk aniq belgilangan: bozor shovqini ta’sir qilmaydi.

Savdo rejasi:
- Kirish: 5.13655 – 5.16715
- TP1: 5.26200 (R:R 1:0.7)
- TP2: 5.33544 (R:R 1:1.3)
- TP3: 5.44559 (R:R 1:2.0)
- SL: 5.00498

Nega bunday setup?
- 4 soatlik timeframe uzoq muddatli qarashni qo‘llab-quvvatlaydi, 1D (1 kunlik) nuqtayi nazar esa narx 5.13655–5.16715 oralig‘ida 5.15185 atrofida yurayotganida buqa (bullish) bo‘lib qoladi.
- 15m RSI 70 ko‘rsatmoqda; bu kuchli momentumni bildiradi, demak biz shoshilinch quvishdan ko‘ra davomiylikni kutishimiz kerak.
- Hajm (volume) dinamikasi qulay: 0.82x temp, 60.53K kutilganiga qarshi 49.41K sotilgan.

Bu yerdan savdo qiling 👇 va biz long uchun aynan “shirin nuqta”damizmi yoki aniqroq signal uchun kutgan ma’qulmi?

Faqat TA’LIM MA’LUMOTI. MASLAHAT, TAKLIF, MURAJAAAT yoki TAVSIYA EMAS. Sizniki — sizning riskingiz.
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Pasayuvchi
Tarjimani ko‘rish
$SUI Short 10x | Entering supply, risk parameters established. SUI has reached the critical zone where sellers are expected to engage. I’m already in the trade, but it remains valid only as long as sellers defend this area. Trade Plan: - Entry: 1.02140 – 1.02575 - TP1: 1.00794 (R:R 1:0.8) - TP2: 0.99751 (R:R 1:1.3) - TP3: 0.98187 (R:R 1:2.0) - SL: 1.04442 Why this setup? - The short setup is deliberate, not arbitrary: 4h remains intact while price stays within 1.02140–1.02575 around 1.02357. - The 15m RSI at 49 indicates neutral momentum, allowing for potential downside continuation, which supports the sellers' case. - Current volume shows 3.98x, with 1.99M traded against 501.21K expected, reflecting genuine sell-side activity. Trade here 👇 and Is the invalidation tight enough to act, or does it still feel too loose? EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK. {future}(SUIUSDT)
$SUI Short 10x | Entering supply, risk parameters established.

SUI has reached the critical zone where sellers are expected to engage. I’m already in the trade, but it remains valid only as long as sellers defend this area.

Trade Plan:
- Entry: 1.02140 – 1.02575
- TP1: 1.00794 (R:R 1:0.8)
- TP2: 0.99751 (R:R 1:1.3)
- TP3: 0.98187 (R:R 1:2.0)
- SL: 1.04442

Why this setup?
- The short setup is deliberate, not arbitrary: 4h remains intact while price stays within 1.02140–1.02575 around 1.02357.
- The 15m RSI at 49 indicates neutral momentum, allowing for potential downside continuation, which supports the sellers' case.
- Current volume shows 3.98x, with 1.99M traded against 501.21K expected, reflecting genuine sell-side activity.

Trade here 👇 and Is the invalidation tight enough to act, or does it still feel too loose?

EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK.
Tarjimani ko‘rish
$MARSCOIN Short recap. This short was built from a clear plan, not a random idea. Price entered the short area at 0.13731-0.139438 and reacted there instead of pushing higher. That rejection was the first sign the short side was cleaner than the opposite side. Buying would have meant fighting the failed reclaim, while selling aligned with the actual reaction. RSI near entry was about 50.0, then moved down to about 18.69 as price expanded lower. The stop at 0.153697 was not touched before TP1. TP1 at 0.126882 confirmed the rejection and completed the result, while TP2 and TP3 stayed as planned targets.
$MARSCOIN Short recap.

This short was built from a clear plan, not a random idea. Price entered the short area at 0.13731-0.139438 and reacted there instead of pushing higher. That rejection was the first sign the short side was cleaner than the opposite side. Buying would have meant fighting the failed reclaim, while selling aligned with the actual reaction. RSI near entry was about 50.0, then moved down to about 18.69 as price expanded lower. The stop at 0.153697 was not touched before TP1. TP1 at 0.126882 confirmed the rejection and completed the result, while TP2 and TP3 stayed as planned targets.
509 JonyDong
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Pasayuvchi
$MARSCOIN Short 10x | Short area reached, no need to chase.

MARSCOIN has hit my designated short zone, perfectly aligned with the plan. This is an active trade, not speculation, with clear invalidation already established.

Trade Plan:
- Entry: 0.13731 – 0.13944
- TP1: 0.12688 (R:R 1:0.7)
- TP2: 0.11922 (R:R 1:1.2)
- TP3: 0.10773 (R:R 1:2.0)
- SL: 0.15370

Why this setup?
- The setup remains intact due to the 4h structure and the range-bound 1D context converging at this target zone.
- RSI15 at 61 indicates neutral momentum, allowing for potential downside; I want sellers to capitalize on this space, not merely graze it.
- Current volume stands at 1.04x, with 5.35M traded against 5.12M anticipated, signaling genuine sell-side engagement.

Trade here 👇 and what's your strategy: tight stop for precision, or a broader stop for structure?

EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK.

·
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O‘suvchi
Tarjimani ko‘rish
$ETC Long 10x | This is the long zone I've been eyeing. ETC has hit my designated long entry zone, precisely where I anticipated. This is the critical point for buyers to step up, or the trade loses its potential. Trade Plan: - Entry: 9.40061 – 9.44892 - TP1: 9.65086 (R:R 1:0.8) - TP2: 9.80160 (R:R 1:1.3) - TP3: 10.02769 (R:R 1:2.0) - SL: 9.12331 Why this setup? - The strategy remains intact as 4h structure and the range-bound daily context are both responding around 9.40061–9.44892. - The 15m RSI at 46 still allows buyers to push higher, but this zone needs to hold firm. - Volume indicates this isn't just a fleeting reaction: 3.94x, with 25.08K against 6.36K anticipated. Trade here 👇 and is this a setup for a reversal, or merely a fleeting bounce? EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK. {future}(ETCUSDT)
$ETC Long 10x | This is the long zone I've been eyeing.

ETC has hit my designated long entry zone, precisely where I anticipated. This is the critical point for buyers to step up, or the trade loses its potential.

Trade Plan:
- Entry: 9.40061 – 9.44892
- TP1: 9.65086 (R:R 1:0.8)
- TP2: 9.80160 (R:R 1:1.3)
- TP3: 10.02769 (R:R 1:2.0)
- SL: 9.12331

Why this setup?
- The strategy remains intact as 4h structure and the range-bound daily context are both responding around 9.40061–9.44892.
- The 15m RSI at 46 still allows buyers to push higher, but this zone needs to hold firm.
- Volume indicates this isn't just a fleeting reaction: 3.94x, with 25.08K against 6.36K anticipated.

Trade here 👇 and is this a setup for a reversal, or merely a fleeting bounce?

EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK.
·
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Pasayuvchi
Tarjimani ko‘rish
$USELESS Short 10x | This short only plays out if the supply holds firm. USELESS is approaching a critical supply zone, and the next move is pivotal. I’m not pursuing weakness blindly; I’m leveraging the zone to set my risk parameters. Trade Plan: - Entry: 0.35109 – 0.35444 - TP1: 0.33709 (R:R 1:0.8) - TP2: 0.32664 (R:R 1:1.3) - TP3: 0.31097 (R:R 1:2.0) - SL: 0.37366 Why this setup? - This is fundamentally a location trade: 4h short structure, a bullish daily backdrop, and price reacting from 0.35109–0.35444. - RSI15 at 59 provides space for sellers to push lower, contingent on maintaining control. - Volume is clocking in at 1.82x, with 4.42M traded versus 2.42M anticipated, validating the active participation. Trade here 👇 and Are you ready to sell the zone, or will you wait for a break below support? EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK. {future}(USELESSUSDT)
$USELESS Short 10x | This short only plays out if the supply holds firm.

USELESS is approaching a critical supply zone, and the next move is pivotal. I’m not pursuing weakness blindly; I’m leveraging the zone to set my risk parameters.

Trade Plan:
- Entry: 0.35109 – 0.35444
- TP1: 0.33709 (R:R 1:0.8)
- TP2: 0.32664 (R:R 1:1.3)
- TP3: 0.31097 (R:R 1:2.0)
- SL: 0.37366

Why this setup?
- This is fundamentally a location trade: 4h short structure, a bullish daily backdrop, and price reacting from 0.35109–0.35444.
- RSI15 at 59 provides space for sellers to push lower, contingent on maintaining control.
- Volume is clocking in at 1.82x, with 4.42M traded versus 2.42M anticipated, validating the active participation.

Trade here 👇 and Are you ready to sell the zone, or will you wait for a break below support?

EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK.
·
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O‘suvchi
Tarjimani ko‘rish
$ADA Long 10x | Risk zone has been confirmed. ADA has arrived at the critical zone where the long strategy can be executed. I’m already in the trade; my focus is on whether demand holds up under pressure. Trade Plan: - Entry: 0.25987 – 0.26101 - TP1: 0.26452 (R:R 1:0.7) - TP2: 0.26724 (R:R 1:1.2) - TP3: 0.27132 (R:R 1:2.0) - SL: 0.25500 Why this setup? - The higher timeframe structure remains bullish, with the key reaction point at 0.25987–0.26101 around 0.26044. - The 15m RSI at 65 indicates potential for buyers to push higher, making confirmation essential. - Current volume is at 0.37x, with 7.24M traded against 19.53M anticipated, reinforcing the participation outlook. Trade here 👇 and how do you see it: a solid long opportunity, or a setup for latecomer traps? EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK. {future}(ADAUSDT)
$ADA Long 10x | Risk zone has been confirmed.

ADA has arrived at the critical zone where the long strategy can be executed. I’m already in the trade; my focus is on whether demand holds up under pressure.

Trade Plan:
- Entry: 0.25987 – 0.26101
- TP1: 0.26452 (R:R 1:0.7)
- TP2: 0.26724 (R:R 1:1.2)
- TP3: 0.27132 (R:R 1:2.0)
- SL: 0.25500

Why this setup?
- The higher timeframe structure remains bullish, with the key reaction point at 0.25987–0.26101 around 0.26044.
- The 15m RSI at 65 indicates potential for buyers to push higher, making confirmation essential.
- Current volume is at 0.37x, with 7.24M traded against 19.53M anticipated, reinforcing the participation outlook.

Trade here 👇 and how do you see it: a solid long opportunity, or a setup for latecomer traps?

EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK.
·
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O‘suvchi
Tarjimani ko‘rish
$BTC Long 10x | The target level I've been eyeing is finally here. BTC has hit the critical zone where I expect buyers to step in. The long position is active, but we need market confirmation at this zone. Trade Plan: - Entry: 87011.58804 – 87129.18317 - TP1: 87493.72808 (R:R 1:0.7) - TP2: 87775.95639 (R:R 1:1.2) - TP3: 88199.29887 (R:R 1:2.0) - SL: 86505.92898 Why this setup? - The setup remains intact as the 4h structure aligns with the bullish 1D context at our target zone. - RSI15 at 67 indicates strong momentum; I’m looking for buyers to capitalize on this, not just graze the level. - Current volume is at 2.76x, with 2.45K traded against 888.76000 expected, signaling genuine buy-side interest. Trade here 👇 and is it time to safeguard profits, or should we lean into the potential upside? EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK. {future}(BTCUSDT)
$BTC Long 10x | The target level I've been eyeing is finally here.

BTC has hit the critical zone where I expect buyers to step in. The long position is active, but we need market confirmation at this zone.

Trade Plan:
- Entry: 87011.58804 – 87129.18317
- TP1: 87493.72808 (R:R 1:0.7)
- TP2: 87775.95639 (R:R 1:1.2)
- TP3: 88199.29887 (R:R 1:2.0)
- SL: 86505.92898

Why this setup?
- The setup remains intact as the 4h structure aligns with the bullish 1D context at our target zone.
- RSI15 at 67 indicates strong momentum; I’m looking for buyers to capitalize on this, not just graze the level.
- Current volume is at 2.76x, with 2.45K traded against 888.76000 expected, signaling genuine buy-side interest.

Trade here 👇 and is it time to safeguard profits, or should we lean into the potential upside?

EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK.
$NEAR uzoq sharh. Reja oddiy g‘oyadan boshlandi: talab 4.324-4.362 darajasida ushlanishi kerak edi, aks holda uzoq pozitsiya bekor bo‘lardi. Narx bu zonani shunchaki pastga qabul qilib yubormay, himoya qildi va aynan shu reaksiyaga birinchi muhim ishora bo‘ldi. Kirish (entry) pozitsiyasi ushlanib qolgani uchun, uzoq tomonni majburlab, qarama-qarshi tomonga o‘tishdan ko‘ra yo‘li tozaroq bo‘ldi. RSI entry oynasi atrofida 50.0 dan savdo rivojlangani sari taxminan 69.67 ga ko‘tarildi, bu esa momentum xaridorlar foydasiga og‘ayotganini tasdiqladi. TP1 reaksiyani tasdiqladi, TP2 esa 4.573 da davom etishni ko‘rsatdi. TP3 keyingi rejalashtirilgan maqsad bo‘lib qoldi, yakuniy natija emas. 4.159 dagi stop loss TP2 gacha tegilmadi. Dars shunday: kirish pozitsiyasi ushlansa va momentum kengaysa, rejalashtirilgan maqsad yo‘li bosqichma-bosqich amalga oshishi mumkin.
$NEAR uzoq sharh.

Reja oddiy g‘oyadan boshlandi: talab 4.324-4.362 darajasida ushlanishi kerak edi, aks holda uzoq pozitsiya bekor bo‘lardi. Narx bu zonani shunchaki pastga qabul qilib yubormay, himoya qildi va aynan shu reaksiyaga birinchi muhim ishora bo‘ldi. Kirish (entry) pozitsiyasi ushlanib qolgani uchun, uzoq tomonni majburlab, qarama-qarshi tomonga o‘tishdan ko‘ra yo‘li tozaroq bo‘ldi. RSI entry oynasi atrofida 50.0 dan savdo rivojlangani sari taxminan 69.67 ga ko‘tarildi, bu esa momentum xaridorlar foydasiga og‘ayotganini tasdiqladi. TP1 reaksiyani tasdiqladi, TP2 esa 4.573 da davom etishni ko‘rsatdi. TP3 keyingi rejalashtirilgan maqsad bo‘lib qoldi, yakuniy natija emas. 4.159 dagi stop loss TP2 gacha tegilmadi. Dars shunday: kirish pozitsiyasi ushlansa va momentum kengaysa, rejalashtirilgan maqsad yo‘li bosqichma-bosqich amalga oshishi mumkin.
509 JonyDong
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O‘suvchi
$NEAR Long 10x | Talab ushlab turishi kerak, aks holda reja bekor.

NEAR muhim talab zonasiga yetib keldi, shuning uchun bu savdoni boshqarishga arziydi. Ushbu pozitsiya faol, talab buzilsa bekor bo‘ladi.

Savdo rejasi:
- Kirish: 4.32400 – 4.36200
- TP1: 4.48100 (R:R 1:0.7)
- TP2: 4.57300 (R:R 1:1.3)
- TP3: 4.71000 (R:R 1:2.0)
- SL: 4.15900

Nega bu setup?
- Long setup asoslangan: 4h struktura mos keladi, 1D esa 4.32400–4.36200 oralig‘ida bullish.
- 15m RSI 52 da, zona buzilmaguncha xaridorlar yuqoriga itarishi mumkin.
- Hajm (volume) tahlili bu harakatni qo‘llab-quvvatlaydi: 1.45x sur’at va 1.78M kutilganga qarshi 2.58M savdo.

Bu yerdan savdo qiling 👇 va siz TP1 ni nishonga olyapsizmi yoki butun yo‘l uchun ketyapsizmi?

FAQAT TA’LIM MA’LUMOTI. MASLAHAT EMAS, TAKLIF EMAS, SOTISHGA UNDASH EMAS, YOKI TAVSIYA EMAS. NAVBAT SIZDA, XAVF HAM SIZDA.

·
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O‘suvchi
Tarjimani ko‘rish
$SOL Long 10x | Demand retest in play, strategy remains disciplined. SOL has hit the critical zone where our long setup draws a definitive line. I’ve entered at the designated level; now it’s on buyers to validate this move. Trade Plan: - Entry: 118.80000 – 119.04000 - TP1: 119.77000 (R:R 1:0.7) - TP2: 120.34000 (R:R 1:1.2) - TP3: 121.19000 (R:R 1:2.0) - SL: 117.78000 Why this setup? - This long setup is anchored in solid ground: 4h structure aligns while 1D maintains a bullish stance around 118.80000–119.04000. - The 15m RSI is positioned at 59, allowing buyers to push higher as long as this zone remains intact. - Volume metrics back the trade, showing 1.75x activity with 67.78K traded versus 38.78K anticipated. Trade here 👇 and after hitting TP1, would you tighten your stop or allow the trade to run its course? EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK. {future}(SOLUSDT)
$SOL Long 10x | Demand retest in play, strategy remains disciplined.

SOL has hit the critical zone where our long setup draws a definitive line. I’ve entered at the designated level; now it’s on buyers to validate this move.

Trade Plan:
- Entry: 118.80000 – 119.04000
- TP1: 119.77000 (R:R 1:0.7)
- TP2: 120.34000 (R:R 1:1.2)
- TP3: 121.19000 (R:R 1:2.0)
- SL: 117.78000

Why this setup?
- This long setup is anchored in solid ground: 4h structure aligns while 1D maintains a bullish stance around 118.80000–119.04000.
- The 15m RSI is positioned at 59, allowing buyers to push higher as long as this zone remains intact.
- Volume metrics back the trade, showing 1.75x activity with 67.78K traded versus 38.78K anticipated.

Trade here 👇 and after hitting TP1, would you tighten your stop or allow the trade to run its course?

EDUCATIONAL INFORMATION ONLY. NO ADVICE, OFFER, SOLICITATION, OR RECOMMENDATION. YOUR MOVE, YOUR RISK.
·
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O‘suvchi
$LTC Long 10x | Faol kirish zonasi, stop mantiqi aniq bayon qilingan. LTC muhim talab (demand) zonasida, va kutilayotgan reaksiya juda muhim. Bu strategik hududdan ochilgan jonli pozitsiya bo‘lib, xaridorlar o‘z zimmasiga mas’uliyatni olishi shart. Savdo rejasi: - Kirish: 62.53000 – 62.75000 - TP1: 63.41000 (R:R 1:0.8) - TP2: 63.92000 (R:R 1:1.3) - TP3: 64.68000 (R:R 1:2.0) - SL: 61.62000 Nega aynan bunday setup? - Long setup 4 soatlik (4h) timeframe’da ushlab turadi: narx 62.53000–62.75000 oralig‘ida turgan paytda, kunlik tahlil ham diapazonda qolmoqda. - 15m RSI 50 da bo‘lib, xaridorlarning darajani himoya qila olishi sharti bilan yuqoriga itarish ehtimoli borligini ko‘rsatadi. - Hajm 0.05x: 746.94000 sotilgan (traded) va 14.70K kutilgan (anticipated) — bu harakatda ishtirok yetarli ekanini ko‘rsatadi. Bu yerda savdo qiling 👇 Siz talab ushlanib qolishiga (demand hold) asoslanib harakat qilishga tayyormisiz, yoki momentum qaytadan kuchayishini kutasizmi? FAQAT TA’LIM MA’LUMOTI. MASLAHAT EMAS, TAKLIF EMAS, SO‘ROV EMAS, YOKI TAVSIYA EMAS. QADAMINGIZ O‘ZINGIZDA, XAVF O‘ZINGIZDA. {future}(LTCUSDT)
$LTC Long 10x | Faol kirish zonasi, stop mantiqi aniq bayon qilingan.

LTC muhim talab (demand) zonasida, va kutilayotgan reaksiya juda muhim. Bu strategik hududdan ochilgan jonli pozitsiya bo‘lib, xaridorlar o‘z zimmasiga mas’uliyatni olishi shart.

Savdo rejasi:
- Kirish: 62.53000 – 62.75000
- TP1: 63.41000 (R:R 1:0.8)
- TP2: 63.92000 (R:R 1:1.3)
- TP3: 64.68000 (R:R 1:2.0)
- SL: 61.62000

Nega aynan bunday setup?
- Long setup 4 soatlik (4h) timeframe’da ushlab turadi: narx 62.53000–62.75000 oralig‘ida turgan paytda, kunlik tahlil ham diapazonda qolmoqda.
- 15m RSI 50 da bo‘lib, xaridorlarning darajani himoya qila olishi sharti bilan yuqoriga itarish ehtimoli borligini ko‘rsatadi.
- Hajm 0.05x: 746.94000 sotilgan (traded) va 14.70K kutilgan (anticipated) — bu harakatda ishtirok yetarli ekanini ko‘rsatadi.

Bu yerda savdo qiling 👇 Siz talab ushlanib qolishiga (demand hold) asoslanib harakat qilishga tayyormisiz, yoki momentum qaytadan kuchayishini kutasizmi?

FAQAT TA’LIM MA’LUMOTI. MASLAHAT EMAS, TAKLIF EMAS, SO‘ROV EMAS, YOKI TAVSIYA EMAS. QADAMINGIZ O‘ZINGIZDA, XAVF O‘ZINGIZDA.
·
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O‘suvchi
$ARB Long 10x | Talab qilinayotgan joyda uzoq muddatli setup o‘rnatildi. ARB xaridorlar kirib kelishi kerak bo‘lgan kritik zonaga yetib keldi. Men tradesga kirdim, lekin bozor hali ham bu long ssenariyni tasdiqlashi kerak. Savdo rejasi: - Kirish: 0.24336 – 0.24534 - TP1: 0.25146 (R:R 1:0.7) - TP2: 0.25620 (R:R 1:1.3) - TP3: 0.26330 (R:R 1:2.0) - SL: 0.23488 Nega bu setup? - 4h grafik uzoq pozitsiya uchun valid strukturani qo‘llab-quvvatlaydi: bullish 1D trend va narx harakati 0.24336–0.24534 oralig‘ida, taxminan 0.24435 yaqinida qaytib reaksiyaga kirishgan. - 15m RSI 75 da — kuchli momentumni bildiradi, shuning uchun davomiylik muhim; xaridorlar chiziqni ushlab tursa long uchun imkoniyat bor. - Hajm faol: 3.98x tezlik, 18.20M sotilgan (oldindan kutilgan 4.57M ga nisbatan) — haqiqiy xarid tomoni qiziqishi borligini ko‘rsatadi. Bu yerda trade qiling 👇 va mudofaa uchun qo‘shimcha qo‘shishga tayyormisiz, yo tasdiqlangan qayta egalashni kutasizmi? FAQAT TA’LIM MA’LUMOTI. MASLAHAT EMAS, TAKLIF EMAS, SOTIB OLISHGA UNDAMAYDI YOKI TAVSIYA EMAS. QADAMDAN O‘ZINGIZNI, XAVFNI O‘ZINGIZNI. {future}(ARBUSDT)
$ARB Long 10x | Talab qilinayotgan joyda uzoq muddatli setup o‘rnatildi.

ARB xaridorlar kirib kelishi kerak bo‘lgan kritik zonaga yetib keldi. Men tradesga kirdim, lekin bozor hali ham bu long ssenariyni tasdiqlashi kerak.

Savdo rejasi:
- Kirish: 0.24336 – 0.24534
- TP1: 0.25146 (R:R 1:0.7)
- TP2: 0.25620 (R:R 1:1.3)
- TP3: 0.26330 (R:R 1:2.0)
- SL: 0.23488

Nega bu setup?
- 4h grafik uzoq pozitsiya uchun valid strukturani qo‘llab-quvvatlaydi: bullish 1D trend va narx harakati 0.24336–0.24534 oralig‘ida, taxminan 0.24435 yaqinida qaytib reaksiyaga kirishgan.
- 15m RSI 75 da — kuchli momentumni bildiradi, shuning uchun davomiylik muhim; xaridorlar chiziqni ushlab tursa long uchun imkoniyat bor.
- Hajm faol: 3.98x tezlik, 18.20M sotilgan (oldindan kutilgan 4.57M ga nisbatan) — haqiqiy xarid tomoni qiziqishi borligini ko‘rsatadi.

Bu yerda trade qiling 👇 va mudofaa uchun qo‘shimcha qo‘shishga tayyormisiz, yo tasdiqlangan qayta egalashni kutasizmi?

FAQAT TA’LIM MA’LUMOTI. MASLAHAT EMAS, TAKLIF EMAS, SOTIB OLISHGA UNDAMAYDI YOKI TAVSIYA EMAS. QADAMDAN O‘ZINGIZNI, XAVFNI O‘ZINGIZNI.
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