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chillvass

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Long always $ROSE Entry: Long around 0.01530 – 0.01550 
Stop Loss (SL): Set below 0.01505 – 0.01490 (below red level + weak low extension, or below pink box to avoid stop hunt). → Risk ~1.5–2.5% depending on entry, keep SL tight because ROSE volume is high, easy fakeout down to weak low. • Take Profit (TP) (the logic target levels from chart + nearby resistance): 1. TP1: 0.01560 – 0.01580 (above grey/teal box + broken level, short target, R:R ~1:1–1.5). 2. TP2: 0.01600 – 0.01620 (orange area before CHoCH, average target if strong bounce). 3. TP3: 0.01640 – 0.01680 (old green/grey area + EMA 20/50, extend if volume increases + reclaim, R:R 1:3+ but difficult if bear bias remains strong). {future}(ROSEUSDT)
Long always $ROSE
Entry: Long around 0.01530 – 0.01550 
Stop Loss (SL): Set below 0.01505 – 0.01490 (below red level + weak low extension, or below pink box to avoid stop hunt).
→ Risk ~1.5–2.5% depending on entry, keep SL tight because ROSE volume is high, easy fakeout down to weak low.
• Take Profit (TP) (the logic target levels from chart + nearby resistance):
1. TP1: 0.01560 – 0.01580 (above grey/teal box + broken level, short target, R:R ~1:1–1.5).
2. TP2: 0.01600 – 0.01620 (orange area before CHoCH, average target if strong bounce).
3. TP3: 0.01640 – 0.01680 (old green/grey area + EMA 20/50, extend if volume increases + reclaim, R:R 1:3+ but difficult if bear bias remains strong).
Long $SOL short recovery potential Entry: Long around 90.5 – 91.8 • Stop Loss (SL): Set below 89 – 89.5 (below weak low green, to avoid stop hunt).
→ Risk ~1.5–2.5% depending on entry, keep SL tight due to high volume, easy fakeout. • Take Profit (TP) (target levels based on chart + nearby resistance): TP1: 92.3 – 93 (above pink box + broken level, short target, R:R ~1:1–1.5). TP2: 95 – 95.5 (orange zone before BOS, average target if strong bounce). TP3: 97 – 99 (old grey box / strong resistance, extend if volume increases + reclaim EMA, R:R 1:3+ but hard to achieve). {future}(SOLUSDT)
Long $SOL short recovery potential
Entry: Long around 90.5 – 91.8
• Stop Loss (SL): Set below 89 – 89.5 (below weak low green, to avoid stop hunt).
→ Risk ~1.5–2.5% depending on entry, keep SL tight due to high volume, easy fakeout.
• Take Profit (TP) (target levels based on chart + nearby resistance):
TP1: 92.3 – 93 (above pink box + broken level, short target, R:R ~1:1–1.5).
TP2: 95 – 95.5 (orange zone before BOS, average target if strong bounce).
TP3: 97 – 99 (old grey box / strong resistance, extend if volume increases + reclaim EMA, R:R 1:3+ but hard to achieve).
chillvass
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Long position $DUSK with a short recovery time
Entry (enter long position):
• 0.0985 – 0.1000 (right at the current price if holding Weak Low or confirming a bounce from the dotted area 0.09994 acting as support).
• Take Profit (TP) – target upside (based on chart levels + extension if reversal):
• TP1: 0.1009 – 0.1024 (the gray/red area just broke, reclaiming acts as support).
• TP2: 0.1032 – 0.1047 (next red/orange levels, fib 0.382 retrace dump).
• TP3: 0.1060 – 0.1068 (cyan/teal level, top pink box or short-term EMA if pumped).
• Further TP if strong bounce (news catalyst): 0.1080 – 0.1122 (high green).
• Stop Loss (SL):
• 0.0950 – 0.0960 (below the lowest Weak Low red on the chart to avoid continuation dump)
{future}(DUSKUSDT)
Short $ZEC what to do, I'll follow you dasu Entry: Short around 245 – 247 • Stop Loss (SL): Set above 252 – 255 (above the old pink box / previous BOS area, or higher than the nearest EMA for safety).
→ Risk ~2–3% depending on entry position, keep SL tight due to high volume, ZEC has dumped strongly recently. • Take Profit (TP) (target levels based on chart logic + bearish extension): 1. TP1: 236 – 240 (weak low area + below the green box, short target, R:R ~1:1.5–2). 2. TP2: 232 – 225 (lower area, if momentum continues, medium target). 3. TP3: 224 – 220 or lower if breaking weak low (extend if volume dumps strongly, R:R may be 1:3+). {future}(ZECUSDT)
Short $ZEC what to do, I'll follow you dasu
Entry: Short around 245 – 247
• Stop Loss (SL): Set above 252 – 255 (above the old pink box / previous BOS area, or higher than the nearest EMA for safety).
→ Risk ~2–3% depending on entry position, keep SL tight due to high volume, ZEC has dumped strongly recently.
• Take Profit (TP) (target levels based on chart logic + bearish extension):
1. TP1: 236 – 240 (weak low area + below the green box, short target, R:R ~1:1.5–2).
2. TP2: 232 – 225 (lower area, if momentum continues, medium target).
3. TP3: 224 – 220 or lower if breaking weak low (extend if volume dumps strongly, R:R may be 1:3+).
Short $NEAR is at entry short Entry: Short around 1.115 – 1.120 • Stop Loss (SL): Set above 1.135 – 1.140 (above the old BOS zone / pink box, or higher than the nearest EMA for safety).
→ Risk around 1.6–2% depending on leverage, but keep SL tight due to high volatility. • Take Profit (TP) (the target levels bearish logic from chart): 1. TP1: 1.110 – 1.100 (the lower zone weak low, short-term target, R:R ~1:1 to 1:1.5). 2. TP2: 1.090 – 1.080 (the weak green line zone, medium-term target). 3. TP3: 1.074 – 1.065 (the lower support level highlighted in green, target extend if strong momentum, R:R may be 1:3+). {future}(NEARUSDT)
Short $NEAR is at entry short
Entry: Short around 1.115 – 1.120
• Stop Loss (SL): Set above 1.135 – 1.140 (above the old BOS zone / pink box, or higher than the nearest EMA for safety).
→ Risk around 1.6–2% depending on leverage, but keep SL tight due to high volatility.
• Take Profit (TP) (the target levels bearish logic from chart):
1. TP1: 1.110 – 1.100 (the lower zone weak low, short-term target, R:R ~1:1 to 1:1.5).
2. TP2: 1.090 – 1.080 (the weak green line zone, medium-term target).
3. TP3: 1.074 – 1.065 (the lower support level highlighted in green, target extend if strong momentum, R:R may be 1:3+).
chillvass
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Short always $DASH trend privacy cool down
Entry (enter short position):
• 39.50 – 39.80 (right at the current price or confirm rejection at the dotted line 39.60 acting as resistance).
• Take Profit (TP) – target downside (based on chart levels + extension):
• TP1: 38.00 – 38.50 (low extension zone, psychological).
• TP2: 37.00 – 37.58 (next support if breaking weak low strongly).
• TP3: 35.85 (the lowest green level on chart, fib extension or major low).
• If a strong dump occurs (market bear), it can drop lower ~33-35.
• Stop Loss (SL):
• 40.80 – 41.00 (above the pink box that just broke, or above the level 40.89 red).
{future}(DASHUSDT)
Long position $DUSK with a short recovery time Entry (enter long position): • 0.0985 – 0.1000 (right at the current price if holding Weak Low or confirming a bounce from the dotted area 0.09994 acting as support). • Take Profit (TP) – target upside (based on chart levels + extension if reversal): • TP1: 0.1009 – 0.1024 (the gray/red area just broke, reclaiming acts as support). • TP2: 0.1032 – 0.1047 (next red/orange levels, fib 0.382 retrace dump). • TP3: 0.1060 – 0.1068 (cyan/teal level, top pink box or short-term EMA if pumped). • Further TP if strong bounce (news catalyst): 0.1080 – 0.1122 (high green). • Stop Loss (SL): • 0.0950 – 0.0960 (below the lowest Weak Low red on the chart to avoid continuation dump) {future}(DUSKUSDT)
Long position $DUSK with a short recovery time
Entry (enter long position):
• 0.0985 – 0.1000 (right at the current price if holding Weak Low or confirming a bounce from the dotted area 0.09994 acting as support).
• Take Profit (TP) – target upside (based on chart levels + extension if reversal):
• TP1: 0.1009 – 0.1024 (the gray/red area just broke, reclaiming acts as support).
• TP2: 0.1032 – 0.1047 (next red/orange levels, fib 0.382 retrace dump).
• TP3: 0.1060 – 0.1068 (cyan/teal level, top pink box or short-term EMA if pumped).
• Further TP if strong bounce (news catalyst): 0.1080 – 0.1122 (high green).
• Stop Loss (SL):
• 0.0950 – 0.0960 (below the lowest Weak Low red on the chart to avoid continuation dump)
Long $AXS expectations for the gamefi trend to return after the privicy craze Entry (long position):• 1.600 – 1.630 (at the current price or confirm hold/reclaim the 1.6024 area as support). • Take Profit (TP) – target upside (based on chart levels + extension): • TP1: 1.620 – 1.630 (the higher EQH area or top pink box). • TP2: 1.656 – 1.662 (cyan/blue level 1.6562, next resistance). • TP3: 1.680 – 1.700 (fib extension or higher gray area, psychological). • Further TP if a strong pump occurs (news catalyst): 1.7426 (higher green level on the chart) or 1.76 (long-term EMA?). • Stop Loss (SL): • 1.450-1.500 {future}(AXSUSDT)
Long $AXS expectations for the gamefi trend to return after the privicy craze
Entry (long position):• 1.600 – 1.630 (at the current price or confirm hold/reclaim the 1.6024 area as support).
• Take Profit (TP) – target upside (based on chart levels + extension):
• TP1: 1.620 – 1.630 (the higher EQH area or top pink box).
• TP2: 1.656 – 1.662 (cyan/blue level 1.6562, next resistance).
• TP3: 1.680 – 1.700 (fib extension or higher gray area, psychological).
• Further TP if a strong pump occurs (news catalyst): 1.7426 (higher green level on the chart) or 1.76 (long-term EMA?).
• Stop Loss (SL):
• 1.450-1.500
chillvass
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Long always $ETH dò đáy
Entry: Long around 2,090 – 2,110
• Stop Loss (SL): Below main support / pink box low ~2,035 – 2,060 (about 2–3% risk depending on leverage, invalidate if breaks down strongly → bear extension towards 1,960–2,000 psychological).
• Take Profit (TP) (RR 1:2 to 1:4+, scale out):
• TP1: 2,160 – 2,200 (red/orange zones minor resistance, fib retrace or liquidity grab before) → scale 30–50%.
• TP2: 2,240 – 2,275 (grey/teal zones, reclaim BOS low if momentum shifts) → scale further.
• TP3 (swing/target extension): 2,310 – 2,360 (cyan/pink previous resistance, fib 0.618 or test short EMA if strong breakout) → hold the remaining part, trailing stop (trail according to new low or EMA20 when rising).
{future}(ETHUSDT)
Short always $DASH trend privacy cool down Entry (enter short position): • 39.50 – 39.80 (right at the current price or confirm rejection at the dotted line 39.60 acting as resistance). • Take Profit (TP) – target downside (based on chart levels + extension): • TP1: 38.00 – 38.50 (low extension zone, psychological). • TP2: 37.00 – 37.58 (next support if breaking weak low strongly). • TP3: 35.85 (the lowest green level on chart, fib extension or major low). • If a strong dump occurs (market bear), it can drop lower ~33-35. • Stop Loss (SL): • 40.80 – 41.00 (above the pink box that just broke, or above the level 40.89 red). {future}(DASHUSDT)
Short always $DASH trend privacy cool down
Entry (enter short position):
• 39.50 – 39.80 (right at the current price or confirm rejection at the dotted line 39.60 acting as resistance).
• Take Profit (TP) – target downside (based on chart levels + extension):
• TP1: 38.00 – 38.50 (low extension zone, psychological).
• TP2: 37.00 – 37.58 (next support if breaking weak low strongly).
• TP3: 35.85 (the lowest green level on chart, fib extension or major low).
• If a strong dump occurs (market bear), it can drop lower ~33-35.
• Stop Loss (SL):
• 40.80 – 41.00 (above the pink box that just broke, or above the level 40.89 red).
Short $TAO thủng đáy Entry:183.0 – 183.8 • Take Profit (TP) – target downside (based on chart levels + common extension): • TP1: 180.0 – 180.5 (the lower zone of green box, psychological). • TP2: 177.5 (Weak Low light green, weak support – main target if strong dump). • TP3: 175.0 – 172.5 (fib extension or next low if break Weak Low). • Further target if strong momentum: 168.1 (the lowest green level on chart). • Stop Loss (SL): • 187.0 – 188.0 (above the pink rectangle zone just broken, or above EMA 20 if retest {future}(TAOUSDT)
Short $TAO thủng đáy
Entry:183.0 – 183.8
• Take Profit (TP) – target downside (based on chart levels + common extension):
• TP1: 180.0 – 180.5 (the lower zone of green box, psychological).
• TP2: 177.5 (Weak Low light green, weak support – main target if strong dump).
• TP3: 175.0 – 172.5 (fib extension or next low if break Weak Low).
• Further target if strong momentum: 168.1 (the lowest green level on chart).
• Stop Loss (SL):
• 187.0 – 188.0 (above the pink rectangle zone just broken, or above EMA 20 if retest
Short command $PIPPIN stabilizer for you guys {future}(PIPPINUSDT)
Short command $PIPPIN stabilizer for you guys
chillvass
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Short $PIPPIN
Entry: Short around 0.175 – 0.179
• Stop Loss (SL): Above the nearest resistance / failed demand zone ~0.183 – 0.185 (about 3–5% risk depending on leverage, invalidate if a strong reclaim occurs → flip bullish test 0.19+).
• Take Profit (TP) (RR 1:2 to 1:4+, scale out):
• TP1: 0.170 – 0.172 (small lower grey/teal resistance area, fib extension or liquidity grab) → scale 40–50%.
• TP2: 0.162 – 0.165 (red/green weak low extension, fib 0.618 or next support) → continue scaling.
• TP3 (swing/deeper target): 0.155 – 0.162 (lower teal/red zones, potential deeper dump if meme panic) → hold the remaining part, trailing stop (trail according to new high or EMA20 when going down).
{future}(PIPPINUSDT)
Short always $ZAMA this one probably back to 0.01 Entry (enter short): 0.02500 – 0.02530 (confirm break & retest the area just broken making resistance, or right at the current price if momentum continues to dump). • Take Profit (TP) – the downside target levels (based on chart and common fib/extension): • TP1: 0.02400 – 0.02420 (the lower area of the pink box extension). • TP2: 0.02200 – 0.02250 (the next support area). • TP3: 0.02000 (psychological + strong extension). • Further TP if it dumps more: 0.01800 → 0.01669 (the low green level on the chart, could be fib target 0.786 or lower). • Stop Loss (SL): 0.02750 – 0.02820 (above the nearest resistance area, or above EMA 20/50 if retest, to avoid fakeout pump). Risk approximately 8-12% from entry. {future}(ZAMAUSDT)
Short always $ZAMA this one probably back to 0.01
Entry (enter short): 0.02500 – 0.02530 (confirm break & retest the area just broken making resistance, or right at the current price if momentum continues to dump).
• Take Profit (TP) – the downside target levels (based on chart and common fib/extension):
• TP1: 0.02400 – 0.02420 (the lower area of the pink box extension).
• TP2: 0.02200 – 0.02250 (the next support area).
• TP3: 0.02000 (psychological + strong extension).
• Further TP if it dumps more: 0.01800 → 0.01669 (the low green level on the chart, could be fib target 0.786 or lower).
• Stop Loss (SL): 0.02750 – 0.02820 (above the nearest resistance area, or above EMA 20/50 if retest, to avoid fakeout pump). Risk approximately 8-12% from entry.
Short $PIPPIN Entry: Short around 0.175 – 0.179 • Stop Loss (SL): Above the nearest resistance / failed demand zone ~0.183 – 0.185 (about 3–5% risk depending on leverage, invalidate if a strong reclaim occurs → flip bullish test 0.19+). • Take Profit (TP) (RR 1:2 to 1:4+, scale out): • TP1: 0.170 – 0.172 (small lower grey/teal resistance area, fib extension or liquidity grab) → scale 40–50%. • TP2: 0.162 – 0.165 (red/green weak low extension, fib 0.618 or next support) → continue scaling. • TP3 (swing/deeper target): 0.155 – 0.162 (lower teal/red zones, potential deeper dump if meme panic) → hold the remaining part, trailing stop (trail according to new high or EMA20 when going down). {future}(PIPPINUSDT)
Short $PIPPIN
Entry: Short around 0.175 – 0.179
• Stop Loss (SL): Above the nearest resistance / failed demand zone ~0.183 – 0.185 (about 3–5% risk depending on leverage, invalidate if a strong reclaim occurs → flip bullish test 0.19+).
• Take Profit (TP) (RR 1:2 to 1:4+, scale out):
• TP1: 0.170 – 0.172 (small lower grey/teal resistance area, fib extension or liquidity grab) → scale 40–50%.
• TP2: 0.162 – 0.165 (red/green weak low extension, fib 0.618 or next support) → continue scaling.
• TP3 (swing/deeper target): 0.155 – 0.162 (lower teal/red zones, potential deeper dump if meme panic) → hold the remaining part, trailing stop (trail according to new high or EMA20 when going down).
Voltage stabilizer yet bro, drink $COLLECT the goods against the wave {future}(COLLECTUSDT)
Voltage stabilizer yet bro, drink $COLLECT the goods against the wave
chillvass
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Long $COLLECT is currently set up quite well for long
Entry: Long around 0.0370 – 0.0375
• Stop Loss (SL): Below weak low / nearest low area ~0.0360 – 0.0355 (about 2–4% risk depending on leverage). If it breaks down strongly, then invalidate bullish setup.
• Take Profit (TP) (RR 1:2 to 1:3+):
• TP1: 0.0388 – 0.0395 (small resistance area, fib retrace or liquidity grab) → scale out 30–50%.
• TP2: 0.041 – 0.043 (previous BOS area or nearest high) → continue to scale out.
• TP3 (swing): 0.047 – 0.052 (blue box area + fib 0.618, target extension if momentum is strong) → hold the remaining part with trailing stop.
{future}(COLLECTUSDT)
Long always $ETH dò đáy Entry: Long around 2,090 – 2,110 • Stop Loss (SL): Below main support / pink box low ~2,035 – 2,060 (about 2–3% risk depending on leverage, invalidate if breaks down strongly → bear extension towards 1,960–2,000 psychological). • Take Profit (TP) (RR 1:2 to 1:4+, scale out): • TP1: 2,160 – 2,200 (red/orange zones minor resistance, fib retrace or liquidity grab before) → scale 30–50%. • TP2: 2,240 – 2,275 (grey/teal zones, reclaim BOS low if momentum shifts) → scale further. • TP3 (swing/target extension): 2,310 – 2,360 (cyan/pink previous resistance, fib 0.618 or test short EMA if strong breakout) → hold the remaining part, trailing stop (trail according to new low or EMA20 when rising). {future}(ETHUSDT)
Long always $ETH dò đáy
Entry: Long around 2,090 – 2,110
• Stop Loss (SL): Below main support / pink box low ~2,035 – 2,060 (about 2–3% risk depending on leverage, invalidate if breaks down strongly → bear extension towards 1,960–2,000 psychological).
• Take Profit (TP) (RR 1:2 to 1:4+, scale out):
• TP1: 2,160 – 2,200 (red/orange zones minor resistance, fib retrace or liquidity grab before) → scale 30–50%.
• TP2: 2,240 – 2,275 (grey/teal zones, reclaim BOS low if momentum shifts) → scale further.
• TP3 (swing/target extension): 2,310 – 2,360 (cyan/pink previous resistance, fib 0.618 or test short EMA if strong breakout) → hold the remaining part, trailing stop (trail according to new low or EMA20 when rising).
Long $HYPE dò đáy mỗi con này đang giữ được chart Entry: Long quanh 33.60 – 33.90 ( • Stop Loss (SL): Below the main support / pink box low ~32.60 – 33.00 (about 2–4% risk depending on leverage, invalidate if breaks down strongly → extension bear to blue/red zones 31–32). • Take Profit (TP) (RR 1:2 to 1:4+, scale out): • TP1: 34.50 – 35.00 (small resistance area/red box before, fib retrace or liquidity grab) → scale 30–50%. • TP2: 36.00 – 37.00 (teal/green zones, reclaim BOS if momentum shifts) → scale further. • TP3 (swing/target extension): 38.00 – 39.00 (weak high + previous grey box, fib 0.618 or test short EMA if breakout is strong) → hold the remaining part, trailing stop (trail according to new low or EMA20 when rising). {future}(HYPEUSDT)
Long $HYPE dò đáy mỗi con này đang giữ được chart
Entry: Long quanh 33.60 – 33.90 (
• Stop Loss (SL): Below the main support / pink box low ~32.60 – 33.00 (about 2–4% risk depending on leverage, invalidate if breaks down strongly → extension bear to blue/red zones 31–32).
• Take Profit (TP) (RR 1:2 to 1:4+, scale out):
• TP1: 34.50 – 35.00 (small resistance area/red box before, fib retrace or liquidity grab) → scale 30–50%.
• TP2: 36.00 – 37.00 (teal/green zones, reclaim BOS if momentum shifts) → scale further.
• TP3 (swing/target extension): 38.00 – 39.00 (weak high + previous grey box, fib 0.618 or test short EMA if breakout is strong) → hold the remaining part, trailing stop (trail according to new low or EMA20 when rising).
Long $BTC dò đáy kèo rủi ro cao Entry: Long around 70,800 – 71,200 ( • Stop Loss (SL): Below weak low/main support ~69,500 – 70,000 (about 2–3% risk depending on leverage, invalidate if breaks down strongly → bear extension to 68k–65k zones). • Take Profit (TP) (RR 1:2 to 1:4+, scale out): • TP1: 73,000 – 73,302 (small red box resistance, fib retrace or liquidity grab before) → scale 30–50%. • TP2: 74,300 – 75,000 (green/orange zones, reclaim BOS low if momentum shifts) → scale further. • TP3 (swing/target extension): 76,000 – 76,945 (cyan box + higher resistance, fib 0.618 or test short EMA if breakout is strong) → hold the remaining part, trailing stop (for example, trail according to new low or EMA20 when rising). {future}(BTCUSDT)
Long $BTC dò đáy kèo rủi ro cao
Entry: Long around 70,800 – 71,200 (
• Stop Loss (SL): Below weak low/main support ~69,500 – 70,000 (about 2–3% risk depending on leverage, invalidate if breaks down strongly → bear extension to 68k–65k zones).
• Take Profit (TP) (RR 1:2 to 1:4+, scale out):
• TP1: 73,000 – 73,302 (small red box resistance, fib retrace or liquidity grab before) → scale 30–50%.
• TP2: 74,300 – 75,000 (green/orange zones, reclaim BOS low if momentum shifts) → scale further.
• TP3 (swing/target extension): 76,000 – 76,945 (cyan box + higher resistance, fib 0.618 or test short EMA if breakout is strong) → hold the remaining part, trailing stop (for example, trail according to new low or EMA20 when rising).
Long short eat back $XAU Entry: Long around 4,850 – 4,880 • Stop Loss (SL): Below main support / pink box low ~4,800 – 4,814 • Take Profit (TP) (RR 1:2 to 1:4+, scale out): • TP1: 4,950 – 4,987 (small blue/grey resistance area, fib retrace or liquidity grab before) → scale 30–50%. • TP2: 5,040 – 5,055 (teal/grey area, reclaim short EMA if momentum shifts) → scale further. • TP3 (swing/target extension): 5,120 – 5,174 (weak high + previous red box, fib 0.618 or BOS reclaim if strong breakout) → hold the remaining part, trailing stop (for example, trail according to EMA20 when up). {future}(XAUUSDT)
Long short eat back $XAU
Entry: Long around 4,850 – 4,880
• Stop Loss (SL): Below main support / pink box low ~4,800 – 4,814
• Take Profit (TP) (RR 1:2 to 1:4+, scale out):
• TP1: 4,950 – 4,987 (small blue/grey resistance area, fib retrace or liquidity grab before) → scale 30–50%.
• TP2: 5,040 – 5,055 (teal/grey area, reclaim short EMA if momentum shifts) → scale further.
• TP3 (swing/target extension): 5,120 – 5,174 (weak high + previous red box, fib 0.618 or BOS reclaim if strong breakout) → hold the remaining part, trailing stop (for example, trail according to EMA20 when up).
Short $XRP continuously breaking the bottom Entry: Short around 1.440 – 1.455 • Stop Loss (SL): Above the nearest resistance / failed demand zone ~1.48 – 1.50 • Take Profit (TP) (RR 1:2 to 1:4+, scale out): • TP1: 1.40 – 1.41 (lower grey box area, fib extension or next small support) → scale 40–50%. • TP2: 1.35 – 1.30 (lower grey area + potential weak low extension) → continue scaling. • TP3 (swing/target deeper): 1.25 – 1.2588 (green box historical low, fib 0.786 or deeper if a strong dump occurs according to the market) → hold the remaining part, trailing stop when going down. {future}(XRPUSDT)
Short $XRP continuously breaking the bottom
Entry: Short around 1.440 – 1.455
• Stop Loss (SL): Above the nearest resistance / failed demand zone ~1.48 – 1.50
• Take Profit (TP) (RR 1:2 to 1:4+, scale out):
• TP1: 1.40 – 1.41 (lower grey box area, fib extension or next small support) → scale 40–50%.
• TP2: 1.35 – 1.30 (lower grey area + potential weak low extension) → continue scaling.
• TP3 (swing/target deeper): 1.25 – 1.2588 (green box historical low, fib 0.786 or deeper if a strong dump occurs according to the market) → hold the remaining part, trailing stop when going down.
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