đš $XMR / XMRUSDT PERP â THE SQUEEZE IS LOADING⊠đš
đ„ Setup Type: LONG
âł Timeframe: 4H
đŻ Structure: Range Compression â Breakout Potential
đ° Entry Zone: 336.27 â 338.23
đ Stop Loss: 331.36
đŻ TP1: 343.14
đŻ TP2: 345.10
đŻ TP3: 349.03
âïž Monero is coiling inside a tightening range â and pressure is building.
On the 4H timeframe, structure is primed. Higher lows are forming, resistance is being tested repeatedly, and volatility is compressing. Thatâs the recipe for expansion.
MeanwhileâŠ
đ Lower Timeframe RSI â Momentum building steadily.
đ Daily Chart â Still range-bound.
This is the classic setup traders wait for:
Momentum rising underneath resistance while the higher timeframe traps late entries.
đ Whatâs Happening Behind the Scenes?
Buyers are stepping in earlier on every dip.
Sellers are defending the top of the range.
Liquidity is stacking above resistance.
When compression tightens like this, the breakout often comes fast â and violent.
But hereâs the twistâŠ
â ïž Range-bound daily charts are notorious for fakeouts.
One aggressive wick above resistance â instant reversal â liquidity grab.
Thatâs why risk management is everything here.
đ Trade Plan Breakdown
đą Ideal Scenario:
Price holds above 336, momentum expands, resistance cracks â acceleration toward:
âą 343.14 (first liquidity pocket)
âą 345.10 (minor structure target)
âą 349.03 (range expansion target)
If breakout volume confirms, TP3 could come quickly.
đŽ Invalidation:
Clean break below 331.36 â structure weakens â bulls step aside.
No hope trades. No revenge trades. Discipline wins.
đ„ This is a volatility compression play.
đ„ This is patience before expansion.
đ„ This is where risk management defines the outcome.
Breakout incomingâŠ
Or liquidity trap first?
Either way â the move is near.
