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💎 HOW TO SURVIVE AND PROFIT IN CRYPTO — AVOID LOSSES 💎 Most traders lose because they trade with emotion, not strategy. Here’s how to protect yourself: 🔹 1️⃣ Capital Preservation First Never risk more than 1–2% of your total capital per trade Protect your principal — profits come later 🔹 2️⃣ Stop-Loss Discipline Always set Stop-Loss before entering a trade Never move it lower out of hope — follow your plan 🔹 3️⃣ Buy with Logic, Not Hype Check support & resistance levels Look for volume confirmation Avoid chasing pumps or tweets 🔹 4️⃣ Emotional Control Don’t trade when stressed or greedy Avoid revenge trading after losses Patience > Impulse 🔹 5️⃣ Diversification & Risk Management Split your portfolio: • 50–70% in long-term holds (BTC, ETH) • 20–30% in swing trades • 5–10% in high-risk gems (optional) Never put all your money in one coin 🔥 PRO TIP: “The first trade is protecting your capital. The second is earning profits.” 💬 Quick Question: Are you focused on survival first or chasing quick gains? Comment: SURVIVAL or GAINS #CryptoTrading #MoneyManagement #RiskControl #Mission10K #MasterTrader
💎 HOW TO SURVIVE AND PROFIT IN CRYPTO — AVOID LOSSES 💎
Most traders lose because they trade with emotion, not strategy. Here’s how to protect yourself:
🔹 1️⃣ Capital Preservation First
Never risk more than 1–2% of your total capital per trade
Protect your principal — profits come later
🔹 2️⃣ Stop-Loss Discipline
Always set Stop-Loss before entering a trade
Never move it lower out of hope — follow your plan
🔹 3️⃣ Buy with Logic, Not Hype
Check support & resistance levels
Look for volume confirmation
Avoid chasing pumps or tweets
🔹 4️⃣ Emotional Control
Don’t trade when stressed or greedy
Avoid revenge trading after losses
Patience > Impulse
🔹 5️⃣ Diversification & Risk Management
Split your portfolio:
• 50–70% in long-term holds (BTC, ETH)
• 20–30% in swing trades
• 5–10% in high-risk gems (optional)
Never put all your money in one coin
🔥 PRO TIP:
“The first trade is protecting your capital. The second is earning profits.”
💬 Quick Question:
Are you focused on survival first or chasing quick gains?
Comment: SURVIVAL or GAINS
#CryptoTrading #MoneyManagement #RiskControl #Mission10K #MasterTrader
🚨 CRYPTO SURVIVAL GUIDE — AVOID LOSSES 🚨 90% of traders lose because they trade emotionally, not logically. Don’t be one of them. 🔹 1️⃣ Protect Your Capital Risk only 1–2% per trade Never chase losses — capital preservation first 🔹 2️⃣ Trade With a Plan Always set Stop-Loss & Take-Profit Stick to your trading rules, even if FOMO hits 🔹 3️⃣ Analyze, Don’t Guess Check support & resistance levels Confirm with volume & trend indicators Avoid buying based on hype or tweets 🔹 4️⃣ Emotional Mastery Don’t trade when angry, fearful, or greedy Avoid revenge trading after a loss Patience and consistency beat luck 🔹 5️⃣ Smart Portfolio Management 50–70% in long-term holds ($BTC , $ETH , $SOL ) 20–30% in short-term trades 5–10% in high-risk gems (only if you can afford it) 💡 Pro Tip: "The first trade is protecting your money. The second is making it grow." 💬 Question for Traders: Are you focusing on survival or chasing quick gains? Comment: SURVIVE or CHASE #CryptoTrading #moneymanagement #RiskControl #Mission10K #MasterTrader
🚨 CRYPTO SURVIVAL GUIDE — AVOID LOSSES 🚨
90% of traders lose because they trade emotionally, not logically. Don’t be one of them.
🔹 1️⃣ Protect Your Capital
Risk only 1–2% per trade
Never chase losses — capital preservation first
🔹 2️⃣ Trade With a Plan
Always set Stop-Loss & Take-Profit
Stick to your trading rules, even if FOMO hits
🔹 3️⃣ Analyze, Don’t Guess
Check support & resistance levels
Confirm with volume & trend indicators
Avoid buying based on hype or tweets
🔹 4️⃣ Emotional Mastery
Don’t trade when angry, fearful, or greedy
Avoid revenge trading after a loss
Patience and consistency beat luck
🔹 5️⃣ Smart Portfolio Management
50–70% in long-term holds ($BTC , $ETH , $SOL )
20–30% in short-term trades
5–10% in high-risk gems (only if you can afford it)
💡 Pro Tip:
"The first trade is protecting your money. The second is making it grow."
💬 Question for Traders:
Are you focusing on survival or chasing quick gains?
Comment: SURVIVE or CHASE
#CryptoTrading #moneymanagement #RiskControl #Mission10K #MasterTrader
💎 CRYPTO TRADING & MONEY MANAGEMENT — LIVE TIPS 💎 Traders often lose 90% of profits due to poor risk management. Let’s fix that. 🔹 1️⃣ Entry Strategy Buy the dip, sell the rally — don’t chase pumps Identify strong support & resistance zones Wait for confirmation before entering 🔹 2️⃣ Position Sizing Risk 1–2% of total capital per trade Never go “all-in” — diversify across 2–3 coins Adjust trade size according to volatility 🔹 3️⃣ Stop-Loss & Take-Profit Always set a Stop-Loss — protect your capital Set realistic Take-Profit levels (1:2 or 1:3 risk/reward ratio) Move Stop-Loss to break-even once trade moves in your favor 🔹 4️⃣ Emotional Control Never trade when emotional / FOMO-driven Avoid revenge trading after losses Consistency > Luck 🔹 5️⃣ Portfolio Management Keep 50–70% in long-term holds ($BTC , $ETH , $SOL ) 20–30% in short-term trades for active growth 5–10% in high-risk gems (like altcoins) — optional 🔥 Pro Tip: “Capital preservation is the first trade. Profits come later.” 💬 Quick Question for Readers: Do you focus more on trading or holding long-term? Comment: TRADE or HOLD #cryptotrading #moneymanagement #RiskControl #Mission10K #MasterTrader
💎 CRYPTO TRADING & MONEY MANAGEMENT — LIVE TIPS 💎
Traders often lose 90% of profits due to poor risk management. Let’s fix that.
🔹 1️⃣ Entry Strategy
Buy the dip, sell the rally — don’t chase pumps
Identify strong support & resistance zones
Wait for confirmation before entering
🔹 2️⃣ Position Sizing
Risk 1–2% of total capital per trade
Never go “all-in” — diversify across 2–3 coins
Adjust trade size according to volatility
🔹 3️⃣ Stop-Loss & Take-Profit
Always set a Stop-Loss — protect your capital
Set realistic Take-Profit levels (1:2 or 1:3 risk/reward ratio)
Move Stop-Loss to break-even once trade moves in your favor
🔹 4️⃣ Emotional Control
Never trade when emotional / FOMO-driven
Avoid revenge trading after losses
Consistency > Luck
🔹 5️⃣ Portfolio Management
Keep 50–70% in long-term holds ($BTC , $ETH , $SOL )
20–30% in short-term trades for active growth
5–10% in high-risk gems (like altcoins) — optional
🔥 Pro Tip:
“Capital preservation is the first trade. Profits come later.”
💬 Quick Question for Readers:
Do you focus more on trading or holding long-term?
Comment: TRADE or HOLD
#cryptotrading #moneymanagement #RiskControl #Mission10K #MasterTrader
Stop scrolling This one real talk I dont hold any $XRP I dont buy or sell coins I just analyze market You holding 8800 $XRP at 1.20 average Position around 10560 If XRP move 2 that strong If 5 big cycle If 10 needs massive adoption and liquidity Project survived SEC fight and still here Something maybe cooking but market must confirm with volume Dont fall in love with coin #xrp #Altcoins #CryptoJourney #RiskControl #blockchain
Stop scrolling This one real talk
I dont hold any $XRP I dont buy or sell coins
I just analyze market
You holding 8800 $XRP at 1.20 average
Position around 10560
If XRP move 2 that strong
If 5 big cycle
If 10 needs massive adoption and liquidity
Project survived SEC fight and still here
Something maybe cooking but market must confirm with volume
Dont fall in love with coin
#xrp #Altcoins #CryptoJourney #RiskControl #blockchain
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⚡$ADA — Trading Setup 🎯 LONG DE MOMENTUM EXPLOSIVO 📍 Zona de Entrada:$0.288-$0.295 (pullback a EMAs como soporte) 🛑 Stop Loss:$0.262 (invalidación bajo mínimos recientes) 💰 Take Profit:🥇 TP1: $0.310-$0.315 — R:R 1:1.5🥈 TP2: $0.335-$0.350 — R:R 1:3.5🥉 TP3: $0.370-$0.390 — R:R 1:6 ⚠️ Confirmaciones:✅ Golden cross confirmado✅ Rally más fuerte del mercado (+11%)✅ MACD cruzando positivo❌ Pérdida de $0.262 = invalidación 🔄 Contexto: $ADA liderando con mayor ganancia. Rally explosivo. Momentum excepcional. #ADA #Cardano #TradingPlan #Futuros #RiskControl {future}(ADAUSDT)
$ADA — Trading Setup
🎯 LONG DE MOMENTUM EXPLOSIVO
📍 Zona de Entrada:$0.288-$0.295 (pullback a EMAs como soporte)
🛑 Stop Loss:$0.262 (invalidación bajo mínimos recientes)
💰 Take Profit:🥇 TP1: $0.310-$0.315 — R:R 1:1.5🥈 TP2: $0.335-$0.350 — R:R 1:3.5🥉 TP3: $0.370-$0.390 — R:R 1:6
⚠️ Confirmaciones:✅ Golden cross confirmado✅ Rally más fuerte del mercado (+11%)✅ MACD cruzando positivo❌ Pérdida de $0.262 = invalidación
🔄 Contexto: $ADA liderando con mayor ganancia. Rally explosivo. Momentum excepcional.
#ADA #Cardano #TradingPlan #Futuros #RiskControl
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⚡$XRP — Trading Setup 🎯 LONG DE MOMENTUM 📍 Zona de Entrada:$1.39-$1.42 (pullback a EMA 7/EMA 25 como soporte) 🛑 Stop Loss:$1.35 (invalidación bajo mínimos recientes) 💰 Take Profit:🥇 TP1: $1.47-$1.49 — R:R 1:1.5🥈 TP2: $1.54-$1.57 — R:R 1:4🥉 TP3: $1.63-$1.67 — R:R 1:6.5 ⚠️ Gestión de riesgo:✅ Rally técnico confirmado✅ MACD en territorio positivo✅ Volumen creciente consistente❌ Pérdida de $1.35 = invalidación 🔄 Status: Rally técnico en desarrollo. Momentum alcista sostenido. #XRP #Ripple #TradingPlan #Futuros #RiskControl {future}(XRPUSDT)
$XRP — Trading Setup
🎯 LONG DE MOMENTUM
📍 Zona de Entrada:$1.39-$1.42 (pullback a EMA 7/EMA 25 como soporte)
🛑 Stop Loss:$1.35 (invalidación bajo mínimos recientes)
💰 Take Profit:🥇 TP1: $1.47-$1.49 — R:R 1:1.5🥈 TP2: $1.54-$1.57 — R:R 1:4🥉 TP3: $1.63-$1.67 — R:R 1:6.5
⚠️ Gestión de riesgo:✅ Rally técnico confirmado✅ MACD en territorio positivo✅ Volumen creciente consistente❌ Pérdida de $1.35 = invalidación
🔄 Status: Rally técnico en desarrollo. Momentum alcista sostenido.
#XRP #Ripple #TradingPlan #Futuros #RiskControl
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⚡$ETH — Trading Setup 🎯 LONG DE MOMENTUM EXPLOSIVO 📍 Zona de Entrada:$2,000-$2,050 (pullback a soporte psicológico/EMAs) 🛑 Stop Loss:$1,875 (invalidación bajo estructura alcista) 💰 Take Profit:🥇 TP1: $2,150-$2,200 — R:R 1:1.5🥈 TP2: $2,300-$2,380 — R:R 1:3.5🥉 TP3: $2,500-$2,600 — R:R 1:6 ⚠️ Confirmaciones necesarias:✅ Golden cross confirmado✅ MACD explosivamente positivo✅ Volumen extremadamente alto❌ Pérdida de $1,875 = invalidación 🔄 Contexto: $ETH liderando mercado. Rally explosivo. Momentum excepcional. #ETH #Ethereum #TradingPlan #Futuros #RiskControl {future}(ETHUSDT)
$ETH — Trading Setup
🎯 LONG DE MOMENTUM EXPLOSIVO
📍 Zona de Entrada:$2,000-$2,050 (pullback a soporte psicológico/EMAs)
🛑 Stop Loss:$1,875 (invalidación bajo estructura alcista)
💰 Take Profit:🥇 TP1: $2,150-$2,200 — R:R 1:1.5🥈 TP2: $2,300-$2,380 — R:R 1:3.5🥉 TP3: $2,500-$2,600 — R:R 1:6
⚠️ Confirmaciones necesarias:✅ Golden cross confirmado✅ MACD explosivamente positivo✅ Volumen extremadamente alto❌ Pérdida de $1,875 = invalidación
🔄 Contexto: $ETH liderando mercado. Rally explosivo. Momentum excepcional.
#ETH #Ethereum #TradingPlan #Futuros #RiskControl
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⚡$SOL — Trading Setup 🎯 LONG DE MOMENTUM FUERTE 📍 Zona de Entrada:$85.00-$88.00 (pullback a EMAs como soporte) 🛑 Stop Loss:$81.00 (invalidación bajo estructura alcista) 💰 Take Profit:🥇 TP1: $92.00-$94.00 — R:R 1:1.5🥈 TP2: $98.00-$102.00 (nivel psicológico) — R:R 1:4🥉 TP3: $108.00-$112.00 — R:R 1:7 ⚠️ Gestión de posición:✅ Golden cross en desarrollo✅ Rally más fuerte del mercado✅ MACD positivo acelerando❌ Pérdida de $81 = invalidación 🔄 Status: SOL liderando recuperación. Momentum excepcional. Alta volatilidad alcista. #SOL #Solana #TradingPlan #Futuros #RiskControl {future}(SOLUSDT)
$SOL — Trading Setup
🎯 LONG DE MOMENTUM FUERTE
📍 Zona de Entrada:$85.00-$88.00 (pullback a EMAs como soporte)
🛑 Stop Loss:$81.00 (invalidación bajo estructura alcista)
💰 Take Profit:🥇 TP1: $92.00-$94.00 — R:R 1:1.5🥈 TP2: $98.00-$102.00 (nivel psicológico) — R:R 1:4🥉 TP3: $108.00-$112.00 — R:R 1:7
⚠️ Gestión de posición:✅ Golden cross en desarrollo✅ Rally más fuerte del mercado✅ MACD positivo acelerando❌ Pérdida de $81 = invalidación
🔄 Status: SOL liderando recuperación. Momentum excepcional. Alta volatilidad alcista.
#SOL #Solana #TradingPlan #Futuros #RiskControl
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⚡ $BTC — Trading Setup 🎯 LONG EN CONSOLIDACIÓN 📍 Zona de Entrada:$67,000-$68,200 (pullback a EMA 25/EMA 7 como soporte) 🛑 Stop Loss:$65,500 (invalidación bajo estructura alcista) 💰 Take Profit:🥇 TP1: $70,000-$71,000 (nivel psicológico) — R:R 1:2🥈 TP2: $73,000-$74,500 — R:R 1:4🥉 TP3: $76,500-$78,000 — R:R 1:7 ⚠️ Confirmaciones necesarias:✅ Mantener soporte en EMAs✅ MACD continuando ascenso✅ Volumen sostenido en velas alcistas❌ Pérdida de $65,500 = invalidación 🔄 Contexto: Rally técnico consolidado. Estructura alcista firme. #BTC #Bitcoin #TradingPlan #Futuros #RiskControl {future}(BTCUSDT)
$BTC — Trading Setup
🎯 LONG EN CONSOLIDACIÓN
📍 Zona de Entrada:$67,000-$68,200 (pullback a EMA 25/EMA 7 como soporte)
🛑 Stop Loss:$65,500 (invalidación bajo estructura alcista)
💰 Take Profit:🥇 TP1: $70,000-$71,000 (nivel psicológico) — R:R 1:2🥈 TP2: $73,000-$74,500 — R:R 1:4🥉 TP3: $76,500-$78,000 — R:R 1:7
⚠️ Confirmaciones necesarias:✅ Mantener soporte en EMAs✅ MACD continuando ascenso✅ Volumen sostenido en velas alcistas❌ Pérdida de $65,500 = invalidación
🔄 Contexto: Rally técnico consolidado. Estructura alcista firme.
#BTC #Bitcoin #TradingPlan #Futuros #RiskControl
$FIL 📊 Structured Scenario – SHORT: #FILUSDT Setup Type: Developing Structure Quality Grade: B Score: 4 Momentum: Strong Momentum Funding: Neutral Funding Positioning: Balanced Positioning Context: Overbought, Far Above MA, Crowded Long 🎯 Scenario Plan: • Reference: 1.07700 • Downside Area: 0.96930 (-10.00%) • Invalidation: 1.11469 (+3.50%) ⚠️ Structured scenario – not a prediction. Monitor volatility expansion, funding shifts, and OI changes before execution. {future}(FILUSDT) #FIL/USDT #MarketStructure #Volatility #RiskControl
$FIL
📊 Structured Scenario – SHORT: #FILUSDT

Setup Type: Developing Structure
Quality Grade: B

Score: 4
Momentum: Strong Momentum
Funding: Neutral Funding
Positioning: Balanced Positioning
Context: Overbought, Far Above MA, Crowded Long

🎯 Scenario Plan:
• Reference: 1.07700
• Downside Area: 0.96930 (-10.00%)
• Invalidation: 1.11469 (+3.50%)

⚠️ Structured scenario – not a prediction.
Monitor volatility expansion, funding shifts, and OI changes before execution.


#FIL/USDT #MarketStructure #Volatility #RiskControl
When “Top Gainer” Comes With a Warning: Why Binance’s Monitoring Tag MattersToday I opened Binance’s Top Gainers list and saw $DENT up more than 80% on the day. On the surface, that’s the kind of move that makes traders rush in. But there was one small detail that completely changed the story: DENT is carrying a Monitoring tag on Binance. That tiny red coloured text is easy to ignore when you see double digit green candles. For risk aware traders, it should be the first thing you notice. What Is a Monitoring Token on Binance? Binance applies the Monitoring Tag to tokens that show significantly higher volatility and risk than the average listed asset. These projects are under closer review and may be delisted if they no longer meet the exchange’s listing standards. To even trade these tokens, users must periodically pass a short risk quiz and acknowledge that they fully accept the possibility of large losses, including a total loss of principal. In other words, Binance is literally asking you to confirm that you understand this is not “normal” spot trading risk. So when a Monitoring token appears at the top of the gainers list, you are looking at the intersection of maximum hype and maximum structural risk. Why Tokens Get the Monitoring Tag The tag is not random. Binance lists several factors it reviews when deciding whether to add (or remove) a Monitoring Tag: Team commitment and responsiveness to due diligenceQuality and consistency of development activityTrading volume, liquidity and order book healthNetwork stability and security against attacksQuality of communication, transparency and community engagementEvidence of unethical or fraudulent behaviorImpact of new regulations or tokenomics changes If a project weakens on any of these dimensions, the risk that it fails Binance’s listing criteria rises and the Monitoring Tag is a visible reflection of that elevated uncertainty. The Psychology Trap: “It’s Pumping, So It Must Be Fine” Seeing a Monitoring token up 80% triggers a powerful FOMO response: “If Binance was really worried, why is it still trading? Look at that volume. Let me just catch a piece of this move.” But that price spike can actually be caused or amplified by the tag itself. News around monitoring, possible delisting and speculation often attracts short term traders and algorithms, which can increase volatility even further. Here’s the trap: The tag signals higher risk.The market responds with speculative trading.Volatility explodes, drawing in even more traders who only see the percentage gain. By the time a typical retail trader enters, they might be buying into a move that is already overextended, under a token whose long term listing status is uncertain. Risks of Trading Monitoring Tokens Trading a Monitoring token like $DENT is not just “normal altcoin risk” scaled up. There are distinct layers of danger: Delisting riskIf Binance eventually delists the token, liquidity can collapse.Prices often gap down sharply around delisting announcements, and exit liquidity may disappear.Liquidity and slippageOrder books can be thin outside of peak speculation phases.Large market orders can move the price dramatically, turning a small idea into a huge loss.Information asymmetryThe Monitoring Tag tells you risk is elevated, but not exactly why.Teams may issue reassuring statements, but you do not know what Binance’s internal risk reviews are flagging.Narrative whiplashSocial media can flip from “hidden gem” to “about to be delisted” in hours.That narrative volatility often translates directly into price volatility.Total loss scenarioIn extreme cases (project failure, exploit, permanent delisting), the realistic outcome is a near total or total capital loss, which Binance explicitly reminds users of in its risk disclosures. Potential Rewards – And Why They Exist So why do traders still touch these tokens? Because the same conditions that make them dangerous also create opportunity: Explosive upside: Low liquidity and high speculation mean that a relatively small amount of capital can move the price aggressively in either direction.Re‑Rating potential: If a project improves fundamentals and Binance later removes the Monitoring Tag, some tokens experience a sentiment “relief rally” as perceived risk drops.Short term trading edges: For advanced traders with strict risk management, volatility itself can be an asset, offering multiple intraday setups. But it’s crucial to understand; the extra reward is not free. It exists because the probability distribution of bad outcomes is much fatter than with more established and untagged tokens. A Simple Framework Before You Touch a Monitoring Token If you are tempted by a Monitoring token on the Top Gainers list, run it through a quick checklist before committing any capital: Thesis first, ticker secondCan you clearly explain what the project does, who uses it and why it should survive the next market cycle? If not, it is pure speculation.Size for failure, not for hopeDecide your position size based on the assumption that this trade can go to zero without affecting your overall portfolio health.Define exits in advanceWhere will you cut the position if your thesis breaks? Where will you take profit if the move extends?Monitoring tokens are not “hold and forget” assets. They demand written rules.Check liquidity and venuesLook at the order book depth, spreads and other exchanges listing the token.Ask: “If Binance delists this, do I still have realistic exit options?”Accept the emotional costThese trades can move 20–30% in minutes. If that makes you panic, the product is not aligned with your risk tolerance, no matter how attractive the chart looks. Turning Observation Into Edge: From $DENT to Discipline Noticing DENT at the top of Binance’s gainers list with a Monitoring Tag is more than a curiosity—it is a live example of why reading beyond the percentage change matters. Top gainers tell you where attention is. The Monitoring Tag tells you how fragile that attention might be. Combining both signals can keep you from chasing hollow pumps and help you focus on trades where the reward is attractive relative to the risk, not just exciting on the surface. As traders, we don’t control tags, listings, or market headlines. We only control: How deeply we research.How we size positions.How quickly we admit we are wrong. The next time you open the Top Gainers page and see a Monitoring token leading the pack, pause. Ask yourself: “Am I reacting to the pump, or responding to the risk?” That one question could be the difference between catching a calculated opportunity and becoming exit liquidity for someone else’s trade. This content is for educational and informational purposes only and does not constitute financial, investment, or trading advice. Cryptocurrency markets are highly volatile and you can lose some or all of your capital. References to any specific tokens or projects (including DENT) are strictly illustrative and do not represent an endorsement, recommendation, or statement about their quality, legality, or future performance. All opinions expressed are personal views based on publicly available information and may be incomplete or subject to change without notice. Always do your own research (DYOR), carefully assess your risk tolerance, and consider consulting a qualified financial professional before making any investment decisions. #MonitoringTag #RiskManagement ​ #RiskControl #dyor #cryptoeducation

When “Top Gainer” Comes With a Warning: Why Binance’s Monitoring Tag Matters

Today I opened Binance’s Top Gainers list and saw $DENT up more than 80% on the day. On the surface, that’s the kind of move that makes traders rush in. But there was one small detail that completely changed the story: DENT is carrying a Monitoring tag on Binance.
That tiny red coloured text is easy to ignore when you see double digit green candles. For risk aware traders, it should be the first thing you notice.
What Is a Monitoring Token on Binance?
Binance applies the Monitoring Tag to tokens that show significantly higher volatility and risk than the average listed asset. These projects are under closer review and may be delisted if they no longer meet the exchange’s listing standards.
To even trade these tokens, users must periodically pass a short risk quiz and acknowledge that they fully accept the possibility of large losses, including a total loss of principal. In other words, Binance is literally asking you to confirm that you understand this is not “normal” spot trading risk.
So when a Monitoring token appears at the top of the gainers list, you are looking at the intersection of maximum hype and maximum structural risk.
Why Tokens Get the Monitoring Tag
The tag is not random. Binance lists several factors it reviews when deciding whether to add (or remove) a Monitoring Tag:
Team commitment and responsiveness to due diligenceQuality and consistency of development activityTrading volume, liquidity and order book healthNetwork stability and security against attacksQuality of communication, transparency and community engagementEvidence of unethical or fraudulent behaviorImpact of new regulations or tokenomics changes
If a project weakens on any of these dimensions, the risk that it fails Binance’s listing criteria rises and the Monitoring Tag is a visible reflection of that elevated uncertainty.
The Psychology Trap: “It’s Pumping, So It Must Be Fine”
Seeing a Monitoring token up 80% triggers a powerful FOMO response: “If Binance was really worried, why is it still trading? Look at that volume. Let me just catch a piece of this move.”
But that price spike can actually be caused or amplified by the tag itself. News around monitoring, possible delisting and speculation often attracts short term traders and algorithms, which can increase volatility even further.
Here’s the trap:
The tag signals higher risk.The market responds with speculative trading.Volatility explodes, drawing in even more traders who only see the percentage gain.
By the time a typical retail trader enters, they might be buying into a move that is already overextended, under a token whose long term listing status is uncertain.
Risks of Trading Monitoring Tokens
Trading a Monitoring token like $DENT is not just “normal altcoin risk” scaled up. There are distinct layers of danger:
Delisting riskIf Binance eventually delists the token, liquidity can collapse.Prices often gap down sharply around delisting announcements, and exit liquidity may disappear.Liquidity and slippageOrder books can be thin outside of peak speculation phases.Large market orders can move the price dramatically, turning a small idea into a huge loss.Information asymmetryThe Monitoring Tag tells you risk is elevated, but not exactly why.Teams may issue reassuring statements, but you do not know what Binance’s internal risk reviews are flagging.Narrative whiplashSocial media can flip from “hidden gem” to “about to be delisted” in hours.That narrative volatility often translates directly into price volatility.Total loss scenarioIn extreme cases (project failure, exploit, permanent delisting), the realistic outcome is a near total or total capital loss, which Binance explicitly reminds users of in its risk disclosures.
Potential Rewards – And Why They Exist
So why do traders still touch these tokens? Because the same conditions that make them dangerous also create opportunity:
Explosive upside: Low liquidity and high speculation mean that a relatively small amount of capital can move the price aggressively in either direction.Re‑Rating potential: If a project improves fundamentals and Binance later removes the Monitoring Tag, some tokens experience a sentiment “relief rally” as perceived risk drops.Short term trading edges: For advanced traders with strict risk management, volatility itself can be an asset, offering multiple intraday setups.
But it’s crucial to understand; the extra reward is not free. It exists because the probability distribution of bad outcomes is much fatter than with more established and untagged tokens.
A Simple Framework Before You Touch a Monitoring Token
If you are tempted by a Monitoring token on the Top Gainers list, run it through a quick checklist before committing any capital:
Thesis first, ticker secondCan you clearly explain what the project does, who uses it and why it should survive the next market cycle? If not, it is pure speculation.Size for failure, not for hopeDecide your position size based on the assumption that this trade can go to zero without affecting your overall portfolio health.Define exits in advanceWhere will you cut the position if your thesis breaks? Where will you take profit if the move extends?Monitoring tokens are not “hold and forget” assets. They demand written rules.Check liquidity and venuesLook at the order book depth, spreads and other exchanges listing the token.Ask: “If Binance delists this, do I still have realistic exit options?”Accept the emotional costThese trades can move 20–30% in minutes. If that makes you panic, the product is not aligned with your risk tolerance, no matter how attractive the chart looks.
Turning Observation Into Edge: From $DENT to Discipline
Noticing DENT at the top of Binance’s gainers list with a Monitoring Tag is more than a curiosity—it is a live example of why reading beyond the percentage change matters.
Top gainers tell you where attention is. The Monitoring Tag tells you how fragile that attention might be. Combining both signals can keep you from chasing hollow pumps and help you focus on trades where the reward is attractive relative to the risk, not just exciting on the surface.
As traders, we don’t control tags, listings, or market headlines. We only control:
How deeply we research.How we size positions.How quickly we admit we are wrong.
The next time you open the Top Gainers page and see a Monitoring token leading the pack, pause. Ask yourself:
“Am I reacting to the pump, or responding to the risk?”
That one question could be the difference between catching a calculated opportunity and becoming exit liquidity for someone else’s trade.
This content is for educational and informational purposes only and does not constitute financial, investment, or trading advice. Cryptocurrency markets are highly volatile and you can lose some or all of your capital. References to any specific tokens or projects (including DENT) are strictly illustrative and do not represent an endorsement, recommendation, or statement about their quality, legality, or future performance. All opinions expressed are personal views based on publicly available information and may be incomplete or subject to change without notice. Always do your own research (DYOR), carefully assess your risk tolerance, and consider consulting a qualified financial professional before making any investment decisions.

#MonitoringTag #RiskManagement #RiskControl #dyor #cryptoeducation
$UNI 📊 Structured Scenario – SHORT: #UNIUSDT Setup Type: Developing Structure Quality Grade: B Score: 4 Momentum: Strong Momentum Funding: Neutral Funding Positioning: Crowded Long Context: Overbought, Far Above MA, Crowded Long 🎯 Scenario Plan: • Reference: 4.09100 • Downside Area: 3.68190 (-10.00%) • Invalidation: 4.23419 (+3.50%) ⚠️ Structured scenario – not a prediction. Monitor volatility expansion, funding shifts, and OI changes before execution. #UNI #MarketStructure #Volatility #RiskControl
$UNI
📊 Structured Scenario – SHORT: #UNIUSDT

Setup Type: Developing Structure
Quality Grade: B

Score: 4
Momentum: Strong Momentum
Funding: Neutral Funding
Positioning: Crowded Long
Context: Overbought, Far Above MA, Crowded Long

🎯 Scenario Plan:
• Reference: 4.09100
• Downside Area: 3.68190 (-10.00%)
• Invalidation: 4.23419 (+3.50%)

⚠️ Structured scenario – not a prediction.
Monitor volatility expansion, funding shifts, and OI changes before execution.

#UNI #MarketStructure #Volatility #RiskControl
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Бичи
$DENT USDT PERP BEARISH PULLBACK AFTER PARABOLIC SPIKE $DENT USDT has experienced an explosive vertical rally followed by immediate rejection near the 0.000253 supply zone. The sharp expansion in volume indicates climax buying, and the failure to sustain above 0.000231 suggests early distribution after an overextended move. On the 4H timeframe, price is now compressing below the recent high, forming a potential lower high structure. Momentum indicators are cooling off, and volatility expansion after a parabolic rise typically leads to corrective pullbacks toward key demand zones. Structure Overview: • Parabolic rally with exhaustion wick • Strong resistance near 0.000253 • Weakening bullish momentum • Potential lower high formation SHORT SETUP Entry: 0.000228 – 0.000235 Stop Loss: 0.000255 Targets: TP1: 0.000202 TP2: 0.000172 TP3: 0.000143 Alternative Scenario: A strong 4H close above 0.000255 invalidates the bearish thesis and opens continuation toward 0.000280+. Market Bias: Bearish pullback while below 0.000255 resistance. RISK MANAGEMENT Risk 1–2% per trade. Secure partial profits at TP1 and trail stop to breakeven. Avoid chasing volatility after parabolic expansions and maintain disciplined position sizing in high-volume conditions. #TechnicalAnalysis #FuturesTrading #PriceAction #MarketStructure #RiskControl $DENT {future}(DENTUSDT)
$DENT USDT PERP BEARISH PULLBACK AFTER PARABOLIC SPIKE

$DENT USDT has experienced an explosive vertical rally followed by immediate rejection near the 0.000253 supply zone. The sharp expansion in volume indicates climax buying, and the failure to sustain above 0.000231 suggests early distribution after an overextended move.

On the 4H timeframe, price is now compressing below the recent high, forming a potential lower high structure. Momentum indicators are cooling off, and volatility expansion after a parabolic rise typically leads to corrective pullbacks toward key demand zones.

Structure Overview:
• Parabolic rally with exhaustion wick
• Strong resistance near 0.000253
• Weakening bullish momentum
• Potential lower high formation

SHORT SETUP
Entry: 0.000228 – 0.000235
Stop Loss: 0.000255
Targets:
TP1: 0.000202
TP2: 0.000172
TP3: 0.000143

Alternative Scenario: A strong 4H close above 0.000255 invalidates the bearish thesis and opens continuation toward 0.000280+.

Market Bias: Bearish pullback while below 0.000255 resistance.

RISK MANAGEMENT
Risk 1–2% per trade. Secure partial profits at TP1 and trail stop to breakeven. Avoid chasing volatility after parabolic expansions and maintain disciplined position sizing in high-volume conditions.

#TechnicalAnalysis #FuturesTrading #PriceAction #MarketStructure #RiskControl $DENT
Turn your trading from hopeful guesses into a clear, repeatable plan. If you’ve ever copied a “perfect” signal and still watched the trade go red, it’s usually for one simple reason: the risk was never defined. In this article I break down how to think in risk - reward, so every position has a purpose, a limit, and a realistic target. Give it a read before your next entry—you might start looking at every trade very differently. #TrumpStateoftheUnion #StrategyBTCPurchase #PredictionMarketsCFTCBacking #RiskAnalysis #RiskControl
Turn your trading from hopeful guesses into a clear, repeatable plan.
If you’ve ever copied a “perfect” signal and still watched the trade go red, it’s usually for one simple reason: the risk was never defined. In this article I break down how to think in risk - reward, so every position has a purpose, a limit, and a realistic target. Give it a read before your next entry—you might start looking at every trade very differently.

#TrumpStateoftheUnion #StrategyBTCPurchase #PredictionMarketsCFTCBacking #RiskAnalysis #RiskControl
Abdul1247
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Risk Reward Ratio: The Missing Piece Most Beginners Ignore
Most new traders only ask “How much can I make?” and almost never “How much can I lose?” yet the Risk Reward Ratio is simply a way to compare potential profit with potential loss before you enter a trade. If you learn this one concept early, you instantly stop being blind in the market and start thinking like a professional.
In trading terms:
Risk = how much price can move against you (from your entry down to your stop loss).
Reward = how much price can move in your favour (from your entry up to your take profit target).

The Risk Reward Ratio (RR) compares these two numbers; a common guideline is to aim for at least 1:2 or 1:3, meaning potential profit is 2–3 times bigger than your potential loss.
A simple formula that turns any crypto signal into clear numbers you can trust, instead of hype you blindly follow.
For any trade idea, define three prices:
Entry Price E (where you plan to buy)Take Profit Price TP (where you sell for profit)Stop Loss Price SL (where you cut your loss)
Then use these formulas:
Profit Percentage (from entry to target):
Profit % = (TP − E) / E × 100
Loss Percentage (from entry to stop loss):
Loss % = (E − SL) / E × 100
Risk Reward Ratio:
Risk = E − SL
Reward = TP − E
RR Ratio = Reward / Risk = (TP − E) / (E − SL)
If RR Ratio = 2, you are risking 1 unit to potentially make 2 units (often written as 1:2). If RR Ratio =3, you risk 1 to make 3 (1:3), which most educational sources call a favorable setup when combined with strict discipline.
Let’s stop talking in theory and walk through a live example using XRP, one of the most followed coins in the market.
XRP Example: Turning Daily Fluctuations Into A Clear Plan
Suppose XRP is trading around 1.42 USDT with an intraday low of 1.38 and high of 1.43. A simple beginner friendly trade idea could be:
Entry E: 1.42Stop Loss SL: 1.38Take profit TP: 1.55 (a realistic upside swing above current price, not a moonshot)
Now apply the formulas:
Potential Loss
Loss % = (1.42 − 1.38) / 1.42 × 100 ≈ 2.8%
Potential Profit
Profit % = (1.55 − 1.42) / 1.42 × 100 ≈ 9.2%
Risk Reward Ratio
Risk = 1.42 − 1.38 = 0.04
Reward = 1.55 − 1.42 = 0.13
RR Ratio = 0.13 / 0.04 ≈ 3.25
This means you are risking about 2.8% to potentially earn about 9.2%, which is roughly a 1:3.25 Risk Reward Ratio, a structure often considered attractive by trading educators and platforms. If you repeat trades with this kind of RR Ratio and your win rate is even moderate (you do not need to be right all the time), your overall strategy can still be profitable over many trades.
The real power of Risk Reward Ratio is not one “perfect” trade; it is how it shapes your long term behaviour and protects you from emotional decisions.
Why Risk Reward Ratio Matters More Than Any Single Signal
A signal tells you where to enter, but Risk Reward Ratio tells you whether that trade makes sense for you. When you evaluate a trade using RR Ratio, you immediately answer three crucial questions:
Is my potential profit large enough versus my potential loss?Can I emotionally and financially handle the worst case loss if my stop is hit?Does this setup fit a consistent rule like “I only take trades with RR ≥ 1:2?
Professionals often accept that some trades will lose, but they make sure:
Losers are small and controlled (tight, respected stop loss).Winners are big enough to pay for multiple small losses.
With an RR Ratio of 1:3, you can, in theory, lose two trades and win one, and still come out ahead, as explained in many guides on risk and reward. This is why understanding risk and reward is more important than chasing “perfect entry signals” that promise massive gains.
You don’t need a complicated system; a small checklist you repeat before every trade will already put you ahead of most beginners.
A Simple Checklist You Can Apply To XRP (Or any Other Coin) Setup
Before entering any trade, ask yourself:
Is my Entry (E) clear, or am I guessing?Where is my Stop Loss (SL) so that my loss is acceptable if I am wrong?Where is my Take Profit (TP) based on realistic price behavior, not dreams?Calculate:
Loss % and Profit %RR Ratio = (TP − E) / (E − SL)
Only take the trade if:
RR Ratio is at least 1:2 or 1:3, andThe monetary loss (not just %) is small enough that you can sleep at night.
Repeat this process on $XRP , $BTC , $ETH , or any other coin. It turns emotional impulses into a structured decision.
True crypto growth doesn’t come from copying calls, but from understanding why a trade is worth taking. Risk Reward Ratio is your first real step from follower to thoughtful trader.
Nothing in this article is financial advice; it is an educational framework to help you think more clearly about your trades and manage your risk in the highly volatile crypto market. Always combine Risk Reward Analysis with your own research on the coin’s fundamentals, news, and overall market conditions, and never risk money you cannot afford to lose.
#cryptotrading
#LearnTogether
#crypto
#RiskControl
#RiskManagement
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Бичи
$KMNO /USDT BULLISH REVERSAL IN PROGRESS $KMNO/USDT is showing early signs of trend reversal after establishing a strong base near key support. The structure is shifting into higher lows with increasing buying pressure, indicating accumulation. Momentum indicators favor upside continuation as price stabilizes above short-term moving averages and attempts to reclaim recent resistance. Targets: TP1: 0.02580 TP2: 0.02750 TP3: 0.02980 Stop Loss: SL: 0.02200 Risk Management: Risk only 1–2% of total capital per trade. Secure partial profits at TP1 and adjust stop loss to breakeven to protect gains while allowing room for continuation. #BullishSetup #AltcoinTrading #RiskControl
$KMNO /USDT BULLISH REVERSAL IN PROGRESS
$KMNO /USDT is showing early signs of trend reversal after establishing a strong base near key support. The structure is shifting into higher lows with increasing buying pressure, indicating accumulation. Momentum indicators favor upside continuation as price stabilizes above short-term moving averages and attempts to reclaim recent resistance.
Targets:
TP1: 0.02580
TP2: 0.02750
TP3: 0.02980
Stop Loss:
SL: 0.02200
Risk Management:
Risk only 1–2% of total capital per trade. Secure partial profits at TP1 and adjust stop loss to breakeven to protect gains while allowing room for continuation.
#BullishSetup #AltcoinTrading #RiskControl
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Мечи
$AIXBT {spot}(AIXBTUSDT) USDT BEARISH STRUCTURE AFTER WEAK BREAKOUT $AIXBTUSDT is showing signs of exhaustion near the 0.0207–0.0209 resistance zone after a short-term bullish push. Price is struggling to establish higher highs and is facing consistent rejection near the local supply area. The inability to sustain momentum above resistance suggests a potential fake breakout followed by a corrective move downward. Volume expansion during the push and slowing momentum afterward indicates distribution at the top. If price fails to hold the 0.0196 minor support, a deeper retracement toward lower demand zones becomes highly probable. Overall structure favors a short-term bearish continuation. Targets: TP1: 0.01900 TP2: 0.01840 TP3: 0.01770 Stop Loss: SL: 0.02100 Risk Management: Risk only 1–2% of total capital per trade. Consider partial profit booking at first target and move stop loss to breakeven to protect capital as price moves in favor. #CryptoTrading #bearishtrendup #TechnicalAnalysis #ResistanceRejection #RiskControl
$AIXBT
USDT BEARISH STRUCTURE AFTER WEAK BREAKOUT
$AIXBTUSDT is showing signs of exhaustion near the 0.0207–0.0209 resistance zone after a short-term bullish push. Price is struggling to establish higher highs and is facing consistent rejection near the local supply area. The inability to sustain momentum above resistance suggests a potential fake breakout followed by a corrective move downward.
Volume expansion during the push and slowing momentum afterward indicates distribution at the top. If price fails to hold the 0.0196 minor support, a deeper retracement toward lower demand zones becomes highly probable. Overall structure favors a short-term bearish continuation.
Targets:
TP1: 0.01900
TP2: 0.01840
TP3: 0.01770
Stop Loss:
SL: 0.02100
Risk Management:
Risk only 1–2% of total capital per trade. Consider partial profit booking at first target and move stop loss to breakeven to protect capital as price moves in favor.
#CryptoTrading #bearishtrendup #TechnicalAnalysis #ResistanceRejection #RiskControl
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Мечи
$ZEC {spot}(ZECUSDT) USDT BEARISH REJECTION FROM MAJOR RESISTANCE ZONE $ZECUSDT is showing clear rejection near the upper resistance band after failing to sustain momentum above the recent high. The structure reflects lower highs forming on lower timeframes, signaling weakening bullish strength and increasing selling pressure. Price is struggling to hold above short-term support, and volume profile suggests distribution near the top. A breakdown below the immediate support zone could accelerate downside momentum toward previous demand areas. The inability to reclaim the recent high confirms bearish continuation bias in the short term. Targets: TP1: 233.20 TP2: 229.50 TP3: 220.00 Stop Loss: SL: 252.50 Risk Management: Risk only 1–2% of total capital per trade. Use partial profit-taking at first target and trail stop to breakeven to protect gains while allowing further downside continuation. #TechnicalAnalysis #ResistanceRejection #CryptoTradingInsights #RiskControl
$ZEC
USDT BEARISH REJECTION FROM MAJOR RESISTANCE ZONE
$ZECUSDT is showing clear rejection near the upper resistance band after failing to sustain momentum above the recent high. The structure reflects lower highs forming on lower timeframes, signaling weakening bullish strength and increasing selling pressure.
Price is struggling to hold above short-term support, and volume profile suggests distribution near the top. A breakdown below the immediate support zone could accelerate downside momentum toward previous demand areas. The inability to reclaim the recent high confirms bearish continuation bias in the short term.
Targets:
TP1: 233.20
TP2: 229.50
TP3: 220.00
Stop Loss:
SL: 252.50
Risk Management:
Risk only 1–2% of total capital per trade. Use partial profit-taking at first target and trail stop to breakeven to protect gains while allowing further downside continuation.
#TechnicalAnalysis #ResistanceRejection #CryptoTradingInsights #RiskControl
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Бичи
$POWER {future}(POWERUSDT) USDT STRONG BULLISH CONTINUATION AFTER EXPLOSIVE BREAKOUT $POWERUSDT is printing an aggressive bullish structure with strong expansion candles and sustained volume inflow. The pair has broken multiple resistance zones and flipped previous supply into demand, confirming trend continuation across intraday timeframes. The formation of higher highs and strong pullback support indicates buyers remain in control. Any shallow retracement toward the breakout base is likely to attract fresh momentum entries, targeting the next liquidity zones above recent highs. Targets: TP1: 0.7777 TP2: 0.8200 TP3: 0.8800 Stop Loss: SL: 0.6080 Risk Management: Use strict position sizing with 1–2% capital exposure. Book partial profits at each target and trail stop loss after TP1 to secure gains while riding trend continuation. #TechnicalAnalysis #BullishMomentum #BreakoutStructure #CryptoFutures #RiskControl
$POWER
USDT STRONG BULLISH CONTINUATION AFTER EXPLOSIVE BREAKOUT
$POWERUSDT is printing an aggressive bullish structure with strong expansion candles and sustained volume inflow. The pair has broken multiple resistance zones and flipped previous supply into demand, confirming trend continuation across intraday timeframes.
The formation of higher highs and strong pullback support indicates buyers remain in control. Any shallow retracement toward the breakout base is likely to attract fresh momentum entries, targeting the next liquidity zones above recent highs.
Targets:
TP1: 0.7777
TP2: 0.8200
TP3: 0.8800
Stop Loss:
SL: 0.6080
Risk Management:
Use strict position sizing with 1–2% capital exposure. Book partial profits at each target and trail stop loss after TP1 to secure gains while riding trend continuation.
#TechnicalAnalysis #BullishMomentum #BreakoutStructure #CryptoFutures #RiskControl
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⚡ $ADA — Trading Setup 🎯 LONG EN PULLBACK 📍 Zona de Entrada:$0.264-$0.268 (pullback a EMA 7 como soporte) 🛑 Stop Loss:$0.253 (invalidación bajo mínimos recientes) 💰 Take Profit:🥇 TP1: $0.275-$0.278 (EMA 25) — R:R 1:2🥈 TP2: $0.288-$0.293 — R:R 1:4🥉 TP3: $0.305-$0.315 — R:R 1:7 ⚠️ Confirmaciones:✅ Rebote técnico confirmado✅ MACD girando positivo✅ Volumen creciente en velas alcistas❌ Pérdida de $0.253 = invalidación 🔄 Contexto: Recuperación técnica en desarrollo. Estructura mejorando progresivamente. #ADA #Cardano #TradingPlan #Futuros #RiskControl {future}(ADAUSDT)
$ADA — Trading Setup
🎯 LONG EN PULLBACK
📍 Zona de Entrada:$0.264-$0.268 (pullback a EMA 7 como soporte)
🛑 Stop Loss:$0.253 (invalidación bajo mínimos recientes)
💰 Take Profit:🥇 TP1: $0.275-$0.278 (EMA 25) — R:R 1:2🥈 TP2: $0.288-$0.293 — R:R 1:4🥉 TP3: $0.305-$0.315 — R:R 1:7
⚠️ Confirmaciones:✅ Rebote técnico confirmado✅ MACD girando positivo✅ Volumen creciente en velas alcistas❌ Pérdida de $0.253 = invalidación
🔄 Contexto: Recuperación técnica en desarrollo. Estructura mejorando progresivamente.
#ADA #Cardano #TradingPlan #Futuros #RiskControl
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⚡ $ETH — Trading Setup 🎯 LONG DE MOMENTUM 📍 Zona de Entrada:$1,880-$1,920 (pullback a EMA 7 como soporte) 🛑 Stop Loss:$1,795 (invalidación bajo mínimos recientes) 💰 Take Profit:🥇 TP1: $1,970-$2,000 (EMA 25 + nivel psicológico) — R:R 1:1.5🥈 TP2: $2,080-$2,120 — R:R 1:3.5🥉 TP3: $2,220-$2,280 — R:R 1:6 ⚠️ Confirmaciones necesarias:✅ Momentum alcista fuerte✅ MACD cruzando positivo✅ Volumen sostenido en impulsos❌ Pérdida de $1,795 = invalidación 🔄 Contexto: $ETH liderando recuperación. Rally técnico con fuerza. Momentum alcista. #ETH #Ethereum #TradingPlan #Futuros #RiskControl {future}(ETHUSDT)
$ETH — Trading Setup
🎯 LONG DE MOMENTUM
📍 Zona de Entrada:$1,880-$1,920 (pullback a EMA 7 como soporte)
🛑 Stop Loss:$1,795 (invalidación bajo mínimos recientes)
💰 Take Profit:🥇 TP1: $1,970-$2,000 (EMA 25 + nivel psicológico) — R:R 1:1.5🥈 TP2: $2,080-$2,120 — R:R 1:3.5🥉 TP3: $2,220-$2,280 — R:R 1:6
⚠️ Confirmaciones necesarias:✅ Momentum alcista fuerte✅ MACD cruzando positivo✅ Volumen sostenido en impulsos❌ Pérdida de $1,795 = invalidación
🔄 Contexto: $ETH liderando recuperación. Rally técnico con fuerza. Momentum alcista.
#ETH #Ethereum #TradingPlan #Futuros #RiskControl
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