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RaG91

SOL turētājs
SOL turētājs
Tirgo bieži
4.2 gadi
Confidence isn’t cocky when you’re right.
1 Seko
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7 Kopīgots
Viss saturs
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Pozitīvs
Tulkot
ENA is still in a downtrend, but price is now near strong support around 0.20–0.21. I entered early and that’s why I’m in drawdown, but I’m not closing the trade yet. I’ll hold and watch how price reacts here. If it starts forming a base and shows strength, I’ll stay patient and manage risk.
ENA is still in a downtrend, but price is now near strong support around 0.20–0.21.
I entered early and that’s why I’m in drawdown, but I’m not closing the trade yet. I’ll hold and watch how price reacts here. If it starts forming a base and shows strength, I’ll stay patient and manage risk.
ENAUSDT
Atver garo pozīciju
Nerealizētais PZA
-902,54USDT
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Pozitīvs
Tulkot
Short term I’m watching 0.29–0.30 on the top and 0.25–0.246 on the bottom Long term I just want it to stay above 0.266–0.271 to keep the trend strong.”
Short term I’m watching 0.29–0.30 on the top and 0.25–0.246 on the bottom

Long term I just want it to stay above 0.266–0.271 to keep the trend strong.”
ENAUSDT
Atver garo pozīciju
Nerealizētais PZA
-902,54USDT
Skatīt oriģinālu
Fed samazināja procentu likmes vakar, bet tas patiesībā nepalīdzēja mazākiem monētām, piemēram, ENA. Bitcoin un ETH nedaudz pārvietojās, bet ENA palika vāja. Tātad, ja turat ENA, negaidiet ātru pieaugumu šobrīd. Labākais solis ir gaidīt un ļaut tirgum noregulēties. Kad BTC izvēlas virzienu un kopējā noskaņojums uzlabojas, ENA sāks atkal pārvietoties. Nav nepieciešams panikot vai piespiest darījumu, vienkārši palieciet pacietīgi.
Fed samazināja procentu likmes vakar, bet tas patiesībā nepalīdzēja mazākiem monētām, piemēram, ENA. Bitcoin un ETH nedaudz pārvietojās, bet ENA palika vāja. Tātad, ja turat ENA, negaidiet ātru pieaugumu šobrīd.

Labākais solis ir gaidīt un ļaut tirgum noregulēties. Kad BTC izvēlas virzienu un kopējā noskaņojums uzlabojas, ENA sāks atkal pārvietoties. Nav nepieciešams panikot vai piespiest darījumu, vienkārši palieciet pacietīgi.
ENAUSDT
Atver garo pozīciju
Nerealizētais PZA
-902,54USDT
Tulkot
My thoughts: • Entered too big, too fast • No clear entry plan, bought near resistance • No stop-loss, no target • All-in at one price • Let emotions run the trade • Should’ve sized smaller, scaled in, set stops, followed structure • Good part: I’m on 1x, so I can increase leverage after price direction is clear. Prob go max 5x once trend is confirmed. (support holds)
My thoughts:

• Entered too big, too fast
• No clear entry plan, bought near resistance
• No stop-loss, no target
• All-in at one price
• Let emotions run the trade
• Should’ve sized smaller, scaled in, set stops, followed structure


• Good part: I’m on 1x, so I can increase leverage after price direction is clear. Prob go max 5x once trend is confirmed. (support holds)
ENAUSDT
Atver garo pozīciju
Nerealizētais PZA
-902,54USDT
Tulkot
Long post but worth going through. Thanks.
Long post but worth going through. Thanks.
RaG91
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Was Gann Right? What 100 Years of Market Data Reveal. Analysing the most distributed prediction.
Here’s how historical data stacked up against the “Periods When to Make Money” predictions:

📉 “A Years” (Panic Years)

Predicted: Major market crashes or corrections.
• 1927: Contrary – S&P returned +36.6% this year .
• 1945: Contrary – S&P gained +38.5% ().
• 1965: Neutral – S&P up +11.5%, not a panic ().
• 1981: Correct – S&P down –6.8% amid recession/inflation .
• 1999: Contrary – S&P +15.5% before dot-com collapse .
• 2019: Contrary – S&P +33.9% .

Summary: Only 1981 saw a downturn; most “A Years” were positive, so this classification was weak overall.



💰 “B Years” (Boom Years)

Predicted: High returns; ideal for selling.
• 1935: ✅ S&P +53.7% .
• 1946: ❌ S&P –11.7% .
• 1964: ✅ S&P +15.9% .
• 1988: ✅ S&P +17.8% ().
• 2007: ❌ It was just +4.9% before the 2008 crash .
• 2026: TBD.
• 2043: Future.

Summary: 3 out of 5 historical predictions hit high returns—above average.



📉 “C Years” (Accumulation Years)

Predicted: Dips, ideal for buying.
• 1942: ✅ S&P +19.6% (emerging from WWII lows) ().
• 1951: ✅ S&P +20.7% .
• 1958: ✅ S&P +39.5% .
• 1974: ✅ S&P –20.8% (crash bottom) ().
• 1985: ✅ +25.9% (a strong up year) ().
• 2005: ✅ +7.1% (steady gain, but not a dip) ().
• 2023: ✅ +13.7% ().
• 2032: Future.

Summary: All historical “C Years” were either strong rebounds or solid buys—so this label worked quite well.



✅ Final Scorecard

Category Total Years Predicted Correct Accuracy
A Years 6 1 (1981). 17%
B Years 5 3 60%
C Years 7 7 100%

• Strongest signal: “C Years” almost always marked good buying opportunities.
• Moderate reliability: “B Years” often—but not always—preceded big gains.
• Weakest signal: “A Years” did not correlate well with panics (except 1981).

🧭 Conclusion & Takeaways
1. The chart was very reliable for capturing C Years—excellent buys at lows.
2. B Years generally matched strong returns but were not foolproof.
3. A Years were hit-or-miss; only one true panic year in the sample.

Worth noting:
• Black Monday 1987 occurred in a “B Year” (1988), but the peak/crash happened late ’87—so cycle overshoots exist ().
• Dot‑com boom in 1999 was a B-year but ended mild boom—crash came 2000 .

🔮 What about 2026 (next “B Year”)?
Traditionally, that suggests elevated valuations and a possible market peak. But remember, cycle charts are rough guides—not precise forecasts.

Forecast for BTC, ETH, SOL Based on Gann Cycle
📆 2026 is a “B Year”
→ historically strong, often market peaks
Bitcoin (BTC)
🔮 Forecast: Could retest or break all-time highs (ATH). Expect euphoria, hype, and possibly last leg of bull run.🎯 Potential Targets: $110K–$150K⚠️ Watch for reversal signs late 2026 or early 2027 as “C Year” correction may follow.
Ethereum (ETH)
🔮 Forecast: Likely to outperform BTC mid-cycle; major ETH 2.0 ecosystem growth or L2 narrative peaking.🎯 Potential Targets: $8K–$12K💡 Flippening talk could return but likely fizzles out in next cycle.

Solana (SOL)
🔮 Forecast: Top gainer potential due to retail hype, NFTs, DePIN, and memecoin cycles.🎯 Potential Targets: $250–$400
📉 High volatility—expect sharp corrections post-peak.

Sources & References:
SafeFRate. (n.d.). Historical S&P 500 Annual Returns. safewrate.comMacroTrends. (n.d.). S&P 500 Historical Yearly Returns Table. macrotrends.net
Forbes Advisor. (2023). A History of Bear Markets: 1929 to 2023. forbes.com
The Guardian. (2025, April 8). How Liberation Day Rout Compares with Other Notorious Stock Market Crises. theguardian.com
Wikipedia Contributors. (n.d.). Dot-com Bubble. en.wikipedia.org
Investment Fiduciary. (2016). What Stock Returns Look Like in 20 Years. investment-fiduciary.com
Financial Times. (n.d.). Stock Market Review of 2007–2008. ft.com
#CryptoCycles #BitcoinForecast #Ethereum2026 #Solana #CryptoTiming
Tulkot
Was Gann Right? What 100 Years of Market Data Reveal. Analysing the most distributed prediction.Here’s how historical data stacked up against the “Periods When to Make Money” predictions: 📉 “A Years” (Panic Years) Predicted: Major market crashes or corrections. • 1927: Contrary – S&P returned +36.6% this year . • 1945: Contrary – S&P gained +38.5% (). • 1965: Neutral – S&P up +11.5%, not a panic (). • 1981: Correct – S&P down –6.8% amid recession/inflation . • 1999: Contrary – S&P +15.5% before dot-com collapse . • 2019: Contrary – S&P +33.9% . Summary: Only 1981 saw a downturn; most “A Years” were positive, so this classification was weak overall. ⸻ 💰 “B Years” (Boom Years) Predicted: High returns; ideal for selling. • 1935: ✅ S&P +53.7% . • 1946: ❌ S&P –11.7% . • 1964: ✅ S&P +15.9% . • 1988: ✅ S&P +17.8% (). • 2007: ❌ It was just +4.9% before the 2008 crash . • 2026: TBD. • 2043: Future. Summary: 3 out of 5 historical predictions hit high returns—above average. ⸻ 📉 “C Years” (Accumulation Years) Predicted: Dips, ideal for buying. • 1942: ✅ S&P +19.6% (emerging from WWII lows) (). • 1951: ✅ S&P +20.7% . • 1958: ✅ S&P +39.5% . • 1974: ✅ S&P –20.8% (crash bottom) (). • 1985: ✅ +25.9% (a strong up year) (). • 2005: ✅ +7.1% (steady gain, but not a dip) (). • 2023: ✅ +13.7% (). • 2032: Future. Summary: All historical “C Years” were either strong rebounds or solid buys—so this label worked quite well. ⸻ ✅ Final Scorecard Category Total Years Predicted Correct Accuracy A Years 6 1 (1981). 17% B Years 5 3 60% C Years 7 7 100% • Strongest signal: “C Years” almost always marked good buying opportunities. • Moderate reliability: “B Years” often—but not always—preceded big gains. • Weakest signal: “A Years” did not correlate well with panics (except 1981). 🧭 Conclusion & Takeaways 1. The chart was very reliable for capturing C Years—excellent buys at lows. 2. B Years generally matched strong returns but were not foolproof. 3. A Years were hit-or-miss; only one true panic year in the sample. Worth noting: • Black Monday 1987 occurred in a “B Year” (1988), but the peak/crash happened late ’87—so cycle overshoots exist (). • Dot‑com boom in 1999 was a B-year but ended mild boom—crash came 2000 . 🔮 What about 2026 (next “B Year”)? Traditionally, that suggests elevated valuations and a possible market peak. But remember, cycle charts are rough guides—not precise forecasts. Forecast for BTC, ETH, SOL Based on Gann Cycle 📆 2026 is a “B Year” → historically strong, often market peaks Bitcoin (BTC) 🔮 Forecast: Could retest or break all-time highs (ATH). Expect euphoria, hype, and possibly last leg of bull run.🎯 Potential Targets: $110K–$150K⚠️ Watch for reversal signs late 2026 or early 2027 as “C Year” correction may follow. Ethereum (ETH) 🔮 Forecast: Likely to outperform BTC mid-cycle; major ETH 2.0 ecosystem growth or L2 narrative peaking.🎯 Potential Targets: $8K–$12K💡 Flippening talk could return but likely fizzles out in next cycle. Solana (SOL) 🔮 Forecast: Top gainer potential due to retail hype, NFTs, DePIN, and memecoin cycles.🎯 Potential Targets: $250–$400 📉 High volatility—expect sharp corrections post-peak. Sources & References: SafeFRate. (n.d.). Historical S&P 500 Annual Returns. safewrate.comMacroTrends. (n.d.). S&P 500 Historical Yearly Returns Table. macrotrends.net Forbes Advisor. (2023). A History of Bear Markets: 1929 to 2023. forbes.com The Guardian. (2025, April 8). How Liberation Day Rout Compares with Other Notorious Stock Market Crises. theguardian.com Wikipedia Contributors. (n.d.). Dot-com Bubble. en.wikipedia.org Investment Fiduciary. (2016). What Stock Returns Look Like in 20 Years. investment-fiduciary.com Financial Times. (n.d.). Stock Market Review of 2007–2008. ft.com #CryptoCycles #BitcoinForecast #Ethereum2026 #Solana #CryptoTiming

Was Gann Right? What 100 Years of Market Data Reveal. Analysing the most distributed prediction.

Here’s how historical data stacked up against the “Periods When to Make Money” predictions:

📉 “A Years” (Panic Years)

Predicted: Major market crashes or corrections.
• 1927: Contrary – S&P returned +36.6% this year .
• 1945: Contrary – S&P gained +38.5% ().
• 1965: Neutral – S&P up +11.5%, not a panic ().
• 1981: Correct – S&P down –6.8% amid recession/inflation .
• 1999: Contrary – S&P +15.5% before dot-com collapse .
• 2019: Contrary – S&P +33.9% .

Summary: Only 1981 saw a downturn; most “A Years” were positive, so this classification was weak overall.



💰 “B Years” (Boom Years)

Predicted: High returns; ideal for selling.
• 1935: ✅ S&P +53.7% .
• 1946: ❌ S&P –11.7% .
• 1964: ✅ S&P +15.9% .
• 1988: ✅ S&P +17.8% ().
• 2007: ❌ It was just +4.9% before the 2008 crash .
• 2026: TBD.
• 2043: Future.

Summary: 3 out of 5 historical predictions hit high returns—above average.



📉 “C Years” (Accumulation Years)

Predicted: Dips, ideal for buying.
• 1942: ✅ S&P +19.6% (emerging from WWII lows) ().
• 1951: ✅ S&P +20.7% .
• 1958: ✅ S&P +39.5% .
• 1974: ✅ S&P –20.8% (crash bottom) ().
• 1985: ✅ +25.9% (a strong up year) ().
• 2005: ✅ +7.1% (steady gain, but not a dip) ().
• 2023: ✅ +13.7% ().
• 2032: Future.

Summary: All historical “C Years” were either strong rebounds or solid buys—so this label worked quite well.



✅ Final Scorecard

Category Total Years Predicted Correct Accuracy
A Years 6 1 (1981). 17%
B Years 5 3 60%
C Years 7 7 100%

• Strongest signal: “C Years” almost always marked good buying opportunities.
• Moderate reliability: “B Years” often—but not always—preceded big gains.
• Weakest signal: “A Years” did not correlate well with panics (except 1981).

🧭 Conclusion & Takeaways
1. The chart was very reliable for capturing C Years—excellent buys at lows.
2. B Years generally matched strong returns but were not foolproof.
3. A Years were hit-or-miss; only one true panic year in the sample.

Worth noting:
• Black Monday 1987 occurred in a “B Year” (1988), but the peak/crash happened late ’87—so cycle overshoots exist ().
• Dot‑com boom in 1999 was a B-year but ended mild boom—crash came 2000 .

🔮 What about 2026 (next “B Year”)?
Traditionally, that suggests elevated valuations and a possible market peak. But remember, cycle charts are rough guides—not precise forecasts.

Forecast for BTC, ETH, SOL Based on Gann Cycle
📆 2026 is a “B Year”
→ historically strong, often market peaks
Bitcoin (BTC)
🔮 Forecast: Could retest or break all-time highs (ATH). Expect euphoria, hype, and possibly last leg of bull run.🎯 Potential Targets: $110K–$150K⚠️ Watch for reversal signs late 2026 or early 2027 as “C Year” correction may follow.
Ethereum (ETH)
🔮 Forecast: Likely to outperform BTC mid-cycle; major ETH 2.0 ecosystem growth or L2 narrative peaking.🎯 Potential Targets: $8K–$12K💡 Flippening talk could return but likely fizzles out in next cycle.

Solana (SOL)
🔮 Forecast: Top gainer potential due to retail hype, NFTs, DePIN, and memecoin cycles.🎯 Potential Targets: $250–$400
📉 High volatility—expect sharp corrections post-peak.

Sources & References:
SafeFRate. (n.d.). Historical S&P 500 Annual Returns. safewrate.comMacroTrends. (n.d.). S&P 500 Historical Yearly Returns Table. macrotrends.net
Forbes Advisor. (2023). A History of Bear Markets: 1929 to 2023. forbes.com
The Guardian. (2025, April 8). How Liberation Day Rout Compares with Other Notorious Stock Market Crises. theguardian.com
Wikipedia Contributors. (n.d.). Dot-com Bubble. en.wikipedia.org
Investment Fiduciary. (2016). What Stock Returns Look Like in 20 Years. investment-fiduciary.com
Financial Times. (n.d.). Stock Market Review of 2007–2008. ft.com
#CryptoCycles #BitcoinForecast #Ethereum2026 #Solana #CryptoTiming
Tulkot
With CPI (Consumer Price Index) at 2.4%, which is below expectations, and FOMC (Federal Open Market Committee) decision approaching, here’s what this means for crypto in the short term — and what you could consider doing: ⸻ 🔍 CPI at 2.4% – Bullish for Risk Assets • Lower CPI = Cooling inflation • Reduces pressure on the Fed to keep rates high. • Market expects dovish signals or future rate cuts. • Crypto and tech stocks generally benefit from such expectations. ⸻ 🧠 FOMC – What to Expect • High chance the Fed holds rates steady this meeting. • Market focus will be on: • Powell’s tone in the press conference. • Updated dot plot (rate hike/cut forecast). • Forward guidance: If they hint rate cuts might start in Sep-Dec, crypto could surge. ⸻ ✅ What You Can Do 🔹 Short-Term (Next 48–72 hrs): • Expect volatility into and after the FOMC statement. • If you’re trading: • Scalp or intraday setups are better until post-FOMC clarity. • Use tight stop-losses — both bulls and bears will be hunting liquidity. • Likely ETH/BTC breakout setups after the announcement. 🔹 Medium-Term (June–July Outlook): • If the Fed is dovish → accumulate dips. • Focus on: • ETH (merge narrative reviving + ETF approval hopes) • SOL, OP, LDO, LINK (strong beta to macro) • Meme coins for fast rotation plays (but risky) ⸻ 🔻 What to Avoid • Over-leveraging before FOMC. • Holding illiquid small caps without stops. • Assuming “CPI low = instant pump” – it often pulls back before the real move. #TradingPairs101 $ETH
With CPI (Consumer Price Index) at 2.4%, which is below expectations, and FOMC (Federal Open Market Committee) decision approaching, here’s what this means for crypto in the short term — and what you could consider doing:



🔍 CPI at 2.4% – Bullish for Risk Assets
• Lower CPI = Cooling inflation
• Reduces pressure on the Fed to keep rates high.
• Market expects dovish signals or future rate cuts.
• Crypto and tech stocks generally benefit from such expectations.



🧠 FOMC – What to Expect
• High chance the Fed holds rates steady this meeting.
• Market focus will be on:
• Powell’s tone in the press conference.
• Updated dot plot (rate hike/cut forecast).
• Forward guidance: If they hint rate cuts might start in Sep-Dec, crypto could surge.



✅ What You Can Do

🔹 Short-Term (Next 48–72 hrs):
• Expect volatility into and after the FOMC statement.
• If you’re trading:
• Scalp or intraday setups are better until post-FOMC clarity.
• Use tight stop-losses — both bulls and bears will be hunting liquidity.
• Likely ETH/BTC breakout setups after the announcement.

🔹 Medium-Term (June–July Outlook):
• If the Fed is dovish → accumulate dips.
• Focus on:
• ETH (merge narrative reviving + ETF approval hopes)
• SOL, OP, LDO, LINK (strong beta to macro)
• Meme coins for fast rotation plays (but risky)



🔻 What to Avoid
• Over-leveraging before FOMC.
• Holding illiquid small caps without stops.
• Assuming “CPI low = instant pump” – it often pulls back before the real move. #TradingPairs101 $ETH
Tulkot
ETH PRICE ACTION: 📈 Current Setup & Momentum • ETH is trading near $2,768, essentially flat for the day. Daily range has been $2,752–$2,871 . • Short‑term moving averages (e.g., EMA 7 on 1‑hour chart) are supportive of a mild bullish bias . • RSI on shorter timeframes (15 min–1 hr) is neutral to slightly bullish, indicating upside room . 🧭 Support & Resistance Zones • Immediate support lies around $2,700–$2,740, reinforced by EMA 7/25 and recent consolidation zones . • First key resistance sits around $2,780–$2,800, a supply zone and recent double‑top area . • Breaking above $2,800 could pave the way toward $3,000–$3,100 short‑term , while a failure near that level may trigger a pullback to $2,480–$2,500 . ⸻ 🔄 Chart Patterns & Technical Signals • Bearish double‑top / Head & Shoulders formation around $2,780–800 hints at a possible reversal if validated . • Conversely, bullish setups noted include: • Hammer candle on 1‑hour chart after a shake‑out, suggesting short‑term rebound . • Break and retest of an ascending triangle / bullish flag on 4‑hour, pointing toward $3,000+ . • Institutional technical ratings remain mixed: MAs lean bullish, oscillators are neutral . ⸻ 🧭 Short‑Term Outlook Scenario Trigger Likely Move Bullish continuation Close above ~$2,800 with momentum Rally toward $3,000–$3,100 Pullback Rejection or failure at supply Drop to $2,480–$2,500 support Range consolidation Price holds between $2,700–2,800 Tight sideways, awaiting catalyst ⸻ 🧩 Summary In the next 24–72 hours, ETH is likely to: • Test $2,780–2,800 again—watch for either a breakout or a classic rejection. • A bullish breakout could trigger momentum toward $3,000+. • A rejection likely brings a pullback to the $2,500 area. #TradingTypes101 $ETH
ETH PRICE ACTION:

📈 Current Setup & Momentum

• ETH is trading near $2,768, essentially flat for the day. Daily range has been $2,752–$2,871 .
• Short‑term moving averages (e.g., EMA 7 on 1‑hour chart) are supportive of a mild bullish bias .
• RSI on shorter timeframes (15 min–1 hr) is neutral to slightly bullish, indicating upside room .

🧭 Support & Resistance Zones

• Immediate support lies around $2,700–$2,740, reinforced by EMA 7/25 and recent consolidation zones .
• First key resistance sits around $2,780–$2,800, a supply zone and recent double‑top area .
• Breaking above $2,800 could pave the way toward $3,000–$3,100 short‑term , while a failure near that level may trigger a pullback to $2,480–$2,500 .



🔄 Chart Patterns & Technical Signals
• Bearish double‑top / Head & Shoulders formation around $2,780–800 hints at a possible reversal if validated .
• Conversely, bullish setups noted include:
• Hammer candle on 1‑hour chart after a shake‑out, suggesting short‑term rebound .
• Break and retest of an ascending triangle / bullish flag on 4‑hour, pointing toward $3,000+ .
• Institutional technical ratings remain mixed: MAs lean bullish, oscillators are neutral .



🧭 Short‑Term Outlook

Scenario Trigger Likely Move
Bullish continuation Close above ~$2,800 with momentum Rally toward $3,000–$3,100
Pullback Rejection or failure at supply Drop to $2,480–$2,500 support
Range consolidation Price holds between $2,700–2,800 Tight sideways, awaiting catalyst



🧩 Summary

In the next 24–72 hours, ETH is likely to:
• Test $2,780–2,800 again—watch for either a breakout or a classic rejection.
• A bullish breakout could trigger momentum toward $3,000+.
• A rejection likely brings a pullback to the $2,500 area.

#TradingTypes101 $ETH
Tulkot
I’ve this printed out on my desk. Helps keep in check emotions. I only trade with 1% of my portfolio. Helped me survive 3 years in crypto. Many more to go.
I’ve this printed out on my desk. Helps keep in check emotions.

I only trade with 1% of my portfolio. Helped me survive 3 years in crypto. Many more to go.
RaG91
--
🔒 Riska pārvaldība
• Riska tikai 1–2% no jūsu kapitāla katrā darījumā.
• Vienmēr izmantojiet stop-loss.
• Nekad nepievienojiet zaudējošam darījumam (nav atriebības tirdzniecības).
• Nepārvērtējiet — saglabājiet maržu saprātīgu.
• Saglabājiet kapitālu > vajadzību pēc peļņas.



📊 Tirdzniecības iestatījums
• Plānojiet savu darījumu, pēc tam tirgojiet savu plānu.
• Ienāciet tikai uz apstiprinātiem signāliem (nevis intuitīviem).
• Izmantojiet augstas varbūtības iestatījumus (piem., atbalsts/izturība, izlaušanās, modeļi).
• Tirgojiet ar tendenci, ja vien nav spēcīgas apgriešanās iestatījuma.



🧠 Domāšana & Disciplinē
• Palieciet bez emocijām — nav FOMO vai panikas.
• Pieņemiet zaudējumus kā spēles daļu.
• Nekrītiet par pārāk daudz darījumiem. Kvalitāte > kvantitāte.
• Ievērojiet rutīnu — netirdznieciet, kad esat novērsti vai emocionāli.



📈 Izpilde
• Gaidiet sveces slēgšanas apstiprinājumu, nevis tikai kniedes.
• Iestatiet ieeju, stop-loss un mērķus pirms iekļūšanas.
• Žurnāls katram darījumam: ieeja, izeja, iemesls, rezultāts.



🧰 Pārskats & Pielāgošana
• Pārskata sniegumu ik nedēļu/mēnesi.
• Koncentrējieties uz procesa uzlabošanu, ne tikai peļņu.
• Turpiniet attīstīties — tas, kas darbojas vienā tirgū, var nedarboties citā. #TirdzniecībasVeidi101
Skatīt oriģinālu
🔒 Riska pārvaldība • Riska tikai 1–2% no jūsu kapitāla katrā darījumā. • Vienmēr izmantojiet stop-loss. • Nekad nepievienojiet zaudējošam darījumam (nav atriebības tirdzniecības). • Nepārvērtējiet — saglabājiet maržu saprātīgu. • Saglabājiet kapitālu > vajadzību pēc peļņas. ⸻ 📊 Tirdzniecības iestatījums • Plānojiet savu darījumu, pēc tam tirgojiet savu plānu. • Ienāciet tikai uz apstiprinātiem signāliem (nevis intuitīviem). • Izmantojiet augstas varbūtības iestatījumus (piem., atbalsts/izturība, izlaušanās, modeļi). • Tirgojiet ar tendenci, ja vien nav spēcīgas apgriešanās iestatījuma. ⸻ 🧠 Domāšana & Disciplinē • Palieciet bez emocijām — nav FOMO vai panikas. • Pieņemiet zaudējumus kā spēles daļu. • Nekrītiet par pārāk daudz darījumiem. Kvalitāte > kvantitāte. • Ievērojiet rutīnu — netirdznieciet, kad esat novērsti vai emocionāli. ⸻ 📈 Izpilde • Gaidiet sveces slēgšanas apstiprinājumu, nevis tikai kniedes. • Iestatiet ieeju, stop-loss un mērķus pirms iekļūšanas. • Žurnāls katram darījumam: ieeja, izeja, iemesls, rezultāts. ⸻ 🧰 Pārskats & Pielāgošana • Pārskata sniegumu ik nedēļu/mēnesi. • Koncentrējieties uz procesa uzlabošanu, ne tikai peļņu. • Turpiniet attīstīties — tas, kas darbojas vienā tirgū, var nedarboties citā. #TirdzniecībasVeidi101
🔒 Riska pārvaldība
• Riska tikai 1–2% no jūsu kapitāla katrā darījumā.
• Vienmēr izmantojiet stop-loss.
• Nekad nepievienojiet zaudējošam darījumam (nav atriebības tirdzniecības).
• Nepārvērtējiet — saglabājiet maržu saprātīgu.
• Saglabājiet kapitālu > vajadzību pēc peļņas.



📊 Tirdzniecības iestatījums
• Plānojiet savu darījumu, pēc tam tirgojiet savu plānu.
• Ienāciet tikai uz apstiprinātiem signāliem (nevis intuitīviem).
• Izmantojiet augstas varbūtības iestatījumus (piem., atbalsts/izturība, izlaušanās, modeļi).
• Tirgojiet ar tendenci, ja vien nav spēcīgas apgriešanās iestatījuma.



🧠 Domāšana & Disciplinē
• Palieciet bez emocijām — nav FOMO vai panikas.
• Pieņemiet zaudējumus kā spēles daļu.
• Nekrītiet par pārāk daudz darījumiem. Kvalitāte > kvantitāte.
• Ievērojiet rutīnu — netirdznieciet, kad esat novērsti vai emocionāli.



📈 Izpilde
• Gaidiet sveces slēgšanas apstiprinājumu, nevis tikai kniedes.
• Iestatiet ieeju, stop-loss un mērķus pirms iekļūšanas.
• Žurnāls katram darījumam: ieeja, izeja, iemesls, rezultāts.



🧰 Pārskats & Pielāgošana
• Pārskata sniegumu ik nedēļu/mēnesi.
• Koncentrējieties uz procesa uzlabošanu, ne tikai peļņu.
• Turpiniet attīstīties — tas, kas darbojas vienā tirgū, var nedarboties citā. #TirdzniecībasVeidi101
Tulkot
🔥 Key Developments in the Trump–Musk Feud —— NO NEW TRADES OPEN. Let the market bottom out. 1. Musk’s Critique of Trump’s Tax-Cut Bill Elon Musk publicly criticized President Trump’s proposed tax-cut and spending bill, labeling it as fiscally irresponsible and warning that it would exacerbate the national debt, which currently stands at $36.2 trillion.  2. Trump’s Retaliation Against Musk In response to Musk’s criticism, President Trump threatened to sever substantial government contracts and subsidies with Musk’s companies, including Tesla, SpaceX, and Starlink. This move signifies a significant escalation in their conflict.  3. Social Media Exchanges and Political Ramifications The dispute intensified on social media platforms, with Musk suggesting that Trump should be impeached. Additionally, Musk hinted at the possibility of forming a new centrist political party, further straining their relationship.  4. Economic Impact on Tesla and Musk’s Net Worth Following the public feud, Tesla’s stock experienced a significant decline, dropping by 14.3% and resulting in a loss of approximately $150 billion in market value. Consequently, Elon Musk’s net worth decreased by over $8 billion in a single day.  ⸻ 📉 Cryptocurrency Market Reactions The escalating conflict between Trump and Musk has introduced volatility into the cryptocurrency markets: • Bitcoin (BTC): Currently priced at $101,415, Bitcoin has experienced fluctuations amid the political tensions. • Dogecoin (DOGE): Trading at $0.1708, Dogecoin’s price movements have been influenced by Musk’s public statements and involvement in government projects. Investors are closely monitoring the situation, as the feud between two influential figures adds uncertainty to the market dynamics.
🔥 Key Developments in the Trump–Musk Feud —— NO NEW TRADES OPEN. Let the market bottom out.

1. Musk’s Critique of Trump’s Tax-Cut Bill

Elon Musk publicly criticized President Trump’s proposed tax-cut and spending bill, labeling it as fiscally irresponsible and warning that it would exacerbate the national debt, which currently stands at $36.2 trillion. 

2. Trump’s Retaliation Against Musk

In response to Musk’s criticism, President Trump threatened to sever substantial government contracts and subsidies with Musk’s companies, including Tesla, SpaceX, and Starlink. This move signifies a significant escalation in their conflict. 

3. Social Media Exchanges and Political Ramifications

The dispute intensified on social media platforms, with Musk suggesting that Trump should be impeached. Additionally, Musk hinted at the possibility of forming a new centrist political party, further straining their relationship. 

4. Economic Impact on Tesla and Musk’s Net Worth

Following the public feud, Tesla’s stock experienced a significant decline, dropping by 14.3% and resulting in a loss of approximately $150 billion in market value. Consequently, Elon Musk’s net worth decreased by over $8 billion in a single day. 



📉 Cryptocurrency Market Reactions

The escalating conflict between Trump and Musk has introduced volatility into the cryptocurrency markets:
• Bitcoin (BTC): Currently priced at $101,415, Bitcoin has experienced fluctuations amid the political tensions.
• Dogecoin (DOGE): Trading at $0.1708, Dogecoin’s price movements have been influenced by Musk’s public statements and involvement in government projects.

Investors are closely monitoring the situation, as the feud between two influential figures adds uncertainty to the market dynamics.
Skatīt oriģinālu
Kriptovalūtu tirgus kritums pēdējās 12 stundās: • 📉 Spēcīgi ASV ekonomiskie dati Nesenie dati rāda spēcīgāku nekā gaidīts ASV ražošanas aktivitāti, kas signalizē par ekonomikas noturību. • 💵 Samazinātas Fed procentu likmju samazināšanas gaidas Federālās rezervju sistēmas tagad tiek gaidīts, ka aizkavēs procentu likmju samazināšanu, kas samazina likviditāti tirgos. • 📈 Spēcīgāks ASV dolārs un augstākas ienesīguma likmes Spēcīgāks dolārs un augošas obligāciju ienesīguma likmes padara riskantus aktīvus, piemēram, kriptovalūtas, mazāk pievilcīgus. • 🏦 Lidojums uz drošību Investori pārvietojas no svārstīgiem aktīviem (piemēram, kriptovalūtām) uz stabilākiem aktīviem, piemēram, ASV valsts obligācijām. • 🔻 Tehniskā pārdošanas spiediena ietekme Kad BTC un ETH tuvojās svarīgām pretestības līnijām, automatizētie un algoritmiskie tirgotāji izraisīja pārdošanas vilni.
Kriptovalūtu tirgus kritums pēdējās 12 stundās:
• 📉 Spēcīgi ASV ekonomiskie dati
Nesenie dati rāda spēcīgāku nekā gaidīts ASV ražošanas aktivitāti, kas signalizē par ekonomikas noturību.
• 💵 Samazinātas Fed procentu likmju samazināšanas gaidas
Federālās rezervju sistēmas tagad tiek gaidīts, ka aizkavēs procentu likmju samazināšanu, kas samazina likviditāti tirgos.
• 📈 Spēcīgāks ASV dolārs un augstākas ienesīguma likmes
Spēcīgāks dolārs un augošas obligāciju ienesīguma likmes padara riskantus aktīvus, piemēram, kriptovalūtas, mazāk pievilcīgus.
• 🏦 Lidojums uz drošību
Investori pārvietojas no svārstīgiem aktīviem (piemēram, kriptovalūtām) uz stabilākiem aktīviem, piemēram, ASV valsts obligācijām.
• 🔻 Tehniskā pārdošanas spiediena ietekme
Kad BTC un ETH tuvojās svarīgām pretestības līnijām, automatizētie un algoritmiskie tirgotāji izraisīja pārdošanas vilni.
Tulkot
✅ Trade Setup: Ethereum (ETH/USDT) - Breakout Play 🕵️‍♀️ Trade Idea: Ethereum is testing a key resistance level at $2,650. A breakout above this level, confirmed by volume, could lead to a move toward $2,720–2,750. This is a clean breakout setup with recent accumulation and improving sentiment. 📊 Entry Criteria: • Entry (Buy): $2,655 (after 15-minute candle closes above $2,650 with volume confirmation) • Stop Loss: $2,625 (below recent support) • Take Profit (TP1): $2,700 • Take Profit (TP2): $2,740 • Risk/Reward: ~1:2.5 🛠 Confirmation Indicators: • RSI above 60 on 15-min • MACD crossover on hourly • Volume spike above average on breakout $ETH {future}(ETHUSDT)
✅ Trade Setup: Ethereum (ETH/USDT) - Breakout Play

🕵️‍♀️ Trade Idea: Ethereum is testing a key resistance level at $2,650. A breakout above this level, confirmed by volume, could lead to a move toward $2,720–2,750. This is a clean breakout setup with recent accumulation and improving sentiment.

📊 Entry Criteria:
• Entry (Buy): $2,655 (after 15-minute candle closes above $2,650 with volume confirmation)
• Stop Loss: $2,625 (below recent support)
• Take Profit (TP1): $2,700
• Take Profit (TP2): $2,740
• Risk/Reward: ~1:2.5

🛠 Confirmation Indicators:
• RSI above 60 on 15-min
• MACD crossover on hourly
• Volume spike above average on breakout
$ETH
Skatīt oriģinālu
Nākamā CPI izlaidums (11. jūnijā) un FOMC sanāksme (17.–18. jūnijā) var ietekmēt kripto tirgu 2025. gada jūnijā: 📅 Galvenie notikumi • 11. jūnijs: ASV maija CPI ziņojums tiks publicēts. • 17.–18. jūnijs: FOMC politikas sanāksme; iespējama likmes lēmuma pieņemšana vai nākotnes vadlīnijas. 📈 Inflācijas gaidas • Inflācija joprojām ir virs Fed 2% mērķa: • Pamats CPI tiek prognozēts 3.01% (↑ no 2.84%). • Galvenais CPI pēdējo reizi tika publicēts 2.3% gada griezumā. • Augstāka inflācija samazina iespējamību tuvākajā laikā samazināt Fed likmes. 🏦 Federālās rezervju pozīcijas • Pašreizējā Fed fondu likme: 4.25%–4.50%. • Fed signalizē par gaidīšanas un skatīšanās pieeju; tūlītēja samazināšana nav gaidāma, ja vien inflācija nepazeminās. • Tirgus iekļauj iespējamus likmes samazinājumus 2025. gada 3. un 4. ceturksnī, bet ne jūnijā. 📉 Iespējamās tirgus reakcijas 🔺 Ja CPI ir zemāks nekā gaidīts: • Palielina risku apetīti. • Iespējams, ka Bitcoin (BTC), Ethereum (ETH) un altcoin pieaugs. • BTC var atkārtoti testēt $108K–$110K pretestību. • 🔻 Ja CPI ir augstāks nekā gaidīts: • Riska samazināšanas noskaņojums. • Kripto var tikt izpārdots, jo gaidas par likmes samazināšanu tiek atliktas. • BTC var krist līdz $97K–$100K zonai. • 🪙 Ja FOMC ir dovish (signalizē par gatavību samazināt vēlāk 2025. gadā): • Pozitīvs kripto. • Var atbalstīt bullish turpinājumu jūnijā. 🔍 Investoru stratēģijas piezīmes • Sekojiet līdzi pre-CPI svārstībām (īpaši 10.–11. jūnijā). • Fed tonis (18. jūnijā) būs izšķirošs vidus gada momentumam. • Altcoin var pārspēt BTC zemās likmēs un zemās inflācijas scenārijos.
Nākamā CPI izlaidums (11. jūnijā) un FOMC sanāksme (17.–18. jūnijā) var ietekmēt kripto tirgu 2025. gada jūnijā:

📅 Galvenie notikumi
• 11. jūnijs: ASV maija CPI ziņojums tiks publicēts.
• 17.–18. jūnijs: FOMC politikas sanāksme; iespējama likmes lēmuma pieņemšana vai nākotnes vadlīnijas.

📈 Inflācijas gaidas
• Inflācija joprojām ir virs Fed 2% mērķa:
• Pamats CPI tiek prognozēts 3.01% (↑ no 2.84%).
• Galvenais CPI pēdējo reizi tika publicēts 2.3% gada griezumā.
• Augstāka inflācija samazina iespējamību tuvākajā laikā samazināt Fed likmes.

🏦 Federālās rezervju pozīcijas
• Pašreizējā Fed fondu likme: 4.25%–4.50%.
• Fed signalizē par gaidīšanas un skatīšanās pieeju; tūlītēja samazināšana nav gaidāma, ja vien inflācija nepazeminās.
• Tirgus iekļauj iespējamus likmes samazinājumus 2025. gada 3. un 4. ceturksnī, bet ne jūnijā.

📉 Iespējamās tirgus reakcijas

🔺 Ja CPI ir zemāks nekā gaidīts:
• Palielina risku apetīti.
• Iespējams, ka Bitcoin (BTC), Ethereum (ETH) un altcoin pieaugs.
• BTC var atkārtoti testēt $108K–$110K pretestību.


🔻 Ja CPI ir augstāks nekā gaidīts:
• Riska samazināšanas noskaņojums.
• Kripto var tikt izpārdots, jo gaidas par likmes samazināšanu tiek atliktas.
• BTC var krist līdz $97K–$100K zonai.
• 🪙 Ja FOMC ir dovish (signalizē par gatavību samazināt vēlāk 2025. gadā):
• Pozitīvs kripto.
• Var atbalstīt bullish turpinājumu jūnijā.

🔍 Investoru stratēģijas piezīmes
• Sekojiet līdzi pre-CPI svārstībām (īpaši 10.–11. jūnijā).
• Fed tonis (18. jūnijā) būs izšķirošs vidus gada momentumam.
• Altcoin var pārspēt BTC zemās likmēs un zemās inflācijas scenārijos.
Tulkot
OM/USDT short term plan: 🔍 Observations Across Charts 📉 Trend • On daily and 1H charts, OM has declined sharply from above $0.38 to $0.32, indicating strong short-term bearish momentum. • The smaller timeframes (15m, 5m) show a possible local base forming, with repeated touches near $0.3250, suggesting short-term support. • Candlestick formations suggest a high volume selloff, followed by range-bound sideways movement — often a sign of accumulation or indecision. 📈 Bullish Setup (Long Bias) • Entry: Above $0.3260 (confirmation of support holding) • Target 1: $0.34 • Target 2: $0.38 • Stop Loss: Below $0.3190 Bearish Setup (Short Bias) • Entry: Breakdown below $0.3220 • Target 1: $0.31 • Target 2: $0.30 • Stop Loss: Above $0.3275 If you are holding OM token please go through it carefully. ✅ Reasons to be Optimistic 1. Token Burn by the CEO • Burning 150M staked OM shows a commitment to value preservation and community confidence. 2. Validator Decentralization Plan • Reducing internal control over the chain is a positive governance signal (if followed through). 3. Real-World Asset (RWA) Push • Partnerships with Dimitra and WIN suggest serious use-case expansion. 4. Public Dashboard Transparency • Helps hold the team accountable and reduces black-box operations. ⸻ ⚠️ Red Flags 1. April 2025 Crash • Sharp price drops often stem from internal failures, mismanagement, or whales dumping — details still unclear. 2. Team Previously Held 85% of Supply • That’s massive centralization. Even if they’re “fixing” it, it raises red flags. 3. Rebuilding Trust • The need to “rebuild trust” implies previous governance or operational issues. 4. Marketing vs. Delivery • Announcements are solid — but real utility, chain usage, and product adoption must be tracked. ⸻ 🔎 My Take (Would I Trust Them?) - I would prefer to invest in a growing project rather than a recovering project. For OM/USDT I’d prefer short term trades with clear invalidation.
OM/USDT short term plan:

🔍 Observations Across Charts

📉 Trend
• On daily and 1H charts, OM has declined sharply from above $0.38 to $0.32, indicating strong short-term bearish momentum.
• The smaller timeframes (15m, 5m) show a possible local base forming, with repeated touches near $0.3250, suggesting short-term support.
• Candlestick formations suggest a high volume selloff, followed by range-bound sideways movement — often a sign of accumulation or indecision.

📈

Bullish Setup (Long Bias)
• Entry: Above $0.3260 (confirmation of support holding)
• Target 1: $0.34
• Target 2: $0.38
• Stop Loss: Below $0.3190

Bearish Setup (Short Bias)
• Entry: Breakdown below $0.3220
• Target 1: $0.31
• Target 2: $0.30
• Stop Loss: Above $0.3275

If you are holding OM token please go through it carefully.
✅ Reasons to be Optimistic
1. Token Burn by the CEO
• Burning 150M staked OM shows a commitment to value preservation and community confidence.
2. Validator Decentralization Plan
• Reducing internal control over the chain is a positive governance signal (if followed through).
3. Real-World Asset (RWA) Push
• Partnerships with Dimitra and WIN suggest serious use-case expansion.
4. Public Dashboard Transparency
• Helps hold the team accountable and reduces black-box operations.



⚠️ Red Flags
1. April 2025 Crash
• Sharp price drops often stem from internal failures, mismanagement, or whales dumping — details still unclear.
2. Team Previously Held 85% of Supply
• That’s massive centralization. Even if they’re “fixing” it, it raises red flags.
3. Rebuilding Trust
• The need to “rebuild trust” implies previous governance or operational issues.
4. Marketing vs. Delivery
• Announcements are solid — but real utility, chain usage, and product adoption must be tracked.



🔎 My Take (Would I Trust Them?) - I would prefer to invest in a growing project rather than a recovering project. For OM/USDT I’d prefer short term trades with clear invalidation.
Tulkot
ETHUSDT June 2nd 2025 price action: 📉 Short-Term ETHUSDT Current Price Zone: ~$2,495 Resistance Zone: ~$2,540–2,600 Support Zone: ~$2,300–2,400 🟢 Bullish Scenario (Hold/Buy) • Confirmation: If ETH breaks above the $2,540–2,600 resistance level with volume. • Target: $2,700–$2,800 range. • Strategy is to Buy the breakout. • Place stop-loss around $2,450 (recent consolidation) News are driving this market so set stop loss accordingly. ⸻ 🔴 Bearish Scenario (Sell/Short) • Confirmation: Breakdown below $2,400 with strong bearish volume. • Target: $2,200–2,300, possibly revisiting $2,000. • Strategy is to Sell if support at $2,400 fails. • Place stop-loss around $2,500 to avoid false breakdowns. • Descending volumes = another trade for short confirmation Once I open trade I’ll share here.
ETHUSDT June 2nd 2025 price action:

📉 Short-Term ETHUSDT

Current Price Zone: ~$2,495
Resistance Zone: ~$2,540–2,600
Support Zone: ~$2,300–2,400

🟢 Bullish Scenario (Hold/Buy)
• Confirmation: If ETH breaks above the $2,540–2,600 resistance level with volume.
• Target: $2,700–$2,800 range.
• Strategy is to Buy the breakout.
• Place stop-loss around $2,450 (recent consolidation)

News are driving this market so set stop loss accordingly.


🔴 Bearish Scenario (Sell/Short)
• Confirmation: Breakdown below $2,400 with strong bearish volume.
• Target: $2,200–2,300, possibly revisiting $2,000.
• Strategy is to Sell if support at $2,400 fails.
• Place stop-loss around $2,500 to avoid false breakdowns.
• Descending volumes = another trade for short confirmation

Once I open trade I’ll share here.
Tulkot
These are my personal trades. I manage risk carefully and recommend risking no more than 1% of your portfolio per trade. Single trade should ever put your account at risk.
These are my personal trades. I manage risk carefully and recommend risking no more than 1% of your portfolio per trade. Single trade should ever put your account at risk.
RaG91
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Short-term technical outlook based on the SOL/USDT price action:

🔍 Observations:
• Support: Around $152.14 (tested multiple times).
• Resistance: Around $164.16 (recent high).
• Price has rejected resistance and is heading back toward support.



📉 Short-Term Prediction:
• Price may retest the $152 zone again.
• If $152 breaks, expect a drop toward $148–$150.
• If $152 holds and volume supports it, a bounce back to $159–$162 is likely.
• Bias: Bearish unless $157–$159 is reclaimed quickly.

My plan :

• Buy near $150 when price stops falling and starts going up.
• Sell around $158–$160 to take quick profits.
• If price falls below $148, sell to avoid bigger losses.
• If price breaks above $160, buy again for a chance to make more money, but set a stop loss just below $160.
• Use short charts (5 or 15 minutes) to decide when to buy and sell.
• Watch for big increases in trading volume — it helps confirm the moves.
• Don’t hold your trades too long; aim to make fast gains.
Tulkot
Hello everyone, I’m new to the group. I’ll be sharing my trades — either as brief signals or with full reasoning, depending on what the group prefers
Hello everyone, I’m new to the group.
I’ll be sharing my trades — either as brief signals or with full reasoning, depending on what the group prefers
RaG91
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Short-term technical outlook based on the SOL/USDT price action:

🔍 Observations:
• Support: Around $152.14 (tested multiple times).
• Resistance: Around $164.16 (recent high).
• Price has rejected resistance and is heading back toward support.



📉 Short-Term Prediction:
• Price may retest the $152 zone again.
• If $152 breaks, expect a drop toward $148–$150.
• If $152 holds and volume supports it, a bounce back to $159–$162 is likely.
• Bias: Bearish unless $157–$159 is reclaimed quickly.

My plan :

• Buy near $150 when price stops falling and starts going up.
• Sell around $158–$160 to take quick profits.
• If price falls below $148, sell to avoid bigger losses.
• If price breaks above $160, buy again for a chance to make more money, but set a stop loss just below $160.
• Use short charts (5 or 15 minutes) to decide when to buy and sell.
• Watch for big increases in trading volume — it helps confirm the moves.
• Don’t hold your trades too long; aim to make fast gains.
Tulkot
Short-term technical outlook based on the SOL/USDT price action: 🔍 Observations: • Support: Around $152.14 (tested multiple times). • Resistance: Around $164.16 (recent high). • Price has rejected resistance and is heading back toward support. ⸻ 📉 Short-Term Prediction: • Price may retest the $152 zone again. • If $152 breaks, expect a drop toward $148–$150. • If $152 holds and volume supports it, a bounce back to $159–$162 is likely. • Bias: Bearish unless $157–$159 is reclaimed quickly. My plan : • Buy near $150 when price stops falling and starts going up. • Sell around $158–$160 to take quick profits. • If price falls below $148, sell to avoid bigger losses. • If price breaks above $160, buy again for a chance to make more money, but set a stop loss just below $160. • Use short charts (5 or 15 minutes) to decide when to buy and sell. • Watch for big increases in trading volume — it helps confirm the moves. • Don’t hold your trades too long; aim to make fast gains.
Short-term technical outlook based on the SOL/USDT price action:

🔍 Observations:
• Support: Around $152.14 (tested multiple times).
• Resistance: Around $164.16 (recent high).
• Price has rejected resistance and is heading back toward support.



📉 Short-Term Prediction:
• Price may retest the $152 zone again.
• If $152 breaks, expect a drop toward $148–$150.
• If $152 holds and volume supports it, a bounce back to $159–$162 is likely.
• Bias: Bearish unless $157–$159 is reclaimed quickly.

My plan :

• Buy near $150 when price stops falling and starts going up.
• Sell around $158–$160 to take quick profits.
• If price falls below $148, sell to avoid bigger losses.
• If price breaks above $160, buy again for a chance to make more money, but set a stop loss just below $160.
• Use short charts (5 or 15 minutes) to decide when to buy and sell.
• Watch for big increases in trading volume — it helps confirm the moves.
• Don’t hold your trades too long; aim to make fast gains.
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