$ESP simple **trade plan with take-profit levels** based on the current chart:
**Bias:** Short-term range after pump
**If going LONG (safer after pullback):**
* **Entry:** 0.175–0.180 (near support)
* **Take Profit 1:** 0.195
* **Take Profit 2:** 0.205
* **Take Profit 3 (stretch):** 0.220
* **Stop Loss:** 0.168
**If price breaks out bullish:**
* **Breakout entry:** Above 0.205 with volume
* **Take Profit:** 0.220 → 0.235
* **Stop Loss:** Below 0.195
**If going
#SHORT (risky in uptrend):**
* **Entry:** Near 0.200 resistance
* **Take Profit:** 0.180
* **Stop Loss:** 0.212
⚠️ Use small position size — this pair is highly volatile after the +115%
#Move .
#StrategyBTCPurchase #VitalikSells