Crypto Intel Lab
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Meanwhile, I’m deleting the SUIUSDT buy limit order from yesterday right this instant following signal vdity expiration after 28 hours
πŸ”” VIP SIGNAL | BTC/USD LONG πŸ””

πŸ“Š Pair: BTC/USD (Bitcoin)
πŸ“ˆ Direction: BUY
⏱ Timeframe: H4 / D1

πŸ“ Entry Zone: $79,500 – $80,200
🎯 TP1: $82,200 (R:R 1.42:1)
🎯 TP2: $85,000 (R:R 3.12:1)
πŸ›‘ SL: $78,200

πŸ“‹ Analysis:
Bitcoin is reclaiming and consolidating above the $80,000 psychological level, up +2% on the day with volume expanding. The $79,500 demand zone gns with H4 support β€” prior breakout base that launched the move to current levels. Structure shows higher lows intact from the August swing low. Institutional flow remains notable (large dark-pool blocks detected across related assets today). BTC has historically shown continuation bias on Friday sessions when holding above weekly open. Momentum stacking bullish on H4 RSI and MACD.

⚠️ Max 1-2% risk per trade. Crypto is high volatility β€” size accordingly
πŸ”” VIP SIGNAL | BTC/USD

πŸ“ˆ BUY BITCOIN (BTC/USD)
πŸ“ Current Price: $80,257

⏰ Entry Zone: $79,000 – $79,800
🎯 TP1: $82,500 (+$3,100)
🎯 TP2: $85,500 (+$6,100)
πŸ›‘ SL: $77,200

βš–οΈ R:R β†’ 1.4:1 | 2.8:1
πŸ“Š Timeframe: Daily
πŸ’ͺ Confidence: 72%

πŸ“Š Analysis:
BTC maintaining a bullish higher-low structure on the daily chart with strong demand at the $79K zone. Weekly structure remains intact β€” buyers active on every dip above $77.5K. On-chain data shows accumulation at current price levels. September is historically one of BTC's strongest months. Confirmation trigger: daily close above $80,500 opens momentum run to TP1.

⚠️ Manage risk. Not financial advice.
πŸ” Prophet VIP
πŸ”ΊπŸ”ΊπŸ”ΊπŸ”ΊπŸ”ΊπŸ”ΊπŸ”Ί

Sui (Swing)

Instrument: SUI/USDT
Order type: Buy Limit
Entry price: 0.7200
Take profit: 0.9600
Stop loss: 0.6000
RRR: 1:2

NB: This order will become invd if not triggered within the next 24 hours
Why use a real account as demo?πŸ˜β†—οΈβ˜˜

I always tell traders that they should practice with demo until they are sure that their strategy can withstand all market conditions.

Which means if you are testing a swing trading system or a position trading system, you should test a swing trading system for at least one year, a position trading system for at least three years.

You should test a day trading system, for at least, three months and a scalping system you should test for at least two months.

Many people will never follow this advice and they always fall into the trap of the curse of the early winβ€”the curse of the early win, when your strategy goes into luck and you think that you are a good trader.

So eventually, many people use their live accounts and their real money as a demo account.

That is why you see them blowing one account, one real account after the other.

All the mistakes they are supposed to make and learn on demo, they are making them on live accounts.

So if you don't want to test your trading idea on a demo account, you will use your real money, your live account as a demo account. 

Practising on the demo for a long time will reveal to you that most trading systems are worthless anyway.

If you lack patience, you have no business trading.

After all, what do you have to show for your many years of impatience? Losses that are bigger than winners.

That is it."


Recommended Testing Durations on Demos

* Position Trading System: Minimum 3 yearsπŸš€

* Swing Trading System: Minimum 1 year🩸

* Day Trading System: Minimum 4 months❀️

* Scalping System: Minimum 2 months
πŸ”₯ VIP SIGNAL | CRYPTO πŸ”₯

πŸ“Š ETH/USDT (ETHEREUM) β€” BUY / LONG

πŸ’΅ Current Price: ~$2,510

🎯 Entry Zone: $2,480 – $2,510
βœ… TP1: $2,595 (+1.3R)
βœ… TP2: $2,680 (+2.5R)
❌ Stop Loss: $2,420

πŸ“ Min R:R: 1.3:1

πŸ“ˆ Technical Reason:
ETH holding key $2,500 psychological support with rising volume ($17.5B 24h). Crypto market riding a massive short squeeze β€” BTC up +3.14% with $7.2B in bearish positions liquidated. ETH showing relative strength (+0.56% 24h), momentum bullish into the weekend. Watch for a break above $2,530 to confirm continuation toward TP1.

SL invdation: Daily close below $2,420.

⚠️ Risk max 1–2% of account per trade. Not financial advice.

πŸ€– Prophet VIP Signals
Crypto Dusting Attacks: The Tiny Transactions That Can Put Your Privacy At Risk

A few tiny crypto deposits appearing in your wallet may look harmless. But if you did not send for them, they could be part of a scammer’s attempt to follow your transactions and learn more about your wallet activity.

This tactic is known as a dusting attack. It does not immediately give an attacker access to your funds, but interacting with the unwanted coins or following links attached to them can create bigger problems.

You can read more here: https://learn2.trade/crypto-dusting-attacks-the-tiny-transactions-that-can-put-your-privacy-at-risk
Web3’s Biggest Opportunity May Be What It Can Unlock for Investors

For all the criticism surrounding Web3, one fact is difficult to ignore: it has already created new ways for people to make money.

Bitcoin turned an internet-native asset into a global investment class. Ethereum introduced an ecosystem where users could lend, borrow, trade and earn through decentrzed protocols. NFTs created markets for digital ownership, while early participants in several Web3 projects made substantial returns.

You can read more here: https://learn2.trade/web3s-biggest-opportunity-may-be-what-it-can-unlock-for-investors
TUT Trade Update!

This long trade was a successful trade which have gave us:

+1200 pips.

That was COOL
TAC Trade Update!

However, this short trade his our stop.

-400 pips.

That was nice
πŸ‘πŸ‘πŸ‘Free Signal!πŸ‘πŸ‘πŸ‘

Magma Finance (SWING Trade)

Instrument: MAGMAUSDT
My opinion: Buy (Instant Execution)
Entry price: $0.494
Stop: $0.49
Target: $0.5060
Our risk setting: 2% 
RRR: 1:3
Magma Finance (SWING Trade)

Instrument: MAGMAUSDT
My opinion: Buy (Instant Execution)
Entry price: $0.494
Stop: $0.49
Target: $0.5060
Our risk setting: 2% 
RRR: 1:3
Huma Finance (SWING Trade)

Instrument: HUMAUSDT
My opinion: Sell (Instant Execution)
Entry price: $0.02093
Stop: $0.02493
Target: $0.00893
Our risk setting: 2% 
RRR: 1:3
Solana Advances as It Rallies to $106

Solana price surpasses its barrier at $85 as it rallies to $106. The positive momentum has reached a high of $106.

Presently, the crypto price is stuck at the recent high. Solana will progress to the high of $127 if buyers overcome the current resistance level. In the meantime, Solana is hovering above the $100 support as the altcoin maintains it bullish ascent.

Please, read more: https://learn2.trade/solana-advances-as-it-rallies-to-106
πŸ“Š Weekend Market Brief β€” 29 Aug 2026

πŸ“… Weekly Recap
Another volatile week across crypto and FX markets. Macro conditions continue to dominate β€” geopolitical risk, central bank expectations and risk sentiment are driving price action more than technicals.

πŸ” Where We Stand Now
πŸ”΄ BTC: $77,865.36 (-0.63% 24h)
πŸ”΄ ETH: $2,444.76 (-1.13% 24h)
πŸ”΄ SOL: $105.03 (-0.28% 24h)
πŸ”΄ XRP: $1.39 (-0.83% 24h)

⚠️ Key Levels Into Next Week
πŸ“Œ BTC: Support $76,888.00 | Resistance $78,404.00
πŸ“Œ ETH: Support $2,405.97 | Resistance $2,473.95

πŸ—“ What To Watch Next Week
β€’ Monday Asia open β€” first test of weekend sentiment
β€’ US economic data mid-week β€” PCE inflation, jobs data
β€’ Geopolitical developments β€” any escalation = risk-off, any de-escalation = relief rally
β€’ Fed speakers β€” any hints on rate path will move markets

Our view: Stay patient. High-quty setups only. The market rewards discipline in volatile conditions.

More signals coming your way next week. Stay focused. πŸ’ͺ
β€” Learn2Trade Research Desk
What Actually Makes a Setup β€œA+”

Ask ten traders what an A+ setup looks like, and most will point to a chart. A clean breakout, a price breaking to a new high, a gap on heavy volume.

The observations are not wrong, but they are incomplete.

Pattern recognition is only one input among several, and treating it as the whole picture is why so many traders mistake a merely decent trade for an A+ setup.

The distinction matters more than it might seem. Most trading days offer a steady supply of mediocre opportunities β€” setups worth taking, but not worth leaning into. This is the nature of trading – most trading periods, when examined closely, are full of trades that move a little but not a lot, sprinkled with the inevitable losses generated by trades that never got going.

A+ setups are rarer: a genuine gnment of market conditions, statistical edge, and trader readiness. They don’t show up often, but when they do, they account for a disproportionate share of long-term returns. Recognising the difference β€” and sizing accordingly β€” is arguably a more valuable skill than finding the setups in the first place
A+ setups are rarer: a genuine gnment of market conditions, statistical edge, and trader readiness. They don’t show up often, but when they do, they account for a disproportionate share of long-term returns. Recognising the difference β€” and sizing accordingly β€” is arguably a more valuable skill than finding the setups in the first place.

This is what separates the two.

1. The Market Environment Has to Cooperate
Every edge expands and contracts with the environment it’s traded in. A strategy that performs well in one type of market can be close to unworkable in another, and no amount of conviction changes that. An A+ setup typically shows up when the broader conditions are actively supporting the strategy being used β€” not just tolerating it.

Three things tend to be present
Opportunity is abundant. Price is moving cleanly, and volatility is high enough to work with.
Liquidity is favourable. Positions can be sized meaningfully without slippage eating into the edge.

The market is rewarding the style. The trader’s specific approach β€” momentum, mean reversion, breakout β€” is working right now, not in theory.

2. The Statistical Case Has to Be Strong
This shift shows up in a few concrete ways. The probabilities lean clearly toward one outcome, producing a meaningfully positive expected value. The risk-reward is asymmetric: real upside against a downside that’s small, defined, and quantifiable in advance. And there’s often a practical tell β€” the best trades tend to work almost immediately. If a setup needs to be right eventually, it’s probably not an A+.

3. It Passes a Systematic Check
Gut feel isn’t a filter. Many experienced traders run something closer to a daily report card β€” a structured, pre-market read on the day’s opportunity set before any capital is at risk.

That check usually covers two things: how opportunistic the day looks relative to a normal or slow session, and how many independent factors are converging. When several of these line up, the setup often earns a formal grade, an β€œA” or a β€œB,” rather than a vague sense that it β€œlooks good
Inversion Thinking: The Mindset That Can Transform Your Trading: https://cryptosignals.org/trading/inversion-thinking-the-mindset-that-can-transform-your-trading
The point of the exercise isn’t the grade itself. It’s forcing an honest, repeatable assessment instead of relying on whatever the chart happens to suggest in the moment.

4. The Trader Has to Be Ready, Not Just the Chart
This is the criterion most retail traders skip entirely, and it’s arguably the most important. A setup is only A+ if the person taking it is actually in a position to execute it well. Professionals treat their own state β€” sleep, stress, recent results β€” as part of the setup, not something separate from it.

The logic is straightforward: a chart pattern that would normally justify an A+ grade gets downgraded if decision-making quty is compromised.

Fatigue and stress don’t just make execution harder β€” they change the risk calculus of the trade itself.

There’s also a discipline component: capitsing on an A+ setup requires the willingness to attack it properly, rather than trading it half-sized and defensively because of a recent losing streak. A setup a trader isn’t prepared to execute with full conviction isn’t really an A+ setup for that trader, whatever the chart says.

5. The Thesis Has to Be Unambiguous
Finally, A+ setups come with clarity that mediocre ones don’t. The trade thesis is obvious, the entry logic is clean, and β€” critically β€” the trader knows exactly where the idea is wrong before they’ve even entered. There’s no fuzziness about what invdates the trade