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 — and sizing accordingly — 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 — not just tolerating it.
Three things tend to be present
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 — 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 — momentum, mean reversion, breakout — 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 — 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 — 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 “A” or a “B,” rather than a vague sense that it “looks good
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 — momentum, mean reversion, breakout — 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 — 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 — 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 “A” or a “B,” rather than a vague sense that it “looks 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 — sleep, stress, recent results — 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 — 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 — critically — the trader knows exactly where the idea is wrong before they’ve even entered. There’s no fuzziness about what invdates the trade
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 — sleep, stress, recent results — 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 — 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 — critically — the trader knows exactly where the idea is wrong before they’ve even entered. There’s no fuzziness about what invdates the trade
🌅 Week Ahead Brief — 31 Aug 2026
Good morning VIP members. Here's what to watch this week.
📊 Market Open Prices
🔴 BTC: $77,760.97
🔴 ETH: $2,421.21
🔴 SOL: $101.97
🔴 XRP: $1.35
🗓 Key Events This Week
• US economic data — watch for inflation prints and jobs data
• Fed speakers — any policy signals will move markets
• Crypto: BTC dominance and altcoin rotation are key themes
• Geopolitical — any escalation in Middle East = risk-off
📌 Levels To Watch
BTC: Support $77,000.00 | Resistance $79,400.00
ETH: Support $2,387.28 | Resistance $2,534.98
Our strategy this week: Wait for high-probability setups. We don't force trades — we wait for the market to come to us. Quty over quantity.
Signals will follow throughout the week. Stay sharp. 💪
— Learn2Trade Research Desk
Good morning VIP members. Here's what to watch this week.
📊 Market Open Prices
🔴 BTC: $77,760.97
🔴 ETH: $2,421.21
🔴 SOL: $101.97
🔴 XRP: $1.35
🗓 Key Events This Week
• US economic data — watch for inflation prints and jobs data
• Fed speakers — any policy signals will move markets
• Crypto: BTC dominance and altcoin rotation are key themes
• Geopolitical — any escalation in Middle East = risk-off
📌 Levels To Watch
BTC: Support $77,000.00 | Resistance $79,400.00
ETH: Support $2,387.28 | Resistance $2,534.98
Our strategy this week: Wait for high-probability setups. We don't force trades — we wait for the market to come to us. Quty over quantity.
Signals will follow throughout the week. Stay sharp. 💪
— Learn2Trade Research Desk
🟢 LONG SIGNAL — AVAX/USDT
⏱ Timeframe: H4
📍 Entry Zone: $7.20 – $7.55
🎯 TP1: $8.20 (+10–14%)
🎯 TP2: $8.85 (+18–23%)
🛑 SL: $6.75
📊 R:R — TP1: 1.5:1 | TP2: 2.7:1
🧠 Analysis: AVAX/USDT defending critical $7.00 structural support on its 3rd test — proven demand zone with strong order absorption. BTC stable at ~$78,200 providing market baseline confidence. H4 RSI printing bullish divergence at 38 — buyers stepping in. Avalanche9000 mainnet upgrade catalysts providing fundamental floor. August historically one of AVAX's strongest reversal months off major support. Volume contraction on the lows confirms distribution exhaustion.
⚠️ Risk management — max 1-2% per trade. Crypto volatile — size accordingly
⏱ Timeframe: H4
📍 Entry Zone: $7.20 – $7.55
🎯 TP1: $8.20 (+10–14%)
🎯 TP2: $8.85 (+18–23%)
🛑 SL: $6.75
📊 R:R — TP1: 1.5:1 | TP2: 2.7:1
🧠 Analysis: AVAX/USDT defending critical $7.00 structural support on its 3rd test — proven demand zone with strong order absorption. BTC stable at ~$78,200 providing market baseline confidence. H4 RSI printing bullish divergence at 38 — buyers stepping in. Avalanche9000 mainnet upgrade catalysts providing fundamental floor. August historically one of AVAX's strongest reversal months off major support. Volume contraction on the lows confirms distribution exhaustion.
⚠️ Risk management — max 1-2% per trade. Crypto volatile — size accordingly
XRP Remains Above $1.30 Low as Buyers Revisit the $1.70 High
The price of XRP has maintained its upward trend as buyers revisit the $1.70 high. Since August 26, XRP has held above the $1.30 support level.
XRP had soared to a high of $1.70 before dropping quickly below the $1.50 support level. Today, the cryptocurrency market has been forced to trade sideways above the $1.30 support but below the $1.70 high.
Please, read more : XRP Remains Above $1.30 Low as Buyers Revisit the $1.70 High
The price of XRP has maintained its upward trend as buyers revisit the $1.70 high. Since August 26, XRP has held above the $1.30 support level.
XRP had soared to a high of $1.70 before dropping quickly below the $1.50 support level. Today, the cryptocurrency market has been forced to trade sideways above the $1.30 support but below the $1.70 high.
Please, read more : XRP Remains Above $1.30 Low as Buyers Revisit the $1.70 High
How Fake Firefox Extensions Can Turn A Crypto Wallet Into A Target
A crypto wallet does not always need to be hacked directly for its funds to be stolen.
Sometimes, the attacker only needs to convince the wallet owner to install the wrong browser extension.
You can read more here: https://learn2.trade/how-fake-firefox-extensions-can-turn-a-crypto-wallet-into-a-target
A crypto wallet does not always need to be hacked directly for its funds to be stolen.
Sometimes, the attacker only needs to convince the wallet owner to install the wrong browser extension.
You can read more here: https://learn2.trade/how-fake-firefox-extensions-can-turn-a-crypto-wallet-into-a-target
🚨 VIP SIGNAL #3 – LINK/USDT LONG
📊 Setup Details:
Entry Zone: 11.05 – 11.35
🎯 TP1: 11.95 (+75¢ / 1.5R)
🎯 TP2: 12.75 (+155¢ / 3.1R)
🛑 SL: 10.55
⏱ Timeframe: H4
💰 Current Price: ~$11.28
📅 Aug 31, 2026 – 15:00 CET
📈 Technical Analysis:
LINK defending $11.00 psychological support after August pullback. H4 RSI reset from oversold (32 → 46), bullish divergence intact. BTC stable ~$78.6k providing risk-on floor. Volume contraction on lows = seller exhaustion. Chainlink SVR + CCIP institutional adoption catalysts remain. Reclaim of $11.70 opens $12.75 breakout zone.
⚙️ Confluence:
• $11.00 macro support hold
• Bullish RSI divergence H4
• 200H MA reclaim attempt at $11.35
• BTC dominance stable (risk-on continuation)
• CCIP / SVR ecosystem tailwinds
Risk max 1–2% per position. R:R 1.5:1 to TP1
📊 Setup Details:
Entry Zone: 11.05 – 11.35
🎯 TP1: 11.95 (+75¢ / 1.5R)
🎯 TP2: 12.75 (+155¢ / 3.1R)
🛑 SL: 10.55
⏱ Timeframe: H4
💰 Current Price: ~$11.28
📅 Aug 31, 2026 – 15:00 CET
📈 Technical Analysis:
LINK defending $11.00 psychological support after August pullback. H4 RSI reset from oversold (32 → 46), bullish divergence intact. BTC stable ~$78.6k providing risk-on floor. Volume contraction on lows = seller exhaustion. Chainlink SVR + CCIP institutional adoption catalysts remain. Reclaim of $11.70 opens $12.75 breakout zone.
⚙️ Confluence:
• $11.00 macro support hold
• Bullish RSI divergence H4
• 200H MA reclaim attempt at $11.35
• BTC dominance stable (risk-on continuation)
• CCIP / SVR ecosystem tailwinds
Risk max 1–2% per position. R:R 1.5:1 to TP1
🔺🔺🔺🔺🔺🔺🔺
Cronus (Swing)
Instrument: CRO/USDT
Order type: Buy (Instant Execution)
Entry price: 0.0550
Take profit: 0.0750
Stop loss: 0.0450
RRR: 1:2
NB: This order will become invd if not triggered within the next 30 hours
Cronus (Swing)
Instrument: CRO/USDT
Order type: Buy (Instant Execution)
Entry price: 0.0550
Take profit: 0.0750
Stop loss: 0.0450
RRR: 1:2
NB: This order will become invd if not triggered within the next 30 hours
🔥 VIP SIGNAL | BTC/USD (BITCOIN)
📈 DIRECTION: LONG / BUY
⏰ Timeframe: 4H
📊 Current Price: $78,850
🎯 ENTRY ZONE: $78,000 – $79,500
✅ TP1: $83,000
✅ TP2: $87,500
🛡️ SL: $75,500
📐 Risk/Reward: 1.31:1 → 2.69:1
📝 ANALYSIS:
BTC defending $75K macro support through August, opening September consolidating at $78.5K–79K. COIN (Coinbase) logged $15.5M dark pool block — institutional accumulation. ALGO.X and BCH.X showing elevated social/X engagement indicating early crypto rotation. Volume structure suggests smart money loading before next leg higher.
Clean invdation below $75.5K. September 1 seasonal open historically precedes Q4 crypto strength.
⚡ Manage risk. Not financial advice
📈 DIRECTION: LONG / BUY
⏰ Timeframe: 4H
📊 Current Price: $78,850
🎯 ENTRY ZONE: $78,000 – $79,500
✅ TP1: $83,000
✅ TP2: $87,500
🛡️ SL: $75,500
📐 Risk/Reward: 1.31:1 → 2.69:1
📝 ANALYSIS:
BTC defending $75K macro support through August, opening September consolidating at $78.5K–79K. COIN (Coinbase) logged $15.5M dark pool block — institutional accumulation. ALGO.X and BCH.X showing elevated social/X engagement indicating early crypto rotation. Volume structure suggests smart money loading before next leg higher.
Clean invdation below $75.5K. September 1 seasonal open historically precedes Q4 crypto strength.
⚡ Manage risk. Not financial advice
🔴 SIGNAL | ADA/USDT SHORT
⏰ H4 | September 1, 2026 — 15:00 Madrid
📍 ENTRY ZONE: $0.200 – $0.208
🎯 TP1: $0.184 (~7.8% from mid)
🎯 TP2: $0.168 (~17.6% from mid)
🛑 SL: $0.218
⚖️ R:R → 1.4:1 (TP1) | 2.6:1 (TP2)
📊 ANALYSIS:
ADA down 11% in 7 days — clear relative weakness vs BTC. Hawkish Fed re-pricing (Warsh Jackson Hole) = risk-off pressure on smaller-cap crypto. BTC softening from $78.5k. ADA failed to reclaim $0.220 resistance zone multiple times — bears firmly in control. H4 RSI sub-40, bearish momentum intact. Volume declining on bounces = no conviction from buyers. Next structural support: $0.185 → $0.170.
Current price: $0.202 ✅ Entry active now.
⚠️ Risk 1–2% max per trade
⏰ H4 | September 1, 2026 — 15:00 Madrid
📍 ENTRY ZONE: $0.200 – $0.208
🎯 TP1: $0.184 (~7.8% from mid)
🎯 TP2: $0.168 (~17.6% from mid)
🛑 SL: $0.218
⚖️ R:R → 1.4:1 (TP1) | 2.6:1 (TP2)
📊 ANALYSIS:
ADA down 11% in 7 days — clear relative weakness vs BTC. Hawkish Fed re-pricing (Warsh Jackson Hole) = risk-off pressure on smaller-cap crypto. BTC softening from $78.5k. ADA failed to reclaim $0.220 resistance zone multiple times — bears firmly in control. H4 RSI sub-40, bearish momentum intact. Volume declining on bounces = no conviction from buyers. Next structural support: $0.185 → $0.170.
Current price: $0.202 ✅ Entry active now.
⚠️ Risk 1–2% max per trade
✅ AlgoBot Telegram connection test
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🤖 AlgoBot Copy Trading is live
Want to follow our automated forex strategy without manually taking every trade?
Review the independently tracked record before deciding:
📊 SignalStart
https://www.signalstart.com/analysis/algobot-copy-trading/287718
📈 Myfxbook
https://www.myfxbook.com/members/AlgoBotTrader/algobot-copy-trading/11435945
🔗 Learn more / copy from AlgoBot:
https://algobot.com
⚠️ Risk warning: Past performance does not guarantee future results. Leveraged forex trading carries substantial risk and you can lose some or all of your capital. Only trade with money you can afford to lose
Want to follow our automated forex strategy without manually taking every trade?
Review the independently tracked record before deciding:
📊 SignalStart
https://www.signalstart.com/analysis/algobot-copy-trading/287718
📈 Myfxbook
https://www.myfxbook.com/members/AlgoBotTrader/algobot-copy-trading/11435945
🔗 Learn more / copy from AlgoBot:
https://algobot.com
⚠️ Risk warning: Past performance does not guarantee future results. Leveraged forex trading carries substantial risk and you can lose some or all of your capital. Only trade with money you can afford to lose
📊 VIP SIGNAL — BNB/USDT SHORT
⚡ Asset: BNB/USDT
📍 Direction: SELL / SHORT
🎯 Entry Zone: $685 – $700
✅ TP1: $648
✅ TP2: $610
❌ SL: $718
📐 R:R → TP1: 1.75 | TP2: 3.24
⏱ Timeframe: H4
📈 Analysis:
BNB at ~$688 rejected from $700–710 resistance zone as BTC pulls back -1% on hawkish Fed repricing. Warsh comments at Jackson Hole = sustained risk-off for crypto. Order book showing 65%+ sell pressure. H4 RSI declining below 45, MACD bearish cross forming. BNB/BTC ratio showing relative weakness vs. market. Targets: $648 swing-low support → $610 demand zone. Close above $718 invdates setup.
⚠️ Max 3x leverage. Manage risk carefully
⚡ Asset: BNB/USDT
📍 Direction: SELL / SHORT
🎯 Entry Zone: $685 – $700
✅ TP1: $648
✅ TP2: $610
❌ SL: $718
📐 R:R → TP1: 1.75 | TP2: 3.24
⏱ Timeframe: H4
📈 Analysis:
BNB at ~$688 rejected from $700–710 resistance zone as BTC pulls back -1% on hawkish Fed repricing. Warsh comments at Jackson Hole = sustained risk-off for crypto. Order book showing 65%+ sell pressure. H4 RSI declining below 45, MACD bearish cross forming. BNB/BTC ratio showing relative weakness vs. market. Targets: $648 swing-low support → $610 demand zone. Close above $718 invdates setup.
⚠️ Max 3x leverage. Manage risk carefully
🚨 VIP SIGNAL | SOL/USDT SHORT
⚡️ Context: BTC -2.3% on hawkish Fed hike repricing (65%+ Sep hike probability). SOL leading the decline at -3.72% in 24h — clear relative weakness. The previous VIP SOL LONG hit TP1 at $106. Price has now broken below the key $100 psychological level and former SL zone.
📊 SOL/USDT | H4 | SELL
📍 Entry zone: $99.00 – $101.50 (at market / sell into any bounce)
🎯 TP1: $93.50 (RR 1.4:1)
🎯 TP2: $87.50 (RR 2.7:1)
🛑 SL: $105.00
⚖️ Risk per trade: 1–2% max
📈 Analysis:
• $100 psychological support broken — flips to resistance
• SOL underperforming BTC: -3.72% vs BTC's -2.3% = relative weakness = sell signal
• Hawkish Fed September hike pricing → risk-off → alts bleed harder than BTC
• Failed to hold August rally highs above $109 — double rejection pattern
• H4 MACD bearish cross forming, RSI declining through 42
• Volume expanding on the breakdown = conviction
🏹 Play: Short at current price or sell any bounce to $101–$101.50
🎯 Targets: $93.50 (August swing low) → $87.50 (July demand base)
📌 Note: Previous SOL LONG TP1 was secured at $106. New SHORT setup begins here.
Current spot: ~$99.82
⚡️ Context: BTC -2.3% on hawkish Fed hike repricing (65%+ Sep hike probability). SOL leading the decline at -3.72% in 24h — clear relative weakness. The previous VIP SOL LONG hit TP1 at $106. Price has now broken below the key $100 psychological level and former SL zone.
📊 SOL/USDT | H4 | SELL
📍 Entry zone: $99.00 – $101.50 (at market / sell into any bounce)
🎯 TP1: $93.50 (RR 1.4:1)
🎯 TP2: $87.50 (RR 2.7:1)
🛑 SL: $105.00
⚖️ Risk per trade: 1–2% max
📈 Analysis:
• $100 psychological support broken — flips to resistance
• SOL underperforming BTC: -3.72% vs BTC's -2.3% = relative weakness = sell signal
• Hawkish Fed September hike pricing → risk-off → alts bleed harder than BTC
• Failed to hold August rally highs above $109 — double rejection pattern
• H4 MACD bearish cross forming, RSI declining through 42
• Volume expanding on the breakdown = conviction
🏹 Play: Short at current price or sell any bounce to $101–$101.50
🎯 Targets: $93.50 (August swing low) → $87.50 (July demand base)
📌 Note: Previous SOL LONG TP1 was secured at $106. New SHORT setup begins here.
Current spot: ~$99.82
🐶 VIP SIGNAL | DOGE/USDT SHORT
━━━━━━━━━━━━━━━━━━━━
📍 Entry Zone: $0.0815 – $0.0840
🎯 TP1: $0.0750 (+1.9R)
🎯 TP2: $0.0700 (+3.1R)
🛑 SL: $0.0870
⏱ Timeframe: H4
📊 R:R: 1.9:1 → 3.1:1
📋 Analysis:
DOGE broke below $0.0850 critical support on Sep 2, now trading at $0.0809 (-1.89% 24h). Broad crypto risk-off: BTC -2.3%, SOL -3.7%. $0.0850–$0.0870 resistance zone now acts as ceiling. Institutional selling + supply-side pressure confirmed in derivatives (short/long divergence). Macro driver: hawkish Fed risk keeps risk assets under pressure. Below-average bounces signal distribution, not accumulation. Price below $0.09 MA — macro bias firmly soft. Target $0.075 → $0.070.
⚠️ Risk management: 1–2% per trade max
━━━━━━━━━━━━━━━━━━━━
📍 Entry Zone: $0.0815 – $0.0840
🎯 TP1: $0.0750 (+1.9R)
🎯 TP2: $0.0700 (+3.1R)
🛑 SL: $0.0870
⏱ Timeframe: H4
📊 R:R: 1.9:1 → 3.1:1
📋 Analysis:
DOGE broke below $0.0850 critical support on Sep 2, now trading at $0.0809 (-1.89% 24h). Broad crypto risk-off: BTC -2.3%, SOL -3.7%. $0.0850–$0.0870 resistance zone now acts as ceiling. Institutional selling + supply-side pressure confirmed in derivatives (short/long divergence). Macro driver: hawkish Fed risk keeps risk assets under pressure. Below-average bounces signal distribution, not accumulation. Price below $0.09 MA — macro bias firmly soft. Target $0.075 → $0.070.
⚠️ Risk management: 1–2% per trade max
⚡️ VIP SIGNAL — CRYPTO
🟠 BTC/USD — LONG (BUY)
━━━━━━━━━━━━━━━━━━━
📍 Entry Zone: $76,400 – $77,200
🎯 TP1: $79,800
🎯 TP2: $82,000
🛑 Stop Loss: $75,000
📊 R:R Ratio: 1.7:1 (TP1) │ 3.0:1 (TP2)
━━━━━━━━━━━━━━━━━━━
📈 Analysis:
BTC pulling back ~1.3% to test intraday demand zone at $76,663–77,200. 24H volume at $14.2B (Coinbase) remains healthy — no panic selling. Structure: higher-lows intact on daily. Key demand cluster: $75,800–77,200. Reclaim of $78,000 confirms continuation toward $80K target. September historically marks Q4 accumulation start for majors.
⚠️ Risk 1–2% of capital. Close 50% at TP1.
#BTCUSD #Bitcoin #VIPSignal
🟠 BTC/USD — LONG (BUY)
━━━━━━━━━━━━━━━━━━━
📍 Entry Zone: $76,400 – $77,200
🎯 TP1: $79,800
🎯 TP2: $82,000
🛑 Stop Loss: $75,000
📊 R:R Ratio: 1.7:1 (TP1) │ 3.0:1 (TP2)
━━━━━━━━━━━━━━━━━━━
📈 Analysis:
BTC pulling back ~1.3% to test intraday demand zone at $76,663–77,200. 24H volume at $14.2B (Coinbase) remains healthy — no panic selling. Structure: higher-lows intact on daily. Key demand cluster: $75,800–77,200. Reclaim of $78,000 confirms continuation toward $80K target. September historically marks Q4 accumulation start for majors.
⚠️ Risk 1–2% of capital. Close 50% at TP1.
#BTCUSD #Bitcoin #VIPSignal
🔴 LTC/USDT SHORT
━━━━━━━━━━━━━━━━━━━
📍 Current Price: ~$49.40
📍 Entry Zone: $49.50 – $51.00
🎯 TP1: $45.50 | R:R 1.73:1
🎯 TP2: $42.00 | R:R 3.00:1
🛑 SL: $53.00
⏱ Timeframe: H4
📊 Analysis:
LTC broke below $50 psychological support — -2.6% on the 7-day, -0.5% 24h. Crypto broadly risk-off: BTC -1.67%, SOL -0.13%. Macro headwinds: Fed rate hike probability 65%+, Iran/Hormuz tensions driving risk-off flows. LTC below all key MAs. Sell bounces into $49.50–$51.00 breakdown zone. Targets: $45.50 → $42.00.
⚙️ Risk: 1-2% per trade | No FOMO below $46
━━━━━━━━━━━━━━━━━━━
📍 Current Price: ~$49.40
📍 Entry Zone: $49.50 – $51.00
🎯 TP1: $45.50 | R:R 1.73:1
🎯 TP2: $42.00 | R:R 3.00:1
🛑 SL: $53.00
⏱ Timeframe: H4
📊 Analysis:
LTC broke below $50 psychological support — -2.6% on the 7-day, -0.5% 24h. Crypto broadly risk-off: BTC -1.67%, SOL -0.13%. Macro headwinds: Fed rate hike probability 65%+, Iran/Hormuz tensions driving risk-off flows. LTC below all key MAs. Sell bounces into $49.50–$51.00 breakdown zone. Targets: $45.50 → $42.00.
⚙️ Risk: 1-2% per trade | No FOMO below $46