I will share my thoughts , and what I expect in the near future, I do not know if there will be any rebound in the Alts, I hope so, because after the 11th I expect a good market crash
I do not tie the dates, it's more my reference points, it may happen earlier or later, we all know how the market likes to torture the sidekicks
So I plan to try and get a number of short positions swinging
This will be around 2% of the deposit, with the aim of catching 2 waves of decline the first is 24-25k, the second is the target of 20-21k
There are also 2 interesting zones for me when I increase the risk in order to earn more money
They are: 24800-24200 (long rebound) and about 21400-21 ( where I think I can catch heavy long with small stop and super nice RP)
I buy more large caps to avoid easy short squeeze(stop hunt), like ETC BCH etc., in general, I think the whole SEC list fits the deal in the near future
The only thing you have to be careful to take the short positions right after the bad news, or you may exit with the same smart guys on the first short squeeze.
In general the risk will be about 2% for all sets to the shorts, the expectation is 4-6% if all goes well.
The market is in the phase to minimize traders' earnings and to cut maximum coupons from hamsters, but I hasten to reassure you with each month it will become easier, although it may seem the opposite
I do not tie the dates, it's more my reference points, it may happen earlier or later, we all know how the market likes to torture the sidekicks
So I plan to try and get a number of short positions swinging
This will be around 2% of the deposit, with the aim of catching 2 waves of decline the first is 24-25k, the second is the target of 20-21k
There are also 2 interesting zones for me when I increase the risk in order to earn more money
They are: 24800-24200 (long rebound) and about 21400-21 ( where I think I can catch heavy long with small stop and super nice RP)
I buy more large caps to avoid easy short squeeze(stop hunt), like ETC BCH etc., in general, I think the whole SEC list fits the deal in the near future
The only thing you have to be careful to take the short positions right after the bad news, or you may exit with the same smart guys on the first short squeeze.
In general the risk will be about 2% for all sets to the shorts, the expectation is 4-6% if all goes well.
The market is in the phase to minimize traders' earnings and to cut maximum coupons from hamsters, but I hasten to reassure you with each month it will become easier, although it may seem the opposite
BTC Daily Update
🟢LONG limit #apt/usdt Entries: 7.74 and 7.75 A 8.39 B 8.93 C 9.4 Stop Loss: 7.47 risk 0.2%
#Apt long has closed looks a bit unpredictable 7.705
🟢LONG #btc
Entries:
26462
26426
*To enter, you can try to enter part of the position above the type 26501 and then just leave the second entry 26426, which will increase the chance of filling the position, but worsen the average, here you can just play the order size 30/70% then the average will be about the same, and will not fomo if the orders are not filled *
1️⃣ 26790
2️⃣ 26974
3️⃣ 27172
⛔️Stop Loss: 26355 risk 0.2%
**stop trigger (so as not to knock out the occasional snot), but in fact, I think the closing of 1-5 minutes under 26410 will be enough to close the set-up, but the official stop close 1-minute candle below 26355**
~~cancel the set up
when the price rises to 26760-770~~
Entries:
26462
26426
*To enter, you can try to enter part of the position above the type 26501 and then just leave the second entry 26426, which will increase the chance of filling the position, but worsen the average, here you can just play the order size 30/70% then the average will be about the same, and will not fomo if the orders are not filled *
1️⃣ 26790
2️⃣ 26974
3️⃣ 27172
⛔️Stop Loss: 26355 risk 0.2%
**stop trigger (so as not to knock out the occasional snot), but in fact, I think the closing of 1-5 minutes under 26410 will be enough to close the set-up, but the official stop close 1-minute candle below 26355**
~~cancel the set up
when the price rises to 26760-770~~
Mathematics for greedy hamsters who do not understand why important have to take small risks.
Example, if we earn on average 0.2% on a deposit of 10000, at day
after 30 days 10,617.73
in 100 days 12211.59
after 200 days 14912.29
in one year 20735.68 or +107%
Example, if we earn on average 0.2% on a deposit of 10000, at day
after 30 days 10,617.73
in 100 days 12211.59
after 200 days 14912.29
in one year 20735.68 or +107%
LONG #BTC/USDT @VIP
Entries:
25610(20%)
25402(30%)
25256(50%)
T/P
1: 26790
2: 26974
3: 27272
S/L: 24880 risk 0.5%
stop trigger 1 min close under 24880
-----------------------------
LONG #btc @VIP
Entries:
23919
23725
Plus extra limit on 23552 (if you have a risk of 1%, then here you can increase it to 1.5%)
T/P
1: 24980
2: 25904
3: 26900
⛔️S/L: 22880 risk 1-1.5%
Entries:
25610(20%)
25402(30%)
25256(50%)
T/P
1: 26790
2: 26974
3: 27272
S/L: 24880 risk 0.5%
stop trigger 1 min close under 24880
-----------------------------
LONG #btc @VIP
Entries:
23919
23725
Plus extra limit on 23552 (if you have a risk of 1%, then here you can increase it to 1.5%)
T/P
1: 24980
2: 25904
3: 26900
⛔️S/L: 22880 risk 1-1.5%
if you want to be a little more greedy/conservative, you can go to the first entrance to 25850 , probably just go there
let's see where we will be, if the btc goes above 26200, everything should be in BE, and not filled limits are removed
🟢#ENS/USDT
Long LIMIT
Entry
1) 7.61 (50%)
2) 7.402 (50%)
1️⃣ 7.704
2️⃣ 7.79
3️⃣ 7.89
4️⃣ 8.17
⛔️STOP:
7.31 risk 0.2%
Long LIMIT
Entry
1) 7.61 (50%)
2) 7.402 (50%)
1️⃣ 7.704
2️⃣ 7.79
3️⃣ 7.89
4️⃣ 8.17
⛔️STOP:
7.31 risk 0.2%
BTC Daily Update
🟢#ENS/USDT Long LIMIT Entry 1) 7.61 (50%) 2) 7.402 (50%) 1️⃣ 7.704 2️⃣ 7.79 3️⃣ 7.89 4️⃣ 8.17 ⛔️STOP: 7.31 risk 0.2%
Ens close 50% 7.659 stop move to be
#COTI/USDT
Enter 0.051 risk 0.1% + 0.048 risk 0.1%
Tp 1: 0.055
Tp 2: 0.0596
TP 3: 0.0687
⛔️Stop : 1d below 0.045
Enter 0.051 risk 0.1% + 0.048 risk 0.1%
Tp 1: 0.055
Tp 2: 0.0596
TP 3: 0.0687
⛔️Stop : 1d below 0.045
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