π₯ #FILπ₯
β© Long
βοΈ Leverage 20x
β Entry: 19.73 - 19.47
π₯ Targets: 19.90 - 20.09 - 20.24 - 20.55 - 20.80 - 21.00 - 21.30
β StopLoss: 18.60
β© Long
βοΈ Leverage 20x
β Entry: 19.73 - 19.47
π₯ Targets: 19.90 - 20.09 - 20.24 - 20.55 - 20.80 - 21.00 - 21.30
β StopLoss: 18.60
π₯#FILπ₯
β© Long
βοΈ Leverage 20x
β Entry: 18.870 - 18.460
π₯ Target: 18.980, 19.120, 19.265, 19.427, 19.595, 19.758
β StopLoss: 17.900
β© Long
βοΈ Leverage 20x
β Entry: 18.870 - 18.460
π₯ Target: 18.980, 19.120, 19.265, 19.427, 19.595, 19.758
β StopLoss: 17.900
π₯#FILπ₯
SPOT SIGNALπ‘
πBUY: 13 TO 13.5$ (buy in parts we can see a drop to 11.5$ or 10$)
π―TARGETS:
1)15.75$
2)18.2$
3)19.5$
4)20$
Stop loss: HOLD (and buy more under 13$)
DON'T GO ALL IN BUY IN PARTS AND SELL WITH PROFITπ
SPOT SIGNALπ‘
πBUY: 13 TO 13.5$ (buy in parts we can see a drop to 11.5$ or 10$)
π―TARGETS:
1)15.75$
2)18.2$
3)19.5$
4)20$
Stop loss: HOLD (and buy more under 13$)
DON'T GO ALL IN BUY IN PARTS AND SELL WITH PROFITπ
π₯#FILπ₯
π’ LONG (β οΈ HIGH RISK)
βοΈ Leverage: 20x
π Entry: 8.480 - 8.335
π― Target 1: 8.545
π― Target 2: 8.620
π― Target 3: 8.700
π― Target 4: 8.780
π― Target 5: 8.867
π― Target 6: 8.955
β StopLoss : 8.145
π’ LONG (β οΈ HIGH RISK)
βοΈ Leverage: 20x
π Entry: 8.480 - 8.335
π― Target 1: 8.545
π― Target 2: 8.620
π― Target 3: 8.700
π― Target 4: 8.780
π― Target 5: 8.867
π― Target 6: 8.955
β StopLoss : 8.145
23---->30 MAY REPORTβΊ
1:#BNB 63.5% PROFITβ
2:#NEAR -61% LOSSβ
3:#COTI 131.6% PROFITβ
4:π₯#RSR 892% PROFITβ π₯
5:#BNB 29.2% PROFITβ
6:#BAND 218% PROFITβ
7:#FIL HIT TP1 WITH 17% PROFITβ THEN HIT STOPLOSS WITH -65% LOSSβ
8:#CRV 108% PROFITβ
9:#ONE LOSS -70%β
10:#AKRO 214% PROFITβ
11:#BAKE LOSS -67%β
12:#MATIC 58.7% PROFITβ
13:#LINA LOSS -60%β
14:#FTM we ignore it because it was too far from entryπ
15:#GMT WE CLOSE IT with PROFITβ
16:#RSR 89% PROFITβ
17:#XTZ LOSS -54%β
18:#BAKE 75% PROFITβ
19:#ONT 92.5% PROFITβ
20:#LINK 40% PROFITβ
21:#FTM 47.6% PROFITβ
22:#RLC 36.7% PROFITβ
23:#CELR 83.3% PROFITβ
24:#NEAR TARGET 1 HIT 20% PROFITβ (then we go down THAT'S WHY WE TELL YOU TO RISE YOUR SL)
25:#AVAX(LONG) 156% PROFITβ
26:#PEOPLE 191.6% PROFITβ
27:#SRM 324% PROFITβ
28:#BNX 60% PROFITβ
29:#AVAX(SHORT) 35% PROFITβ
30:#APE 149% PROFITβ
31:#NEAR 67.5% PROFITβ
32:#ATOM 53.2% PROFITβ
33:#BEL -100% LOSSβ ( THAT'S WHY YOU SHOULD NOT GO ALL IN AND USE LOW MARGIN WHEN WE PUT β οΈ)
πTotal Profit : 2775.4%(27Γ)β¨
π₯ACCURACY : 81%
You all can back check each signal for authenticity πβ¨
It was a bad week 19% of our signals hits the stop loss. But if you divided your margin correctly you have at least doubled your capital or 3Γ it πβ€
So play safe and we promise you with better resultsπ€β
1:#BNB 63.5% PROFITβ
2:#NEAR -61% LOSSβ
3:#COTI 131.6% PROFITβ
4:π₯#RSR 892% PROFITβ π₯
5:#BNB 29.2% PROFITβ
6:#BAND 218% PROFITβ
7:#FIL HIT TP1 WITH 17% PROFITβ THEN HIT STOPLOSS WITH -65% LOSSβ
8:#CRV 108% PROFITβ
9:#ONE LOSS -70%β
10:#AKRO 214% PROFITβ
11:#BAKE LOSS -67%β
12:#MATIC 58.7% PROFITβ
13:#LINA LOSS -60%β
14:#FTM we ignore it because it was too far from entryπ
15:#GMT WE CLOSE IT with PROFITβ
16:#RSR 89% PROFITβ
17:#XTZ LOSS -54%β
18:#BAKE 75% PROFITβ
19:#ONT 92.5% PROFITβ
20:#LINK 40% PROFITβ
21:#FTM 47.6% PROFITβ
22:#RLC 36.7% PROFITβ
23:#CELR 83.3% PROFITβ
24:#NEAR TARGET 1 HIT 20% PROFITβ (then we go down THAT'S WHY WE TELL YOU TO RISE YOUR SL)
25:#AVAX(LONG) 156% PROFITβ
26:#PEOPLE 191.6% PROFITβ
27:#SRM 324% PROFITβ
28:#BNX 60% PROFITβ
29:#AVAX(SHORT) 35% PROFITβ
30:#APE 149% PROFITβ
31:#NEAR 67.5% PROFITβ
32:#ATOM 53.2% PROFITβ
33:#BEL -100% LOSSβ ( THAT'S WHY YOU SHOULD NOT GO ALL IN AND USE LOW MARGIN WHEN WE PUT β οΈ)
πTotal Profit : 2775.4%(27Γ)β¨
π₯ACCURACY : 81%
You all can back check each signal for authenticity πβ¨
It was a bad week 19% of our signals hits the stop loss. But if you divided your margin correctly you have at least doubled your capital or 3Γ it πβ€
So play safe and we promise you with better resultsπ€β