$ACX #ACXUSDT
Here’s a typical setup for *entry target, stop loss, and basic risk management* in a long position:
1. *Entry target*:
- Set the entry price near the current support or breakout level, e.g., *0.0618* (last price) or a slight pullback to *0.0600* for confirmation.
2. *Stop loss*:
- Place the stop loss below the recent swing low or a significant support, e.g., *0.03250* (24h low) or a tighter level like *0.0580* depending on risk tolerance.
3. *$ACX Take profit*:
- Set a target based on resistance or a percentage gain, e.g., *0.06736* (24h high) or *0.0700* for a breakout objective.
4. *Position sizing & risk management*:
- Risk 1–2% of capital per trade.
- Determine lot size so the distance between entry and stop loss fits your risk limit.
5. *Additional considerations*:
- Check funding rates for perpetual contracts.
- Monitor volume (3.46B ACX) for liquidity.
- Use technical indicators (MA, MACD) to confirm trend strength.
$ACX #AcxProfitTaking #IranianPresident'sSonSaysNewSupremeLeaderSafe #IranianPresident'sSonSaysNewSupremeLeaderSafe #OilPricesSlide
