#TradeSignal $ETH Trade Setup: Short with tight risk management.

Entry: Sell on a retest of 2,125–2,130

Stop-Loss: Above 2,135 (clearing 24h high + wick room) – risk ~1.5%.

Take Profit

TP1: 2,062 (24h low) – partial profit.

TP2: 2,000 (psychological level) – full profit.

Trade duration: 1–3 days.

Volume analysis: Volume MAs (5 > 10 is bearish cross? Wait: MA5=446k, MA10=567k → MA5 < MA10, that's actually a "golden cross" of volume averages? No – MA10 higher means short-term volume below longer average, indicating drying up. Both declining typical before a breakdown.

ETH
ETHUSDT
2,080.05
-0.82%