Dear millionaire:
After a series of victories in the market, I tell you: Here is a high-quality LONG trade plan done with professionalism
Price Action Confirm
BOS bullish on 4H/Daily with Volume Spike + MACD Bullish Divergence positive + absorption of Shorts
Market Bias
Bullish (Higher Timeframe Uptrend + ongoing Short Squeeze).
Entry Zone
Sniper Entry: 355 – 360 (Pullback to FVG + EMA50 on 1H + potential POC from Volume Profile).
(Prefer Limit Order after a small Wick to absorb liquidity).
Targets (TP)
TP1: 378 (Immediate Liquidity Cluster) → 50% Close
TP2: 400 (Next Major Liquidity Cluster + Fib 1.272) → 30% Close
TP3: 420–430 (Fib 1.618 Extension + Final Liquidity Pool) → 20% Close
Stop Loss (SL)
342 (behind the largest Liquidation Cluster – just below 345).
Safety Buffer +8 additional points due to extreme negative Funding (avoid tail manipulation).

Invalidation Point
Close 4H below 340 (Bearish CHoCH + Loss of Liquidity) → immediate exit.
Risk/Reward
1:4.2 (Entry 357.5 → SL 342 = 15.5 points Risk | TP2 = 65 points Reward).
Strategy Logic
Liquidity is the primary driver: Clear Short Squeeze (Negative Funding + Long Liquidation larger than Short Liquidation) + liquidity blocks below the price have been absorbed.
Context Over Setup: movement within a bullish Order Block
The Sweep First: The current Pump is a Liquidation Grab for the Shorts → best entry on the Pullback.
Multi-Timeframe: 4H/Daily Bullish Context | 15m/1H for Sniper Entry.
Recommended execution
Open Long now or on Pullback 355-360.
At TP1: Close 50% + raise SL to Breakeven.
If a strong bullish Wick occurs before CPI → take part of the profit early.
#zcash #zec #ZECUSDT #ZEC/USDT #MarketBlueprint
