Pair: [ENTER ASSET / USDT]
Direction: LONG
Current Price (example): $864
Entry Zone:
Primary: $850 – $868 (buy zone)
Aggressive add: $870 – $880 (only if momentum continues)
Stop Loss: $820 (clear invalidation — below key support)
Take Profit Targets:
TP1: $910 (short-term)
TP2: $960 (swing)
TP3: $1,020 (extended)
Risk Management:
Risk per trade: 1% of account (adjust to your risk tolerance)
Position sizing: (Account balance × 0.01) ÷ (Entry price − Stop loss)
Move SL to breakeven after TP1 is reached.
Timeframe: 4H / Daily (main bias: short-to-medium term)
Rationale (short):
Price found support at the $820–$840 area and shows a bullish rejection candle on the 4H. Momentum is picking up, and a break / close above $870 would confirm continuation. Targets set at nearby resistance levels; stop below support for protection.
Trade Plan:
1. Enter partial at the lower entry zone.
2. Add on confirmation (break & retest above $870).
3. Book partial at TP1, raise stop to breakeven.
4. Let remainder run to TP2/TP3 with trailing stop.
Risk Level: Medium — use smaller size if market shows volatility.
Notes:
Use this as a framework; confirm with current live price and orderbook before executing.
Do not FOMO — stick to your sizing and SL.
#LongSignal #Binance #CryptoTrade #TradePlan #RiskManagement #Rameeztrader01


