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Futures_Signals and Analysy

Market Analysis | Trade Signals | Risk Management
Open Trade
High-Frequency Trader
5.9 Years
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🔴 Market Reality Check — Read This Carefully Yes, the market dropped hard. Yes, some long signals got stopped or failed. And that’s exactly how real trading works. 📉 Losses are part of the process — not a failure of strategy. What matters is how risk was managed, not whether every trade wins. ⸻ 🧠 Here’s what we want you to remember: ✔ Every signal shared here included a stop-loss ✔ Risk was defined before entry ✔ No “hope trading”, no averaging into losses ✔ Capital preservation always comes first When markets move aggressively, even the best setups can fail. That doesn’t break a system — ignoring risk does. ⸻ 📊 Why this doesn’t change our edge Markets move in cycles: • Expansion → distribution → correction → accumulation We are currently in a high-volatility correction phase. This is where: • Weak hands exit • Emotional traders overreact • Structured traders prepare for the next move 📌 Losses are temporary. 📌 Discipline is permanent. ⸻ 🔍 What we’re doing next 🔹 Re-mapping key support zones 🔹 Waiting for confirmation, not guessing bottoms 🔹 Reducing exposure until structure stabilizes 🔹 Preparing high-probability long setups for the next rotation No rushing. No revenge trading. No emotional bias. ⸻ 🤝 Why you should stay with us We don’t promise: ❌ “100% win rate” ❌ “No losses” ❌ “Guaranteed profits” We deliver: ✅ Transparency ✅ Real risk management ✅ Clear levels ✅ Long-term consistency mindset 💡 Anyone can look good in a bull market. Professionals prove themselves in drawdowns.
🔴 Market Reality Check — Read This Carefully

Yes, the market dropped hard.
Yes, some long signals got stopped or failed.

And that’s exactly how real trading works.

📉 Losses are part of the process — not a failure of strategy.
What matters is how risk was managed, not whether every trade wins.



🧠 Here’s what we want you to remember:

✔ Every signal shared here included a stop-loss
✔ Risk was defined before entry
✔ No “hope trading”, no averaging into losses
✔ Capital preservation always comes first

When markets move aggressively, even the best setups can fail.
That doesn’t break a system — ignoring risk does.



📊 Why this doesn’t change our edge

Markets move in cycles:
• Expansion → distribution → correction → accumulation
We are currently in a high-volatility correction phase.

This is where:
• Weak hands exit
• Emotional traders overreact
• Structured traders prepare for the next move

📌 Losses are temporary.
📌 Discipline is permanent.



🔍 What we’re doing next

🔹 Re-mapping key support zones
🔹 Waiting for confirmation, not guessing bottoms
🔹 Reducing exposure until structure stabilizes
🔹 Preparing high-probability long setups for the next rotation

No rushing.
No revenge trading.
No emotional bias.



🤝 Why you should stay with us

We don’t promise:
❌ “100% win rate”
❌ “No losses”
❌ “Guaranteed profits”

We deliver:
✅ Transparency
✅ Real risk management
✅ Clear levels
✅ Long-term consistency mindset

💡 Anyone can look good in a bull market.
Professionals prove themselves in drawdowns.
🚀 Long Signal Setup — Range Reversion Play 🟦 Entry Zone 🔹 $1,820 – $1,915 USDT Buy on dips within this range — support cluster where short-term buyers may defend after aggressive pullbacks. This range corresponds with the recent daily low area ($1,748) and the current market level ($1,900), offering a tactical entry for recovery bounces.  ⸻ 🚫 Stop-Loss (Invalidation) ⚠️ $1,765 USDT If ETH closes decisively below this level, it suggests continuation of downside momentum beyond current support structures — invalidate the setup and protect capital. ⸻ 🎯 Take Profit (TP) Targets 1. 🟢 TP1 — First Relief Bounce: $2,040 USDT Capture initial bounce potential — reaction zone near yesterday’s intraday highs.  2. 🟡 TP2 — Recovery Target: $2,180 USDT Key supply band and resistance area that often sees profit-taking.  3. 🔥 TP3 — Extended Reclaim: $2,350 USDT If bullish structure resumes and volatility expands upward — extended recovery target. ⸻ 📈 Rationale — Why This Works Now ✅ Deep Pullback Offers High Reward Zone: ETH’s recent drop has created oversold conditions around the entry range — ideal for tactical range trades.  ✅ Support Holds Historically: Lower levels near $1,750–$1,820 have acted as support in prior daily ranges — adds structural confidence to range buys.  ✅ Macro Volatility: Broader crypto markets are under pressure (BTC testing $60k) — short-covering relief bounces are common in high-volatility environments.  ⸻ 🛠 Execution & Risk Management 🔹 Scale Entry: Don’t enter full size at once — add in increments within the entry zone for better pricing. 🔹 Tight Stops: Place SL at $1,765 to cap risk in case breakdown accelerates. 🔹 Manage Profits: Take partial profits at TP1, lock in gains then trail stops toward breakeven.
🚀 Long Signal Setup — Range Reversion Play

🟦 Entry Zone

🔹 $1,820 – $1,915 USDT

Buy on dips within this range — support cluster where short-term buyers may defend after aggressive pullbacks. This range corresponds with the recent daily low area ($1,748) and the current market level ($1,900), offering a tactical entry for recovery bounces. 



🚫 Stop-Loss (Invalidation)

⚠️ $1,765 USDT

If ETH closes decisively below this level, it suggests continuation of downside momentum beyond current support structures — invalidate the setup and protect capital.



🎯 Take Profit (TP) Targets
1. 🟢 TP1 — First Relief Bounce: $2,040 USDT
Capture initial bounce potential — reaction zone near yesterday’s intraday highs. 
2. 🟡 TP2 — Recovery Target: $2,180 USDT
Key supply band and resistance area that often sees profit-taking. 
3. 🔥 TP3 — Extended Reclaim: $2,350 USDT
If bullish structure resumes and volatility expands upward — extended recovery target.



📈 Rationale — Why This Works Now

✅ Deep Pullback Offers High Reward Zone: ETH’s recent drop has created oversold conditions around the entry range — ideal for tactical range trades. 
✅ Support Holds Historically: Lower levels near $1,750–$1,820 have acted as support in prior daily ranges — adds structural confidence to range buys. 
✅ Macro Volatility: Broader crypto markets are under pressure (BTC testing $60k) — short-covering relief bounces are common in high-volatility environments. 



🛠 Execution & Risk Management

🔹 Scale Entry: Don’t enter full size at once — add in increments within the entry zone for better pricing.
🔹 Tight Stops: Place SL at $1,765 to cap risk in case breakdown accelerates.
🔹 Manage Profits: Take partial profits at TP1, lock in gains then trail stops toward breakeven.
🧠 Here’s what we want you to remember: ✔ Every signal shared here included a stop-loss ✔ Risk was defined before entry ✔ No “hope trading”, no averaging into losses ✔ Capital preservation always comes first When markets move aggressively, even the best setups can fail. That doesn’t break a system — ignoring risk does. ⸻ 📊 Why this doesn’t change our edge Markets move in cycles: • Expansion → distribution → correction → accumulation We are currently in a high-volatility correction phase. This is where: • Weak hands exit • Emotional traders overreact • Structured traders prepare for the next move 📌 Losses are temporary. 📌 Discipline is permanent. ⸻ 🔍 What we’re doing next 🔹 Re-mapping key support zones 🔹 Waiting for confirmation, not guessing bottoms 🔹 Reducing exposure until structure stabilizes 🔹 Preparing high-probability long setups for the next rotation No rushing. No revenge trading. No emotional bias. ⸻ 🤝 Why you should stay with us We don’t promise: ❌ “100% win rate” ❌ “No losses” ❌ “Guaranteed profits” We deliver: ✅ Transparency ✅ Real risk management ✅ Clear levels ✅ Long-term consistency mindset 💡 Anyone can look good in a bull market. Professionals prove themselves in drawdowns. ⸻ 📍 If you value honest analysis, discipline, and long-term thinking — stay with us. 🔔 Follow for structured recovery setups and disciplined signals. The next opportunity is built after moments like this — not before.
🧠 Here’s what we want you to remember:

✔ Every signal shared here included a stop-loss
✔ Risk was defined before entry
✔ No “hope trading”, no averaging into losses
✔ Capital preservation always comes first

When markets move aggressively, even the best setups can fail.
That doesn’t break a system — ignoring risk does.



📊 Why this doesn’t change our edge

Markets move in cycles:
• Expansion → distribution → correction → accumulation
We are currently in a high-volatility correction phase.

This is where:
• Weak hands exit
• Emotional traders overreact
• Structured traders prepare for the next move

📌 Losses are temporary.
📌 Discipline is permanent.



🔍 What we’re doing next

🔹 Re-mapping key support zones
🔹 Waiting for confirmation, not guessing bottoms
🔹 Reducing exposure until structure stabilizes
🔹 Preparing high-probability long setups for the next rotation

No rushing.
No revenge trading.
No emotional bias.



🤝 Why you should stay with us

We don’t promise:
❌ “100% win rate”
❌ “No losses”
❌ “Guaranteed profits”

We deliver:
✅ Transparency
✅ Real risk management
✅ Clear levels
✅ Long-term consistency mindset

💡 Anyone can look good in a bull market.
Professionals prove themselves in drawdowns.



📍 If you value honest analysis, discipline, and long-term thinking —
stay with us.

🔔 Follow for structured recovery setups and disciplined signals.
The next opportunity is built after moments like this — not before.
📌 ETH/USDT Trade Signal — Live Setup (Using Current Market Data) Current Price: ~$2,095 – $2,105 USDT (latest live quote)  ⸻ 🟦 Entry Zone (Long Bias) Primary Buy Range: 👉 $2,050 – $2,120 This range captures the near-term support zone where buyers may defend the downside and where liquidity often clusters before reversal attempts.  ⸻ 🚫 Stop-Loss (Invalidation) Stop-Loss: 🔻 $1,980 A clear break below $1,980 would indicate failure of support and increased probability of deeper correction below $1,900. This helps contain risk if downside momentum accelerates.  ⸻ 🎯 Take Profit Targets 1. 🟢 TP1 — Conservative: $2,240 Near recent knee-high resistance on short-term candles. 2. 🟡 TP2 — Balanced: $2,360 Momentum zone before overhead supply tightens. 3. 🔥 TP3 — Aggressive: $2,550 Breakout extension target if buyers reclaim control and volume expands. These targets align with multi-session reaction levels and resistance clusters visible on recent ETH price action.  ⸻ 🧠 Signal Logic & Market Context Current Market Context: Ethereum is trading near a critical support range following recent volatility and a pullback from higher levels. Short-term indicators show mixed sentiment, but oversold conditions near key support enhance the probability of a relief bounce.  📉 Bearish Indicators: • Broader technical indicators suggest sell pressure remains present in the short term.  📈 Bullish Considerations: • If ETH stabilizes above the entry zone and breaks above TP1 with volume, it supports a recovery toward TP2 and TP3. #ETHUSDT
📌 ETH/USDT Trade Signal — Live Setup (Using Current Market Data)
Current Price: ~$2,095 – $2,105 USDT (latest live quote) 



🟦 Entry Zone (Long Bias)

Primary Buy Range:
👉 $2,050 – $2,120

This range captures the near-term support zone where buyers may defend the downside and where liquidity often clusters before reversal attempts. 



🚫 Stop-Loss (Invalidation)

Stop-Loss:
🔻 $1,980

A clear break below $1,980 would indicate failure of support and increased probability of deeper correction below $1,900. This helps contain risk if downside momentum accelerates. 



🎯 Take Profit Targets
1. 🟢 TP1 — Conservative: $2,240
Near recent knee-high resistance on short-term candles.
2. 🟡 TP2 — Balanced: $2,360
Momentum zone before overhead supply tightens.
3. 🔥 TP3 — Aggressive: $2,550
Breakout extension target if buyers reclaim control and volume expands.

These targets align with multi-session reaction levels and resistance clusters visible on recent ETH price action. 



🧠 Signal Logic & Market Context

Current Market Context:
Ethereum is trading near a critical support range following recent volatility and a pullback from higher levels. Short-term indicators show mixed sentiment, but oversold conditions near key support enhance the probability of a relief bounce. 

📉 Bearish Indicators:
• Broader technical indicators suggest sell pressure remains present in the short term. 

📈 Bullish Considerations:
• If ETH stabilizes above the entry zone and breaks above TP1 with volume, it supports a recovery toward TP2 and TP3.
#ETHUSDT
📌 SOL/USDT Trade Signal — Real Time (based on ~ $91 price) Current Market Price: ~$91.7 as of latest live data.  ⸻ 🟦 Entry Zone (Long Bias) Primary Buy Range: 👉 $88.0 – $94.0 This zone aligns with short-term support holding near the psychological $90 mark and represents a lower demand cluster where buyers historically step in before bounce attempts.  ⸻ 🚫 Stop-Loss (Invalidation) Stop-Loss: 🔻 $83.0 If SOL breaks decisively below $83, it signals deeper downside momentum with likely continuation toward lower structural support levels.  ⸻ 🎯 Take Profit Targets 1. TP1 – Conservative Zone: 🟢 $102 First resistance area where short-term sellers might re-enter. 2. TP2 – Balanced Target: 🟡 $112 Next resistance tier where bounce momentum tends to slow. 3. TP3 – Aggressive Upside: 🔥 $125 If strength builds and broader market sentiment improves. Rationale: • TP1 aligns with initial supply zone from recent price swings. • TP2 captures next structural resistance above short-term moving averages. • TP3 is an extended play if SOL reclaim momentum and flows rotate back to alts. #SOLUSDT
📌 SOL/USDT Trade Signal — Real Time (based on ~ $91 price)
Current Market Price: ~$91.7 as of latest live data. 



🟦 Entry Zone (Long Bias)

Primary Buy Range:
👉 $88.0 – $94.0

This zone aligns with short-term support holding near the psychological $90 mark and represents a lower demand cluster where buyers historically step in before bounce attempts. 



🚫 Stop-Loss (Invalidation)

Stop-Loss:
🔻 $83.0

If SOL breaks decisively below $83, it signals deeper downside momentum with likely continuation toward lower structural support levels. 



🎯 Take Profit Targets
1. TP1 – Conservative Zone: 🟢 $102
First resistance area where short-term sellers might re-enter.
2. TP2 – Balanced Target: 🟡 $112
Next resistance tier where bounce momentum tends to slow.
3. TP3 – Aggressive Upside: 🔥 $125
If strength builds and broader market sentiment improves.

Rationale:
• TP1 aligns with initial supply zone from recent price swings.
• TP2 captures next structural resistance above short-term moving averages.
• TP3 is an extended play if SOL reclaim momentum and flows rotate back to alts.
#SOLUSDT
B
SOLUSDT
Closed
PNL
-12.15USDT
🚀 BTC/USD • Trade Signal (Short-Term) Market Price: ~$71,000 range (derived from live price feeds)  ⸻ 📌 Trade Setup — Long Bias Entry Zone: 👉 $69,600 – $70,400 — buy on dip liquidity cluster / strong near-term support confirmed by recent range lows.  Stop-Loss: ⚠️ $66,900 — beyond structural support; protects against deeper correction. This level sits below the swing low range (bearish invalidation zone).  ⸻ 🎯 Take Profit (TP) Levels 1. 🟢 TP1: $74,200 — first resistance band on local swing highs. 2. 🟡 TP2: $76,500 — higher resistance / supply zone before broader breakout. 3. 🚀 TP3 (Aggressive): $79,800 — if range breakout occurs with momentum. Notes: ✔ Scale profits — partial at each TP. ✔ If price breaks above $76,500 with volume, bias shifts strongly bullish. #BTC #btcusdt
🚀 BTC/USD • Trade Signal (Short-Term)
Market Price: ~$71,000 range (derived from live price feeds) 



📌 Trade Setup — Long Bias

Entry Zone:
👉 $69,600 – $70,400 — buy on dip liquidity cluster / strong near-term support confirmed by recent range lows. 

Stop-Loss:
⚠️ $66,900 — beyond structural support; protects against deeper correction.
This level sits below the swing low range (bearish invalidation zone). 



🎯 Take Profit (TP) Levels
1. 🟢 TP1: $74,200 — first resistance band on local swing highs.
2. 🟡 TP2: $76,500 — higher resistance / supply zone before broader breakout.
3. 🚀 TP3 (Aggressive): $79,800 — if range breakout occurs with momentum.

Notes:
✔ Scale profits — partial at each TP.
✔ If price breaks above $76,500 with volume, bias shifts strongly bullish.
#BTC #btcusdt
🧠 Crypto Macro Flow Bitcoin (BTC) — short-term corrective pressure evident as price pulls back from intraday highs; liquidity rotation seen as traders lock gains after prior strength. Spot volume remains robust, but directional conviction is mixed. Technicals suggest consolidation around key support levels before a directional breakout.  Ethereum (ETH) — mirrors BTC’s broad trend, with selling sentiment in the near term. Watch market-wide risk appetite — a shift into ETH often signals broader altcoin re-acceleration.  Altcoins — broader market weakness vs BTC dominance reflects risk-off rotation. Select alt assets showing relative strength could offer alpha in choppy conditions.  ⸻ 📈 Short-Term Signals to Watch Bullish / Accumulation ✔ Higher lows on longer timeframes ✔ Break above key resistance with volume expansion ✔ ETH outperforming BTC in correlation regime Bearish / Risk-Off ✘ Lower highs without support flip ✘ Increasing leverage unwinding ✘ Risk-off sentiment in macro markets Signal: Consolidation bias — favor range management until volatility expands. ⸻ 🧱 Square (SQ) Equity Context Block, Inc. (SQ) is showing mild positive bias, indicating resilience in broader fintech / payments sentiment even as broader risk assets cool. Square’s Bitcoin-centric strategy (payments + mining interest) continues to underpin narrative value. Past initiatives — like zero-fee Bitcoin payments — have historically lifted stock momentum.  Equity Signal: Flat-to-slightly-bullish corridor — monitor BTC correlation, as risk assets often sway fintech valuations. ⸻ 📌 Narrative & Positioning Macro drivers shaping markets today: 1. Volatility clampdown — Crypto is digesting recent swings; range contraction likely persists before major breakout. 2. BTC dominance resilience — BTC still leading market direction; altcoins follow its signal flows. 3. Institutional interest remains lingered — Broader signs of incorporation into mainstream financial products bolster long-term confidence. #BTC #ETH
🧠 Crypto Macro Flow

Bitcoin (BTC) — short-term corrective pressure evident as price pulls back from intraday highs; liquidity rotation seen as traders lock gains after prior strength. Spot volume remains robust, but directional conviction is mixed. Technicals suggest consolidation around key support levels before a directional breakout. 

Ethereum (ETH) — mirrors BTC’s broad trend, with selling sentiment in the near term. Watch market-wide risk appetite — a shift into ETH often signals broader altcoin re-acceleration. 

Altcoins — broader market weakness vs BTC dominance reflects risk-off rotation. Select alt assets showing relative strength could offer alpha in choppy conditions. 



📈 Short-Term Signals to Watch

Bullish / Accumulation

✔ Higher lows on longer timeframes
✔ Break above key resistance with volume expansion
✔ ETH outperforming BTC in correlation regime

Bearish / Risk-Off

✘ Lower highs without support flip
✘ Increasing leverage unwinding
✘ Risk-off sentiment in macro markets

Signal: Consolidation bias — favor range management until volatility expands.



🧱 Square (SQ) Equity Context

Block, Inc. (SQ) is showing mild positive bias, indicating resilience in broader fintech / payments sentiment even as broader risk assets cool. Square’s Bitcoin-centric strategy (payments + mining interest) continues to underpin narrative value. Past initiatives — like zero-fee Bitcoin payments — have historically lifted stock momentum. 

Equity Signal: Flat-to-slightly-bullish corridor — monitor BTC correlation, as risk assets often sway fintech valuations.



📌 Narrative & Positioning

Macro drivers shaping markets today:
1. Volatility clampdown — Crypto is digesting recent swings; range contraction likely persists before major breakout.
2. BTC dominance resilience — BTC still leading market direction; altcoins follow its signal flows.
3. Institutional interest remains lingered — Broader signs of incorporation into mainstream financial products bolster long-term confidence.
#BTC #ETH
#LTC Profit 🔥
#LTC Profit 🔥
Futures_Signals and Analysy
·
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Bullish
🌹 #LTC/USDT

⏩ Long
⚜️ Leverage: 20x

✳️ Entry: 93.55 - 91.68

🥂 Target: 94.20 - 95.12 - 96.36 - 97.29 - 98.23 - 99.16

❌ StopLoss: 90.74
Futures_Signals and Analysy
·
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Bullish
$LQTY
📊 Coin: LQTY/USDT
📈 Yön: LONG
🔸 Fiyat: 0.5310

🎯 TP1: 0.5363
🎯 TP2: 0.5416
🎯 TP3: 0.5496
🎯 TP4: 0.5574
⛔️ Stop: 0.5042
$TRX #TRX TRXUSDT ✅ Long #TRX/USDT Entry zone : 0.28078 - 0.28947 Take Profits : 0.29090 0.29954 0.30818 0.31682 0.32546 Stop loss :0.2692071 Leverage: 10x
$TRX #TRX TRXUSDT

✅ Long

#TRX/USDT

Entry zone : 0.28078 - 0.28947

Take Profits :

0.29090
0.29954
0.30818
0.31682
0.32546

Stop loss :0.2692071

Leverage: 10x
·
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Bullish
🌹 #LTC/USDT ⏩ Long ⚜️ Leverage: 20x ✳️ Entry: 93.55 - 91.68 🥂 Target: 94.20 - 95.12 - 96.36 - 97.29 - 98.23 - 99.16 ❌ StopLoss: 90.74
🌹 #LTC/USDT

⏩ Long
⚜️ Leverage: 20x

✳️ Entry: 93.55 - 91.68

🥂 Target: 94.20 - 95.12 - 96.36 - 97.29 - 98.23 - 99.16

❌ StopLoss: 90.74
$LQTY 📊 Coin: LQTY/USDT 📈 Yön: LONG 🔸 Fiyat: 0.5310 🎯 TP1: 0.5363 🎯 TP2: 0.5416 🎯 TP3: 0.5496 🎯 TP4: 0.5574 ⛔️ Stop: 0.5042
$LQTY
📊 Coin: LQTY/USDT
📈 Yön: LONG
🔸 Fiyat: 0.5310

🎯 TP1: 0.5363
🎯 TP2: 0.5416
🎯 TP3: 0.5496
🎯 TP4: 0.5574
⛔️ Stop: 0.5042
$NEAR Profit Hoe about enjoy trade with me ? 😁🥸
$NEAR Profit
Hoe about enjoy trade with me ? 😁🥸
Futures_Signals and Analysy
·
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🌹 #NEAR/USDT
$NEAR

⏩ Long
⚜️ Leverage: 20x

✳️ Entry: 2.540 - 2.489

🥂 Target: 2.565 - 2.591 - 2.616 - 2.642 - 2.667 - 2.692

❌ StopLoss: 2.464
🌹 #NEAR/USDT $NEAR ⏩ Long ⚜️ Leverage: 20x ✳️ Entry: 2.540 - 2.489 🥂 Target: 2.565 - 2.591 - 2.616 - 2.642 - 2.667 - 2.692 ❌ StopLoss: 2.464
🌹 #NEAR/USDT
$NEAR

⏩ Long
⚜️ Leverage: 20x

✳️ Entry: 2.540 - 2.489

🥂 Target: 2.565 - 2.591 - 2.616 - 2.642 - 2.667 - 2.692

❌ StopLoss: 2.464
B
NEARUSDT
Closed
PNL
+12.98%
📌 ✅ 💥 It gave more than twenty signals. It's my newly designed program. There were 3 stops. Leverage 20x Stop 3% Tp 0.5% x 20 = 10% Everythink will be ok.
📌 ✅ 💥

It gave more than twenty signals. It's my newly designed program. There were 3 stops. Leverage 20x Stop 3%
Tp 0.5% x 20 = 10%

Everythink will be ok.
ARBUSDT 🎯 SHORT TP ✅ 0.3028 $ARB
ARBUSDT 🎯 SHORT TP ✅ 0.3028
$ARB
Futures_Signals and Analysy
·
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Bearish
2025-10-22 23:00:20.252151 - ARBUSDT - SHORT APPROVED 🟢 Entry: 0.3045
$ARB

{future}(ARBUSDT)
·
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Bearish
2025-10-22 23:00:20.252151 - ARBUSDT - SHORT APPROVED 🟢 Entry: 0.3045 $ARB {future}(ARBUSDT)
2025-10-22 23:00:20.252151 - ARBUSDT - SHORT APPROVED 🟢 Entry: 0.3045
$ARB
LTCUSDT 🎯 LONG TP ✅ 93.7300 $LTC 📌ROI %10
LTCUSDT 🎯 LONG TP ✅ 93.7300
$LTC
📌ROI %10
Futures_Signals and Analysy
·
--
Signal_Bot:
$SUI
2025-10-22 18:00:04.958419 - SUIUSDT - LONG CONFIRMED 🟢 Entry: 2.4592

$1000PEPE
2025-10-22 18:00:06.361287 - 1000PEPEUSDT - LONG CONFIRMED 🟢 Entry: 0.0069

Signal_Bot:
$BTC
2025-10-22 18:00:20.763304 - BTCUSDT - LONG CONFIRMED 🟢 Entry: 108671.9000

#ETH
2025-10-22 18:00:28.591677 - ETHUSDT - LONG CONFIRMED 🟢 Entry: 3844.6900

Signal_Bot:
#ADA
2025-10-22 18:00:32.766441 - ADAUSDT - LONG CONFIRMED 🟢 Entry: 0.6370

#DOT.
2025-10-22 18:00:36.049660 - DOTUSDT - LONG CONFIRMED 🟢 Entry: 2.9950


Signal_Bot:
#LINK
2025-10-22 18:00:38.862391 - LINKUSDT - LONG CONFIRMED 🟢 Entry: 17.4550

#LTC
2025-10-22 18:00:41.756690 - LTCUSDT - LONG CONFIRMED 🟢 Entry: 93.2100

Signal_Bot:

2025-10-22 18:00:46.848956 - OPUSDT - LONG CONFIRMED 🟢 Entry: 0.4341

2025-10-22 18:00:53.740510 - ATOMUSDT - LONG CONFIRMED 🟢 Entry: 3.1740
DOGEUSDT 🎯 LONG TP ✅ 0.1929 Leverage 20x 📌ROI : %10
DOGEUSDT 🎯 LONG TP ✅ 0.1929
Leverage 20x
📌ROI : %10
Futures_Signals and Analysy
·
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2025-10-22 19:00:10.761146 - DOGEUSDT - LONG APPROVED 🟢 Entry: 0.1919
$DOGE
{future}(DOGEUSDT)
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