💡 Market Outlook: Price is holding above the rising trendline with higher highs and higher lows, signaling bullish continuation after a healthy pullback.
⚡ Strategy: Buy on dips near trendline support or breakout continuation.
📊 Risk Management: Risk 1–2% per trade, secure partial profits at TP1, trail stop for TP2.
💡 Market Outlook: Strong bearish continuation after breakdown from consolidation and sharp impulsive sell-off. Lower highs and weak recovery suggest sellers remain in control.
⚡ Strategy: Sell on pullbacks toward resistance or continuation below support.
📊 Risk Management: Risk only 1–2% per trade, book partial profits at TP1, trail stop aggressively.
💡 Market Outlook: Price is bouncing from ascending trendline support after a corrective move. Buyers are defending demand, signaling a potential short-term reversal toward overhead resistance.
⚡ Strategy: Buy on dips within the entry zone or on bullish confirmation.
📊 Risk Management: Risk 1–2% per trade, secure partial profits at TP1, trail stop after breakout.
💡 Market Outlook: ACE remains in a clear downtrend with consistent lower highs and lower lows. Any bounce toward the supply zone is likely a pullback, not a reversal.
⚡ Strategy: Short on rejection from resistance, follow trend continuation.
📊 Risk Management: Use tight risk (1–2%), partial profits at TP1, move SL to breakeven.
💡 Market Outlook: Price shows clear bearish structure after a sharp rejection from the upper supply zone, with lower highs forming and weak buying pressure.
⚡ Strategy: Look for rejection near resistance and continuation breakdown.
📊 Risk Management: Use low leverage, risk 1–2% per trade, trail stop after TP1.
💡 Market Outlook: Price is reacting from a strong demand zone after a sharp sell-off, suggesting a potential relief bounce toward key resistance areas.
⚡ Strategy: Buy near support confirmation, add on strength above 0.224.
📊 Risk Management: Risk max 1–2% per trade, trail stop after TP1 is hit.
💡 Market Outlook: Price is holding above the rising trendline and consolidating after a strong impulse move, indicating bullish continuation potential.
⚡ Strategy: Buy on dips near support or breakout above consolidation.
📊 Risk Management: Use moderate leverage, risk 1–2% per trade, secure partial profits at TP1.
💡 Market Outlook: Price remains in a clear downtrend, trading below key resistance with weak bullish momentum. Sellers are in control while below 0.0330.
⚡ Strategy: Sell on pullbacks into resistance or continuation breakdown.
📊 Risk Management: Use low leverage, risk max 1–2% per trade, secure partial profits at TP1.
💡 Market Outlook: Price is rejecting from a key supply zone with weak bullish follow-through. Structure favors sellers while below 0.38, targeting the lower demand area.
⚡ Strategy: Sell on pullbacks into resistance or breakdown confirmation.
📊 Risk Management: Risk 1–2% per trade, book partial profits at TP1, trail stop after confirmation.
💡 Market Outlook: Price bounced strongly from the demand zone and reclaimed short-term support. Momentum favors continuation toward overhead resistance if buyers hold above 0.0029.
⚡ Strategy: Buy on minor pullbacks or breakout confirmation.
📊 Risk Management: Risk max 1–2%, secure partial profits at TP1, trail stop to breakeven.
💡 Market Outlook: Strong bearish momentum with a sharp breakdown from consolidation. Price lost key support and sellers remain in control, favoring continuation toward lower demand.
⚡ Strategy: Sell on pullbacks into resistance.
📊 Risk Management: Risk 1–2% per trade, secure partial profits at TP1, trail stop after confirmation.
💡 Market Outlook: Price continues to form lower highs and lower lows, showing sustained bearish momentum. Rejection near 10.8 resistance signals sellers in control, with downside liquidity resting near 10.2–10.1 support.
⚡ Strategy: Sell pullbacks into resistance.
📊 Risk Management: Risk 1–2% per trade, secure partial profits at TP1, trail stop after breakdown.
💡 Market Outlook: Price is holding above the rising trendline with higher lows, signaling bullish continuation. Consolidation near 0.10 suggests accumulation before expansion.
⚡ Strategy: Buy dips near trend support.
📊 Risk Management: Use 1–2% risk, partial profits at TP1, trail stop to breakeven.