šŸ”„ Trade Setup šŸ”„

**Setup Type:** One-Sided – Bear Control 🐻

šŸ“Š Pair/TF: DASH/USDT | 5m

šŸ’µ Entry: 67.90

šŸ›’ Order Type: Stop Sell

šŸ“‰ Direction: Short šŸ†

šŸ“ Market Tag: Futures

šŸ”„ Wallet Size (Cross): ~$0.50

šŸ“¦ Position Notional: ~$6.00

šŸ’¼ Posted Margin (@125x ref): ~$0.05

šŸ”“ SL: 71.30

– ~5% move against

– ~$0.30 expected loss (@ ~$6 notional)

šŸŽÆ TP_Safe: 61.00

– ~10% gain

– ~+$0.60 / RRR ~2.0

– Realization Probability: ~60%

šŸŽÆ TP_Aggressive: 48.00

– ~30% gain

– ~+$1.80 / RRR ~6.0

– Realization Probability: ~25%

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šŸ“Š Success Chance: 57%

šŸ“Š Confidence Rating: 60%

āš ļø Confidence Lack: Needs clean break of 68 liquidity first

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🧠 Wade's Take:

– Recommended Exit Plan → TP_Safe (reason: we already saw a huge impulse down after that CHoCH + rejection from premium near 76–77; next leg down into 61 liquidity is realistic, full cascade to 48 needs total capitulation)

šŸ Trade Type: Runner

šŸ’” Reason: Big stop raid into 76→77 premium block, instant rejection, CHoCH down, equal lows swept, now retest under structure = distribution not recovery

šŸ›  Management: Pick TP_Safe or TP_Agg BEFORE entry. One exit. No switching mid-trade.

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šŸ“Š Leverage Impact (move % vs SL and TP targets):

Leverage | SL Move | TP_Safe Move | TP_Agg Move

------------------------------------------------

1x | 5% | 10% | 30%

25x | 125% | 250% | 750%

50x | 250% | 500% | 1500%

75x | 375% | 750% | 2250%

100x | 500% | 1000% | 3000%

125x | 625% | 1250% | 3750%

#DASH #Short #Futures

No Financial Advice!!!

W.S.