Got it — this is a well-structured bounce setup, and your multi-timeframe logic is consistent. Here’s a clean execution & risk review so you can trade it confidently 👇
📊 $TRADOOR / USDT — LONG (Range Bounce Play)
🔍 Technical Alignment
Daily: Range-bound → valid mean-reversion environment
4H: Bearish, but not trending aggressively → allows counter-trend bounces
1H RSI (35.33): Oversold → momentum exhaustion zone
15m RSI > 50: ✅ Correct trigger for short-term momentum shift
This supports a reactive long, not a trend reversal — important distinction.
🎯 Trade Plan (Confirmed)
Entry (Market / Scaled):
1.326332 – 1.335784
(Best practice: scale in rather than full size)
Targets:
TP1: 1.359414 → secure partials (30–40%)
TP2: 1.368866 → trail stop to BE
TP3: 1.387770 → stretch target (daily range high)
Stop Loss:
1.302702
(Below range low + invalidates bounce thesis)
📐 Risk–Reward Snapshot
Risk: ~2.3–2.6%
Reward to TP1: ~2.0%
Reward to TP2: ~3.0%
Reward to TP3: ~4.5%+

