$H Long "right area", follow the trend pull

Trading Plan (Long)

• Entry: $0.0625 – $0.0645

• Stop Loss (SL): $0.0539

• Take Profit (TP):

• TP1: $0.0660

• TP2: $0.0750

• TP3: $0.0919 (further: $0.1178)

Notable price areas

• Nearby support: $0.0600 → $0.0545 (24h low)

• Resistance: $0.0660 (24h high) → $0.0919 → $0.1178

Indicators (read the rhythm correctly)

• RSI(12) ~70.9: currently "hot" → likely to have a shake/drop to clear orders.

• RSI(24) ~53.9: the rebound trend still has room, not yet saturated.

• MACD green (DIF > DEA): upward momentum is returning.

Operational scenarios

• Hold the area $0.0625–$0.0645 firmly: prioritize pulling TP1 → TP2 → TP3.

• Losing $0.0545 (especially breaking $0.0539): Long invalid, cut according to discipline.

The market will try to "scare" with a few shakes when RSI(12) is hot — will you enter the plan at the Entry area or let it sweep first and then dive in at $0.0660?

HBSC
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