Clear position calculation for a deposit of 1,000💲 for the main scenario: Long from the pullback.
I immediately provide 2 options regarding risk, so you, Crypto brothers, can choose the appropriate one.
Initial data (base)
Deposit: 1,000💲
Entry: 0.0518💲 (average from the zone 0.0515–0.0520💲)
Stop-Loss: 0.0499💲
Risk per trade: fixed
Take-Profit:
TP1: 0.0545💲
TP2: 0.0580💲
TP3: 0.0620💲
Distance to SL:
0.0518💲− 0.0499💲= 0.0019💲

Option 1: Conservative (risk 1%)
Risk: 10💲
Position size:
10💲/ 0.0019💲≈ 5 260 CHZ
Position size:
5 260 × 0.0518💲≈ 272💲
Potential profit
TP1 (0.0545💲): ≈ +14💲
TP2 (0.0580💲): ≈ +33💲
TP3 (0.0620💲): ≈ +53💲
Applies if:
trading spot
or do you want minimal drawdown

Option 2: Optimal (risk 2%)
Risk: 20💲
Position size:
20💲/ 0.0019💲≈ 10 520 CHZ
Position size:
10 520 × 0.0518💲≈ 545💲
Potential profit
TP1: ≈ +28💲
TP2: ≈ +66💲
TP3: ≈ +106💲
This is the gold standard for swing trading.

How to secure profit (recommended)
TP1: close 30–40%, SL → at breakeven
TP2: close another 30–40%
TP3: leave the remainder for impulse Q1
So you:
protecting the deposit
and leaving a chance for movement expansion

Critically important
Do not enter market - only limit in the zone
Do not increase risk if the entry is missed
If the price goes below 0.0492💲- the scenario is canceled

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Crypto brother, just tell me how you trade: spot or futures.🤔 @Slavansmart