$MON Futures Long Signal

Entry Zone: 0.0208 – 0.0214

Take-Profit 1: 0.0227

Take-Profit 2: 0.0248

Take-Profit 3: 0.0270

Stop-Loss: 0.0196

Leverage (Suggested): 3–5x

Rationale:

#MON has broken out from the 0.0192–0.0195 accumulation base, printing a strong impulsive move into the 0.0227 liquidity zone. After the spike, price is pulling back in a controlled correction, holding above the MA(25) and stabilizing near short-term demand.

Market structure remains bullish, with higher lows intact and no aggressive sell-volume follow-through, indicating profit-taking rather than distribution. The 0.0208–0.0214 zone aligns with prior breakout support and offers a favorable risk–reward long opportunity.

As long as price holds above 0.0208, continuation toward higher resistance and liquidity zones remains structurally valid.

Risk-Management Note:

A decisive breakdown below 0.0196 would invalidate the higher-low structure and signal short-term trend weakness.

#WriteToEarnUpgrade #CPIWatch