Trade Parameters (30x Leverage):
Parameter Value
Direction Short (Sell)
Entry Zone 0.0845 – 0.0850
Stop Loss (SL) 0.0875 (above recent high and near MB)
Take Profit (TP) 0.0800 (near 24h low and lower Bollinger Band)
Leverage 30x
Risk/Reward Ratio ~1:2
Risk Management Notes:
· Use isolated margin to avoid liquidation.
· Monitor Mark Price (0.0851) for funding rate impacts.
· Consider reducing leverage if volatility increases.
· This setup assumes continuation of the current downtrend; be ready to exit if price reclaims middle Bollinger Band.