BTC Bottom for today?-Choppy price action most likely after the dump.
-Reasonable probability for some relief.
-Potential for SFP (swing failure pattern)
-Buying spot, observing for reaction. No stop-loss.
-If doesn't develop as expected idea invalid.
-Scalp trade.
Spot
Spotify Analysis 14.01.2022Hello Traders,
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🤗XRPUSDT low way or high wayIt show a trend revasal pattern on the daily chart!! The double bottle pattern, where the second button is not meeting with the first 1. That means loss of momentum from the bears.
The first bottom. Is a retest of a long term support which should have either break out or retested. It restated and the second bottle trying to retest that zone, but with low momentum. Trend revasal!!
Waiting signal is the candle pattern that show the bulls are ready to pull up. Once we see that, there is probability of an updrend.
O3USDTBased on technical factors there is a long position in O3USDT O3 Swap
O3USDT O3 Swap
Score 2️⃣
🔵Long Now or set on Key Level 0.6630
🟢Target 1 0.7200
🟢Target 2 0.7800
❌Stop loss 0.6300
#K_Level
Every signal has a score from 1 to 5, so accordingly adjust your risk for each signal. The signals with the score of 5 are the most probable ones.
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SXP/USDT SXP$Sxp/usdt
Long direction Futures/Spot
Spot
buy :- 10% For market price
30% at 1.38$
60% at 1.14$
Sell :- 2.3$ , 3.9$ , 5.4$ , 10$.
Sl :- no need for long tem holders
0.95$ for midterm holders .
Futures: -
Buy :- 1.38$ - 1.14$.
Sell:- 2.3$, 3.5$, 3.9$.
Sl :- 1$
LEV:- 2x-3x only with tight sl
SXP$ is strong fundamental coin and backed by ftx ta looking good and rsi also good thats to in the major sujpport area accumalate if you want.
NOTE:- invest only what you afford to loose and this is just my view please do your own research.
$NANO/BTC 3D (Binance Spot) Big falling wedge near breakoutNano has formed a very bullish pattern and is sitting on 200MA support, we expect it to rally mid-term!
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Current Price= 0.0001097
Buy Entry= 0.0001090 - 0.0000971
Take Profit= 0.0001411 | 0.0002012 | 0.0002833
Stop Loss= 0.0000776
Risk/Reward= 1:1.5 | 1:3.87 | 1:7.1
Expected Profit= +36.99% | +95.34% | +175.05%
Possible Loss= -24.66%
Fib. Retracement= 0.236 | 0.5 | 0.786
Margin Leverage= 1x
Estimated Gain-time= 5 months