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$BROCCOLI714 higher low confirmed — early signs of trend reversal 📍 $BROCCOLI714 @ $0.01341 | Vol: $845.4K RSI 59 | EMA20: $0.01324 📈 Trade Plan: Entry: $0.01337 – $0.01345 Stop: $0.01316 | TP1: $0.01366 | TP2: $0.01384 Funding rate negative — short squeeze potential adds to upside. This is a probability game. Never risk more than you can afford to lose. $BROCCOLI714 #long #new
$BROCCOLI714 higher low confirmed — early signs of trend reversal

📍 $BROCCOLI714 @ $0.01341 | Vol: $845.4K
RSI 59 | EMA20: $0.01324

📈 Trade Plan:
Entry: $0.01337 – $0.01345
Stop: $0.01316 | TP1: $0.01366 | TP2: $0.01384

Funding rate negative — short squeeze potential adds to upside.

This is a probability game. Never risk more than you can afford to lose.

$BROCCOLI714 #long #new
Why I'm watching $IOTX for a long entry right now 📍 $IOTX @ $0.00328500 | Vol: $2.43M RSI 38 | EMA20: $0.00333242 📈 Trade Plan: Entry: $0.00327515 – $0.00329485 Stop: $0.00321472 | TP1: $0.00335528 | TP2: $0.00340765 This support level has held multiple times over the past weeks. This is a probability game. Never risk more than you can afford to lose. $IOTX #long #new
Why I'm watching $IOTX for a long entry right now

📍 $IOTX @ $0.00328500 | Vol: $2.43M
RSI 38 | EMA20: $0.00333242

📈 Trade Plan:
Entry: $0.00327515 – $0.00329485
Stop: $0.00321472 | TP1: $0.00335528 | TP2: $0.00340765

This support level has held multiple times over the past weeks.

This is a probability game. Never risk more than you can afford to lose.

$IOTX #long #new
$SOMI setup: oversold RSI + EMA support + low volume selloff 📍 $SOMI @ $0.11200 | Vol: $2.98M RSI 51 | EMA20: $0.11205 📈 Trade Plan: Entry: $0.11166 – $0.11234 Stop: $0.10941 | TP1: $0.11459 | TP2: $0.11654 Risk/reward here is compelling: tight stop, multiple R target. Manage your risk first — the profits will follow. $SOMI #long #new
$SOMI setup: oversold RSI + EMA support + low volume selloff

📍 $SOMI @ $0.11200 | Vol: $2.98M
RSI 51 | EMA20: $0.11205

📈 Trade Plan:
Entry: $0.11166 – $0.11234
Stop: $0.10941 | TP1: $0.11459 | TP2: $0.11654

Risk/reward here is compelling: tight stop, multiple R target.

Manage your risk first — the profits will follow.

$SOMI #long #new
$NEO has been grinding lower — but support is holding tight 📍 $NEO @ $2.1870 | Vol: $1.74M RSI 46 | EMA20: $2.1952 📈 Trade Plan: Entry: $2.1804 – $2.1936 Stop: $2.1631 | TP1: $2.2392 | TP2: $2.2849 EMA20 acting as dynamic floor — buyers defending on every touch. Not financial advice. Always use a stop loss and size accordingly. $NEO #long #new
$NEO has been grinding lower — but support is holding tight

📍 $NEO @ $2.1870 | Vol: $1.74M
RSI 46 | EMA20: $2.1952

📈 Trade Plan:
Entry: $2.1804 – $2.1936
Stop: $2.1631 | TP1: $2.2392 | TP2: $2.2849

EMA20 acting as dynamic floor — buyers defending on every touch.

Not financial advice. Always use a stop loss and size accordingly.

$NEO #long #new
The crowd is bearish on $ADA. That's usually when you buy. 📍 $ADA @ $0.17140 | Vol: $100.43M RSI 48 | EMA20: $0.17187 📈 Trade Plan: Entry: $0.17089 – $0.17191 Stop: $0.16975 | TP1: $0.17516 | TP2: $0.17842 Risk/reward here is compelling: tight stop, multiple R target. Do your own research. This is a technical observation only. $ADA #long #new
The crowd is bearish on $ADA . That's usually when you buy.

📍 $ADA @ $0.17140 | Vol: $100.43M
RSI 48 | EMA20: $0.17187

📈 Trade Plan:
Entry: $0.17089 – $0.17191
Stop: $0.16975 | TP1: $0.17516 | TP2: $0.17842

Risk/reward here is compelling: tight stop, multiple R target.

Do your own research. This is a technical observation only.

$ADA #long #new
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Ανατιμητική
Been watching $TRADOOR for the last 2 days. Chart is building a clean bullish structure. Breakout setting up on 4H after consolidation. Daily trend also looking up. Entry: $0.480 - $0.500 TP1: $0.530 TP2: $0.580 TP3: $0.650 SL: $0.440 Momentum is good, volume supports it. Taking a small position. Let's see how it plays out. #TRADOOR #LONG #CryptoSignals #Binance $TRADOOR {future}(TRADOORUSDT)
Been watching $TRADOOR for the last 2 days.

Chart is building a clean bullish structure. Breakout setting up on 4H after consolidation. Daily trend also looking up.

Entry: $0.480 - $0.500
TP1: $0.530
TP2: $0.580
TP3: $0.650
SL: $0.440

Momentum is good, volume supports it. Taking a small position.

Let's see how it plays out.

#TRADOOR #LONG #CryptoSignals #Binance
$TRADOOR
$ADA capitulation candle on 1H — sellers running out of ammo 📍 $ADA @ $0.17140 | Vol: $100.43M RSI 48 | EMA20: $0.17187 📈 Trade Plan: Entry: $0.17089 – $0.17191 Stop: $0.16975 | TP1: $0.17516 | TP2: $0.17842 Price compressed near lows with declining sell volume — exhaustion signal. Manage your risk first — the profits will follow. $ADA #long #new
$ADA capitulation candle on 1H — sellers running out of ammo

📍 $ADA @ $0.17140 | Vol: $100.43M
RSI 48 | EMA20: $0.17187

📈 Trade Plan:
Entry: $0.17089 – $0.17191
Stop: $0.16975 | TP1: $0.17516 | TP2: $0.17842

Price compressed near lows with declining sell volume — exhaustion signal.

Manage your risk first — the profits will follow.

$ADA #long #new
$FIL has been grinding lower — but support is holding tight 📍 $FIL @ $0.77100 | Vol: $87.38M RSI 46 | EMA20: $0.77491 📈 Trade Plan: Entry: $0.76869 – $0.77331 Stop: $0.75918 | TP1: $0.79450 | TP2: $0.81570 EMA50 below current price — medium-term trend still favors bulls. Entry, stop, target. Stick to the plan. $FIL #long #new
$FIL has been grinding lower — but support is holding tight

📍 $FIL @ $0.77100 | Vol: $87.38M
RSI 46 | EMA20: $0.77491

📈 Trade Plan:
Entry: $0.76869 – $0.77331
Stop: $0.75918 | TP1: $0.79450 | TP2: $0.81570

EMA50 below current price — medium-term trend still favors bulls.

Entry, stop, target. Stick to the plan.

$FIL #long #new
$BTR down 2.2% in the last 24H — oversold bounce likely 📍 $BTR @ $0.02071 | Vol: $869.0K RSI 46 | EMA20: $0.02085 📈 Trade Plan: Entry: $0.02065 – $0.02077 Stop: $0.02017 | TP1: $0.02198 | TP2: $0.02349 Sellers have had multiple attempts to push lower and failed. Size small, let it breathe, let it run. $BTR #long #new
$BTR down 2.2% in the last 24H — oversold bounce likely

📍 $BTR @ $0.02071 | Vol: $869.0K
RSI 46 | EMA20: $0.02085

📈 Trade Plan:
Entry: $0.02065 – $0.02077
Stop: $0.02017 | TP1: $0.02198 | TP2: $0.02349

Sellers have had multiple attempts to push lower and failed.

Size small, let it breathe, let it run.

$BTR #long #new
$BROCCOLI714 down 3.1% in the last 24H — oversold bounce likely 📍 $BROCCOLI714 @ $0.01341 | Vol: $845.4K RSI 59 | EMA20: $0.01324 📈 Trade Plan: Entry: $0.01337 – $0.01345 Stop: $0.01316 | TP1: $0.01366 | TP2: $0.01384 EMA50 below current price — medium-term trend still favors bulls. This is a probability game. Never risk more than you can afford to lose. $BROCCOLI714 #long #new
$BROCCOLI714 down 3.1% in the last 24H — oversold bounce likely

📍 $BROCCOLI714 @ $0.01341 | Vol: $845.4K
RSI 59 | EMA20: $0.01324

📈 Trade Plan:
Entry: $0.01337 – $0.01345
Stop: $0.01316 | TP1: $0.01366 | TP2: $0.01384

EMA50 below current price — medium-term trend still favors bulls.

This is a probability game. Never risk more than you can afford to lose.

$BROCCOLI714 #long #new
The crowd is bearish on $DYM. That's usually when you buy. 📍 $DYM @ $0.01700 | Vol: $5.49M RSI 47 | EMA20: $0.01713 📈 Trade Plan: Entry: $0.01695 – $0.01705 Stop: $0.01640 | TP1: $0.01760 | TP2: $0.01808 Momentum indicators turning up from extreme oversold readings. Manage your risk first — the profits will follow. $DYM #long #new
The crowd is bearish on $DYM . That's usually when you buy.

📍 $DYM @ $0.01700 | Vol: $5.49M
RSI 47 | EMA20: $0.01713

📈 Trade Plan:
Entry: $0.01695 – $0.01705
Stop: $0.01640 | TP1: $0.01760 | TP2: $0.01808

Momentum indicators turning up from extreme oversold readings.

Manage your risk first — the profits will follow.

$DYM #long #new
3 reasons $CTK could bounce from here 📍 $CTK @ $0.12690 | Vol: $557.1K RSI 51 | EMA20: $0.12697 📈 Trade Plan: Entry: $0.12652 – $0.12728 Stop: $0.12469 | TP1: $0.12911 | TP2: $0.13070 EMA50 below current price — medium-term trend still favors bulls. Risk is defined. Opportunity is clear. Execute with discipline. $CTK #long #new
3 reasons $CTK could bounce from here

📍 $CTK @ $0.12690 | Vol: $557.1K
RSI 51 | EMA20: $0.12697

📈 Trade Plan:
Entry: $0.12652 – $0.12728
Stop: $0.12469 | TP1: $0.12911 | TP2: $0.13070

EMA50 below current price — medium-term trend still favors bulls.

Risk is defined. Opportunity is clear. Execute with discipline.

$CTK #long #new
After the pullback, $HMSTR looks ready for the next leg up 📍 $HMSTR @ $0.00016150 | Vol: $20.44M RSI 30 | EMA20: $0.00017358 📈 Trade Plan: Entry: $0.00016102 – $0.00016198 Stop: $0.00016000 | TP1: $0.00016839 | TP2: $0.00017138 Funding rate negative — short squeeze potential adds to upside. Not financial advice. Always use a stop loss and size accordingly. $HMSTR #long #new
After the pullback, $HMSTR looks ready for the next leg up

📍 $HMSTR @ $0.00016150 | Vol: $20.44M
RSI 30 | EMA20: $0.00017358

📈 Trade Plan:
Entry: $0.00016102 – $0.00016198
Stop: $0.00016000 | TP1: $0.00016839 | TP2: $0.00017138

Funding rate negative — short squeeze potential adds to upside.

Not financial advice. Always use a stop loss and size accordingly.

$HMSTR #long #new
Let's break down $SOON: RSI oversold + key support = high probability long 📍 $SOON @ $0.17610 | Vol: $3.05M RSI 58 | EMA20: $0.17390 📈 Trade Plan: Entry: $0.17557 – $0.17663 Stop: $0.17182 | TP1: $0.18038 | TP2: $0.18363 EMA20 acting as dynamic floor — buyers defending on every touch. Risk is defined. Opportunity is clear. Execute with discipline. $SOON #long #new
Let's break down $SOON: RSI oversold + key support = high probability long

📍 $SOON @ $0.17610 | Vol: $3.05M
RSI 58 | EMA20: $0.17390

📈 Trade Plan:
Entry: $0.17557 – $0.17663
Stop: $0.17182 | TP1: $0.18038 | TP2: $0.18363

EMA20 acting as dynamic floor — buyers defending on every touch.

Risk is defined. Opportunity is clear. Execute with discipline.

$SOON #long #new
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Ανατιμητική
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Ανατιμητική
🚨 SIGNAL ALERT — $BEAT / USDT 🚨 🟢 LONG / BUY 📍 Entry: $8.20 – $8.60 🎯 TP1: $9.00 🎯 TP2: $9.50 🎯 TP3: $10.40 🛑 SL: $7.80 📊 Why LONG? • $7.39-$6.76 support zone held this zone launched the last 630% rally citation:1 • 770K BEAT burned last week ($2.87M real revenue) supply shock incoming citation:1 • Price above all key MAs bullish structure intact • Funding rate positive (0.1197%) market sentiment bullish citation:7 ⚠️ Key resistance at $9.47. If breaks, $10.39 next. Manage risk high volatility expected. #BEAT #LONG #CryptoSignals #Binance
🚨 SIGNAL ALERT — $BEAT / USDT 🚨
🟢 LONG / BUY

📍 Entry: $8.20 – $8.60
🎯 TP1: $9.00
🎯 TP2: $9.50
🎯 TP3: $10.40
🛑 SL: $7.80

📊 Why LONG?
• $7.39-$6.76 support zone held this zone launched the last 630% rally citation:1
• 770K BEAT burned last week ($2.87M real revenue) supply shock incoming citation:1
• Price above all key MAs bullish structure intact
• Funding rate positive (0.1197%) market sentiment bullish citation:7

⚠️ Key resistance at $9.47. If breaks, $10.39 next. Manage risk high volatility expected.

#BEAT #LONG #CryptoSignals #Binance
#long *Whale Wallet $17.4M Holds $23M SPCX LONG, +$650K Unrealized PnL* *Wallet*: 0x9cc10bd3...143fac56 | *Account Value*: $17,449,808.86 Hyperliquid PERPS tab shows massive SPCX-USD position. Trader holding *$23.2M LONG* at 2X isolated leverage. Entry: 168.55 | Current: 173.41 | *PnL: +$650,780* = +2.8%. Break-even 168.70. Liquidation only at $93.56 = 45% below price = very safe. *Key Points* 1. *Position Size*: $23.2M notional with $17.4M account = ∼133% margin used. 2X isolated = risk limited to this position only. 2. *Trade Logic*: LONG from 168.55 to 173.41 = riding momentum. 0.00% Ratio = no hedge. Pure directional bet on SPCX-USD. 3. *Risk*: Funding -384.31$ = paying shorts. Liq at 93.56$ = 45% drop needed. 133.88K amount = huge size, low leverage = whale conviction. *Rule*: Above 168.70 BE = profit. *173.41 break* = next resistance. *168.55 reclaim* = add more. Below 93.56 = liquidation. *Disclaimer*: Educational only. On-chain data ≠ advice. $23M positions = extreme risk. Copy trading can liquidate fast. Do your own research.
#long
*Whale Wallet $17.4M Holds $23M SPCX LONG, +$650K Unrealized PnL*

*Wallet*: 0x9cc10bd3...143fac56 | *Account Value*: $17,449,808.86

Hyperliquid PERPS tab shows massive SPCX-USD position. Trader holding *$23.2M LONG* at 2X isolated leverage. Entry: 168.55 | Current: 173.41 | *PnL: +$650,780* = +2.8%. Break-even 168.70. Liquidation only at $93.56 = 45% below price = very safe.

*Key Points*
1. *Position Size*: $23.2M notional with $17.4M account = ∼133% margin used. 2X isolated = risk limited to this position only.
2. *Trade Logic*: LONG from 168.55 to 173.41 = riding momentum. 0.00% Ratio = no hedge. Pure directional bet on SPCX-USD.
3. *Risk*: Funding -384.31$ = paying shorts. Liq at 93.56$ = 45% drop needed. 133.88K amount = huge size, low leverage = whale conviction.

*Rule*: Above 168.70 BE = profit. *173.41 break* = next resistance. *168.55 reclaim* = add more. Below 93.56 = liquidation.

*Disclaimer*: Educational only. On-chain data ≠ advice. $23M positions = extreme risk. Copy trading can liquidate fast. Do your own research.
$STG /USDT $50 LONG 🔺 ⚡️ TRADING SETUP (1H) 🚀 Entry - MARKET PRICE / 0.5339 Entry Price - 0.4903 🛑 Stop Loss - 0.4022 🎯 TP1 - 0.6206 hit 🎯 TP2 - 0.6959 almost hit #STG #Crypto #TradingSignal #LONG
$STG /USDT $50 LONG 🔺

⚡️ TRADING SETUP (1H) 🚀
Entry - MARKET PRICE / 0.5339

Entry Price - 0.4903
🛑 Stop Loss - 0.4022

🎯 TP1 - 0.6206 hit
🎯 TP2 - 0.6959 almost hit

#STG #Crypto #TradingSignal #LONG
Phoenix Crypto
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👀 Let’s go guys, it’s time to make money 🤑

😎 $STG /USDT $50 LONG 🔺

⚡️ TRADING SETUP (1H) 🚀
Entry - MARKET PRICE / 0.5339

Entry Price - 0.4903
🛑 Stop Loss - 0.4022

🎯 TP1 - 0.6206
🎯 TP2 - 0.6959

#STG #Crypto #TradingSignal #LONG
Click here to Trade
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Ανατιμητική
Pair: $NAORIS /USDT Position: LONG Leverage: 10x -25x Entry: CMP $0.04010- $0.04060 Targets : 1. 🎯 0.04400 2. 🎯 0.04600 3. 🎯 0.04800 4. 🎯 0.05200 5. 🎯 0.05400 🚨 Stop Loss: 0.03200 DYOR DON’T USE BIG POSITION SIZE PLEASE MANAGE YOUR RISK #naoris #long #trade #crypto {future}(NAORISUSDT)
Pair: $NAORIS /USDT
Position: LONG
Leverage: 10x -25x
Entry: CMP $0.04010- $0.04060

Targets :
1. 🎯 0.04400
2. 🎯 0.04600
3. 🎯 0.04800
4. 🎯 0.05200
5. 🎯 0.05400

🚨 Stop Loss: 0.03200

DYOR DON’T USE BIG POSITION SIZE PLEASE MANAGE YOUR RISK

#naoris #long #trade #crypto
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