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futuros

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$RDNT ⚠️ Risk Management Class: The SL and TP are Non-Negotiable. Friends, we already know when to enter the market (thanks to the 4H/1H/15M maps). Now, let's move on to the most important part: protecting capital. In futures, there are only two things we control: where we enter and where we exit. 1. The Stop Loss (SL): Your Mandatory Insurance The Stop Loss is the most important tool for a trader. It is your emergency exit point. What is it? It is the price at which the system automatically exits you from the trade to limit your loss if the market moves against you. Why is it vital? If the price drops and you don't have an SL, you can lose your entire account. The SL tells you: "I accept that my idea failed and I will only lose, for example, $10". Where to Place It? If you are going to buy (Long), the SL should always be placed below the last support or the last low that formed the correction on the 15-minute chart. If that support is broken, your buying idea is nullified. 2. The Take Profit (TP): The Price Where You Cash Out The Take Profit is the level where you decide to lock in the profit. This is where discipline comes into play. What is it? It is the price at which the system automatically sells to secure your profit when the market reaches your target. Where to Place It? Your first logical target (TP) should be the previous high that the 4-hour chart is trying to break. Rule 1:2: Before opening any trade, calculate: if you risk $1 for the SL, your target (TP) should be at least $2. Never risk more than you expect to gain. Your mentality should be: - Before buying, know where the SL is. - Your target (TP) should be double what you risk in your SL. ⚠️ It also all depends on…. Everyone has their own strategy. The market is very unpredictable. ALWAYS DO YOUR OWN RESEARCH 😉❤️ 📌 With the three maps and this risk management, you have the foundation to start trading futures responsibly. #futuros
$RDNT ⚠️ Risk Management Class: The SL and TP are Non-Negotiable.
Friends, we already know when to enter the market (thanks to the 4H/1H/15M maps). Now, let's move on to the most important part: protecting capital.
In futures, there are only two things we control: where we enter and where we exit.

1. The Stop Loss (SL): Your Mandatory Insurance
The Stop Loss is the most important tool for a trader. It is your emergency exit point.

What is it? It is the price at which the system automatically exits you from the trade to limit your loss if the market moves against you.

Why is it vital? If the price drops and you don't have an SL, you can lose your entire account. The SL tells you: "I accept that my idea failed and I will only lose, for example, $10".

Where to Place It? If you are going to buy (Long), the SL should always be placed below the last support or the last low that formed the correction on the 15-minute chart. If that support is broken, your buying idea is nullified.

2. The Take Profit (TP): The Price Where You Cash Out
The Take Profit is the level where you decide to lock in the profit. This is where discipline comes into play.

What is it? It is the price at which the system automatically sells to secure your profit when the market reaches your target.

Where to Place It? Your first logical target (TP) should be the previous high that the 4-hour chart is trying to break.

Rule 1:2: Before opening any trade, calculate: if you risk $1 for the SL, your target (TP) should be at least $2. Never risk more than you expect to gain.
Your mentality should be:
- Before buying, know where the SL is.
- Your target (TP) should be double what you risk in your SL. ⚠️ It also all depends on…. Everyone has their own strategy. The market is very unpredictable. ALWAYS DO YOUR OWN RESEARCH 😉❤️

📌 With the three maps and this risk management, you have the foundation to start trading futures responsibly.
#futuros
RDNTUSDT
ferchuarg:
Buenísimo
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When to Enter the Market! 🔍$CC The Logic of the Three Maps: If you want to make money in futures, you don't need to be a clairvoyant. All you need is to be organized and know how to use three 'maps' of the market at the same time. The logic is simple: One map gives you the direction, another alerts you to the pause, and the last one gives you the green light to enter. 1. The Direction Map (4 Hours) This is the largest map, the 4-hour one. Think of it as the compass. - Purpose: Here we only want to know who has the strength. Are buyers pushing (uptrend) or sellers (downtrend)?

When to Enter the Market! 🔍

$CC The Logic of the Three Maps:
If you want to make money in futures, you don't need to be a clairvoyant. All you need is to be organized and know how to use three 'maps' of the market at the same time.
The logic is simple: One map gives you the direction, another alerts you to the pause, and the last one gives you the green light to enter.
1. The Direction Map (4 Hours)
This is the largest map, the 4-hour one. Think of it as the compass.
- Purpose: Here we only want to know who has the strength. Are buyers pushing (uptrend) or sellers (downtrend)?
ferchuarg:
Entonces. Spot o perpetuo?
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From Future to Trade: Executing the Virtuous Cycle Theory without execution is just philosophy. I am materializing the principle of a strategy: using Futures Gains as a tool for generating capital and learning, to feed the ultimate goal: disciplined accumulation, as well as description of statistical samples. 🧠 The Conceptual Framework: A Data-Fueled Cycle My trading is based on a flow of two phases: 1. GENERATION PHASE (Futures): A high-impact field for creating efficient capital and, most crucially, extracting quantifiable learning. Each trade is a lesson.

From Future to Trade: Executing the Virtuous Cycle

Theory without execution is just philosophy. I am materializing the principle of a strategy: using Futures Gains as a tool for generating capital and learning, to feed the ultimate goal: disciplined accumulation, as well as description of statistical samples.
🧠 The Conceptual Framework: A Data-Fueled Cycle
My trading is based on a flow of two phases:
1. GENERATION PHASE (Futures): A high-impact field for creating efficient capital and, most crucially, extracting quantifiable learning. Each trade is a lesson.
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Bearish
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#Futuros : Stop Operation and Risk Management of Liquidation Futures trading allows for leveraged trading, magnifying exposure. Technical mastery of Stop orders is imperative for capital preservation and mitigation of total liquidation risk. 1. Stop-Limit Order vs. Stop-Market (Operational Risk) The Stop order is a risk management tool (R:R) that limits potential loss: Stop-Market: When the Stop Price is reached, it is automatically executed at the best available price. Execution is guaranteed; the final price is not (slippage). Stop-Limit: When the Stop Price is reached, it activates a Limit order at the defined price. The price is guaranteed if filled; execution is not guaranteed in high volatility. Tactic: The Stop-Market is critical for exiting leveraged positions during Flash Crashes, accepting slippage. The Stop-Limit requires more monitoring and is preferable in low volatility conditions. 2. Futures Mechanics and Leverage Futures contracts base their risk on leverage: Margin: Collateral required to maintain the position. Leverage: Multiplies exposure. A 1% movement against BTC or ETH with 10x leverage results in a 10% loss of margin. Liquidation: Forced automatic closure of the position when margin is insufficient. Results in total loss of initial margin. Tactical Strategy: Always use a predefined Stop-Loss. Never trade with leverage that does not allow absorbing the market's technical volatility. #TacticalTrading #BinanceFuturos ETCB WARNING: Futures trading is highly risky. Leverage increases the likelihood of total liquidation of invested capital. This information is analytical, not advice to open positions. #BTC
#Futuros : Stop Operation and Risk Management of Liquidation

Futures trading allows for leveraged trading, magnifying exposure. Technical mastery of Stop orders is imperative for capital preservation and mitigation of total liquidation risk.

1. Stop-Limit Order vs. Stop-Market (Operational Risk)
The Stop order is a risk management tool (R:R) that limits potential loss:
Stop-Market: When the Stop Price is reached, it is automatically executed at the best available price. Execution is guaranteed; the final price is not (slippage).
Stop-Limit: When the Stop Price is reached, it activates a Limit order at the defined price. The price is guaranteed if filled; execution is not guaranteed in high volatility.
Tactic: The Stop-Market is critical for exiting leveraged positions during Flash Crashes, accepting slippage. The Stop-Limit requires more monitoring and is preferable in low volatility conditions.
2. Futures Mechanics and Leverage
Futures contracts base their risk on leverage:
Margin: Collateral required to maintain the position.
Leverage: Multiplies exposure. A 1% movement against BTC or ETH with 10x leverage results in a 10% loss of margin.
Liquidation: Forced automatic closure of the position when margin is insufficient. Results in total loss of initial margin.

Tactical Strategy: Always use a predefined Stop-Loss. Never trade with leverage that does not allow absorbing the market's technical volatility. #TacticalTrading #BinanceFuturos

ETCB WARNING: Futures trading is highly risky. Leverage increases the likelihood of total liquidation of invested capital. This information is analytical, not advice to open positions.
#BTC
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🚨 EXTREME VOLATILITY ALERT: TRADOORUSDT! LONG or SHORT? 🚨🚀 Extreme Alert Look at this chart! $TRADOOR just suffered a violent dump from $6.678} to the zone of 1.144}. This is not for beginners! 📉 Quick Analysis (1D Chart): Current Price: $1.318. RSI(6): It is at 32.550}. Although it is close to the oversold zone, the drop was so vertical that a technical correction (bounce) is possible, but the risk is immense. MACD: The divergence = -0.439) confirms the strong bearish pressure. The long-term trend is deeply negative.

🚨 EXTREME VOLATILITY ALERT: TRADOORUSDT! LONG or SHORT? 🚨

🚀 Extreme Alert
Look at this chart! $TRADOOR just suffered a violent dump from $6.678} to the zone of 1.144}. This is not for beginners!
📉 Quick Analysis (1D Chart):
Current Price: $1.318.
RSI(6): It is at 32.550}. Although it is close to the oversold zone, the drop was so vertical that a technical correction (bounce) is possible, but the risk is immense.
MACD: The divergence = -0.439) confirms the strong bearish pressure. The long-term trend is deeply negative.
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$SAPIEN - Target Fulfillment$SAPIEN THIRD BEARISH TARGET ACHIEVED ✅ The drop occurred as per the analysis. Did you secure your profits? 🔒 If you shorted (Futures), congratulations! ⚡ If you haven't taken a position in $SAPIEN , the current price offers a new key analysis zone. Don't miss out! #SAPIEN #futuros #CriptoAnálisis #Binance #BinanceBlockchainWeek

$SAPIEN - Target Fulfillment

$SAPIEN THIRD BEARISH TARGET ACHIEVED ✅ The drop occurred as per the analysis.
Did you secure your profits? 🔒 If you shorted (Futures), congratulations!
⚡ If you haven't taken a position in $SAPIEN , the current price offers a new key analysis zone. Don't miss out!
#SAPIEN #futuros #CriptoAnálisis #Binance #BinanceBlockchainWeek
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🚀 +20.22% AUTOMATED! This is how I set up my Grid Bot in Futures $PIPPIN {future}(PIPPINUSDT) Tired of trading 24/7? Bots are the key. I just closed a trade with +20.22% real profit using a Grid Trading Bot. I share the EXACT configuration: ⚙️ TESTED PARAMETERS: Long x5 Isolated Range: 0.17500 - 0.21500 Grids: 3 Stop Loss Trailing: 0.121% Take Profit: 0.81% Execution time of 2 days + 3 hours The strategy is simple: capture volatility in a defined range with automatic protection. The trailing stop secures profits and the take profit closes at the right moment. ✨ Do you want to replicate it? It's easier than you think! Scan the QR CODE that I left in the image to copy this bot configuration directly into your Binance Futures account and try it yourself. 👉 Did it work for you? Comment your results. #TradingBots #gridtrading #futuros #CriptoTrading #TradingAutomatizado
🚀 +20.22% AUTOMATED! This is how I set up my Grid Bot in Futures $PIPPIN

Tired of trading 24/7? Bots are the key.
I just closed a trade with +20.22% real profit using a Grid Trading Bot. I share the EXACT configuration:
⚙️ TESTED PARAMETERS:
Long x5 Isolated
Range: 0.17500 - 0.21500
Grids: 3
Stop Loss Trailing: 0.121%
Take Profit: 0.81%
Execution time of 2 days + 3 hours
The strategy is simple: capture volatility in a defined range with automatic protection. The trailing stop secures profits and the take profit closes at the right moment.
✨ Do you want to replicate it?

It's easier than you think! Scan the QR CODE that I left in the image to copy this bot configuration directly into your Binance Futures account and try it yourself.

👉 Did it work for you? Comment your results.

#TradingBots #gridtrading #futuros #CriptoTrading #TradingAutomatizado
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Bullish
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🚨 ZEC ON THE RISE! LAST PULLBACK BEFORE BREAKING TO $\$366$: The Opportunity is Now! 💎🚀💰 Attention, Traders! ZEC has confirmed strong acceleration, trading at $353.21. The price is consolidating at the dynamic support (EMA 9 at $352.47$). This correction is your entry window before the momentum hits the maximum of $366.66$! The bullish strength is dominant. 🔴 TRADE PLAN (LONG / CONTINUITY) ➡️ Entry (Buy on Pullback) $352.00 - $353.50 The ideal range to position near support, minimizing risk. 🛑 Stop Loss (SL) $349.00 Strict limit. Placed just below the EMA(26) ($349.39$). If it falls below, the bullish structure fails. 🎯 TP1 (Quick Profit) $355.74 Initial target to secure profits on the retest of the consolidation peak. 🎯 TP2 (Maximum Profit) $366.66 Ambitious target. The ceiling of the last 24 hours. If we break this, the party comes! CONSENSUS ANALYSIS: The market consensus is to take advantage of the confirmed momentum. The key is respecting the EMA(26) support at $349.39$. Risk Management Before Profit! 🔔 FOLLOW ME, SHARE for more quick analyses and trading signals!#ZEC #Futuros #Pullback #Ruptura #BinanceSquare #TradeSignal 📈 $ZEC $BTC $BNB {future}(ZECUSDT) {future}(BTCUSDT)
🚨 ZEC ON THE RISE! LAST PULLBACK BEFORE BREAKING TO $\$366$: The Opportunity is Now! 💎🚀💰

Attention, Traders! ZEC has confirmed strong acceleration, trading at $353.21. The price is consolidating at the dynamic support (EMA 9 at $352.47$). This correction is your entry window before the momentum hits the maximum of $366.66$! The bullish strength is dominant.

🔴 TRADE PLAN (LONG / CONTINUITY)

➡️ Entry (Buy on Pullback) $352.00 - $353.50 The ideal range to position near support, minimizing risk.

🛑 Stop Loss (SL) $349.00 Strict limit. Placed just below the EMA(26) ($349.39$). If it falls below, the bullish structure fails.

🎯 TP1 (Quick Profit) $355.74 Initial target to secure profits on the retest of the consolidation peak.

🎯 TP2 (Maximum Profit) $366.66 Ambitious target. The ceiling of the last 24 hours. If we break this, the party comes!

CONSENSUS ANALYSIS: The market consensus is to take advantage of the confirmed momentum. The key is respecting the EMA(26) support at $349.39$. Risk Management Before Profit!

🔔 FOLLOW ME, SHARE for more quick analyses and trading signals!#ZEC #Futuros #Pullback #Ruptura #BinanceSquare #TradeSignal 📈

$ZEC $BTC $BNB
Phylicia Glinka nb9U:
te vas a fundir con esa moneda ya está en baja le va a pasar igual que dash cunado llego 1600 fíjate lo que vale ahora
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What is the difference between quarterly and perpetual futures? And which should you choose? Both types of futures allow trading with leverage, but there are important differences. Quarterly futures: They have a fixed expiration date (for example, at the end of the quarter). They do not require a financing rate. They can be traded above or below the spot price, depending on demand. Perpetual futures: They have no expiration date. There is a financing rate: payments between long and short positions. They are more flexible and popular among short-term traders. The choice depends on your strategy: for long-term trading, use quarterly; for short-term speculation, better to use perpetual.
What is the difference between quarterly and perpetual futures? And which should you choose?

Both types of futures allow trading with leverage, but there are important differences.

Quarterly futures:

They have a fixed expiration date (for example, at the end of the quarter).

They do not require a financing rate.

They can be traded above or below the spot price, depending on demand.

Perpetual futures:

They have no expiration date.

There is a financing rate: payments between long and short positions.

They are more flexible and popular among short-term traders.

The choice depends on your strategy: for long-term trading, use quarterly; for short-term speculation, better to use perpetual.
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Trading on COIN-M futures BNB USD permanentlyHello community, I am doing this futures trading, and from what I see I am at risk, what do you think, should I continue or abandon trading, what do you tell me? I accept suggestions, below I show you the capture, see, analyze and anyone who can help me, I appreciate it. #futuros <t-6/>#coin

Trading on COIN-M futures BNB USD permanently

Hello community, I am doing this futures trading, and from what I see I am at risk, what do you think, should I continue or abandon trading, what do you tell me?
I accept suggestions, below I show you the capture, see, analyze and anyone who can help me, I appreciate it.


#futuros <t-6/>#coin
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#aceusdt #futuros Here I leave you when to sell in futures to avoid losses and take advantage of small increases 👇👇👇👇👇
#aceusdt #futuros Here I leave you when to sell in futures to avoid losses and take advantage of small increases 👇👇👇👇👇
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📢 SIGNAL UPDATE - ZENUSDT 📢 📈 Confirmed Bullish Trend in multiple time frames. 💹 Signal Details: 🔹 Timeframes: 5m, 15m, 1h 🔹 Type: BUY 🟢 🔹 Current price: 14.15 USDT 📊 Technical Summary: ✔️ High RSI (overbought, possible slight correction) ✔️ Bullish MACD (momentum confirmation) ✔️ Strong ADX (established trend) ✔️ Low ATR (contained volatility) 🎯 Strategic Targets: ✅ Stop-Loss: 13.59 - 13.91 USDT (depending on timeframe) ✅ Take-Profit: 14.55 - 15.08 USDT (depending on timeframe) ✅ Risk Management: Ratio 1:2 🔍 Recommendation: Confirmed signal, but with RSI in overbought territory. It is suggested to monitor divergences in MACD and wait for possible pullbacks before entering. ⚠️ Remember: This is not financial advice. Manage your risk appropriately. #ZENUSDT #Trading #Futuros
📢 SIGNAL UPDATE - ZENUSDT 📢

📈 Confirmed Bullish Trend in multiple time frames.

💹 Signal Details:
🔹 Timeframes: 5m, 15m, 1h
🔹 Type: BUY 🟢
🔹 Current price: 14.15 USDT

📊 Technical Summary:
✔️ High RSI (overbought, possible slight correction)
✔️ Bullish MACD (momentum confirmation)
✔️ Strong ADX (established trend)
✔️ Low ATR (contained volatility)

🎯 Strategic Targets:
✅ Stop-Loss: 13.59 - 13.91 USDT (depending on timeframe)
✅ Take-Profit: 14.55 - 15.08 USDT (depending on timeframe)
✅ Risk Management: Ratio 1:2

🔍 Recommendation:
Confirmed signal, but with RSI in overbought territory. It is suggested to monitor divergences in MACD and wait for possible pullbacks before entering.

⚠️ Remember: This is not financial advice. Manage your risk appropriately.

#ZENUSDT #Trading #Futuros
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"Stop Loss: The Guard That Saves Me From a Knockout" 🥊🔥 📅 November 18, 2024: My last post on #BinanceSquare At that time, my futures account was a mess. No stop loss, no control, no cool head. I traded believing that I could twist the market in my favor, but it ended up knocking me down with a punch. 📉 That day my account said: Historical PNL: -$3,303.52 USD Unstoppable losses, meaningless trades More days in red than in green 📅 February 19, 2025: Three months later, here we are again. It's not that I broke it, it's not that everything is already learned, but at least now I play with a helmet! 📈 Today my account says: PNL improving: -$3,002.58 USD More winning days than losing days Average loss decreased The difference was not in the charts, it was in the head. I started losing less, and that is already part of winning. 🔮 Moral: If you don't use stop loss, it's not a question of "if" you're going to go bankrupt, but "when." Learn to get out before the knockout. Because in trading, the one who survives is the one who keeps learning. See you in the market. This is just beginning. 🔥 $BTC #BTC {spot}(BTCUSDT) #Futuros #StopLossEsVida
"Stop Loss: The Guard That Saves Me From a Knockout" 🥊🔥

📅 November 18, 2024:
My last post on #BinanceSquare
At that time, my futures account was a mess. No stop loss, no control, no cool head. I traded believing that I could twist the market in my favor, but it ended up knocking me down with a punch.

📉 That day my account said:
Historical PNL: -$3,303.52 USD
Unstoppable losses, meaningless trades
More days in red than in green

📅 February 19, 2025:
Three months later, here we are again. It's not that I broke it, it's not that everything is already learned, but at least now I play with a helmet!

📈 Today my account says:
PNL improving: -$3,002.58 USD
More winning days than losing days
Average loss decreased

The difference was not in the charts, it was in the head. I started losing less, and that is already part of winning.

🔮 Moral:
If you don't use stop loss, it's not a question of "if" you're going to go bankrupt, but "when." Learn to get out before the knockout. Because in trading, the one who survives is the one who keeps learning.

See you in the market. This is just beginning. 🔥
$BTC #BTC

#Futuros #StopLossEsVida
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📢 SIGNAL UPDATE - ZKUSDT 📢 📈 Confirmed Uptrend in multiple timeframes. 💹 Signal Details: 🔹 Timeframes: 5m, 15m, 1h 🔹 Type: BUY 🟢 🔹 Current Price: 0.10 USDT 📊 Technical Summary: ✔️ High RSI (overbought, possible slight correction) ✔️ Bullish MACD (momentum confirmation) ✔️ Strong ADX (consolidated trend) ✔️ Low ATR (contained volatility) 🎯 Strategic Goals: ✅ Stop-Loss: 0.10 USDT ✅ Take-Profit: 0.11 USDT ✅ Risk Management: Ratio 1:2 🔍 Recommendation: Signal confirmed, but with RSI in overbought. It is recommended to watch for pullbacks before entering and validate divergences in higher timeframes. ⚠️ Remember: This is not financial advice. Manage your risk appropriately. #ZKUSDT #Trading #Futuros
📢 SIGNAL UPDATE - ZKUSDT 📢

📈 Confirmed Uptrend in multiple timeframes.

💹 Signal Details:
🔹 Timeframes: 5m, 15m, 1h
🔹 Type: BUY 🟢
🔹 Current Price: 0.10 USDT

📊 Technical Summary:
✔️ High RSI (overbought, possible slight correction)
✔️ Bullish MACD (momentum confirmation)
✔️ Strong ADX (consolidated trend)
✔️ Low ATR (contained volatility)

🎯 Strategic Goals:
✅ Stop-Loss: 0.10 USDT
✅ Take-Profit: 0.11 USDT
✅ Risk Management: Ratio 1:2

🔍 Recommendation:
Signal confirmed, but with RSI in overbought. It is recommended to watch for pullbacks before entering and validate divergences in higher timeframes.

⚠️ Remember: This is not financial advice. Manage your risk appropriately.

#ZKUSDT #Trading #Futuros
--
Bearish
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As I expected, the large institutions profited from their position, and I will wait for them to respect the price compression wedge guideline; in the event that it breaks, we can think about reaching lower levels like $94.430. If you do #trading of #futuros it could be an incorporation zone. I'm speaking to you, the Trader Engineer.
As I expected, the large institutions profited from their position, and I will wait for them to respect the price compression wedge guideline; in the event that it breaks, we can think about reaching lower levels like $94.430. If you do #trading of #futuros it could be an incorporation zone. I'm speaking to you, the Trader Engineer.
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# 📊 **Complete Trading Guide on Binance: Strategies, Advantages, and Risks** 📊# 📊 **Complete Trading Guide on Binance: Strategies, Advantages, and Risks** 📊 Binance is one of the largest cryptocurrency exchanges in the world, with a wide range of tools for beginner and advanced traders. In this article, we will explore how to trade on Binance, its advantages, disadvantages, and key tips to maximize your profits. 🚀 --- ## 🔹 **What is Binance and why is it popular?** Binance is a cryptocurrency exchange platform founded in 2017 by Changpeng Zhao (CZ). It offers:

# 📊 **Complete Trading Guide on Binance: Strategies, Advantages, and Risks** 📊

# 📊 **Complete Trading Guide on Binance: Strategies, Advantages, and Risks** 📊

Binance is one of the largest cryptocurrency exchanges in the world, with a wide range of tools for beginner and advanced traders. In this article, we will explore how to trade on Binance, its advantages, disadvantages, and key tips to maximize your profits. 🚀

---

## 🔹 **What is Binance and why is it popular?**

Binance is a cryptocurrency exchange platform founded in 2017 by Changpeng Zhao (CZ). It offers:
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