$ALICE Distance from entry (0.4133): 0.3533 (≈12.7% risk on position). In practice, size your position to risk only 1-2% of total capital (e.g., if portfolio is $10,000, position size ≈$300-600 to cap loss at $30-50).
#target 1: 0.4650 (short-term resistance, partial exit 30% of position)
Reward: 0.0517 (≈12.5% gain).
R:R: 1:0.36 (conservative; trail stop here if hit).
#target 2: 0.6000 (mid-term, near chart's prior consolidation zone; partial exit 40%)
Reward: 0.1867 (≈45.2% gain).
R:R: 1:1.3 (improves as trade progresses; aligns with breakout projections).
#Target 3: 0.7000 (stretch target, near previous all-time high in the surge; exit remaining 30%)
Reward: 0.2867 (≈69.3% gain).
R:R: 1:2 (full trade average; potential for extension to 1.26 if altseason intensifies).
Stop-Loss: 0.2700
Placed just below the 24-hour low of 0.2764 for buffer against volatility, while respecting the recent swing low in the recovery phase. This protects against a retest of lower supports or renewed selling pressure.