📊 Trade Setup Overview

Pair: $IO /USDT

Type: Long (Buy)

Leverage: Cross, 50x

Risk Amount: 3% of portfolio

🎯 Entry Points

Primary Entry: 0.8580

Aggressive Entry (Deeper Pullback): 0.8380

🎯 Take-Profit Targets

TP1: 0.8890 (Initial Take Profit / Trailing Trigger)

TP2: 0.9300

TP3: 0.9800

🛑 Stop-Loss Configuration

Hard Stop: 0.8050

Risk Range (from 0.8580 to 0.8150): ~5.0%

Trailing Stop: Move SL to breakeven once TP1 (0.8890) is hit

📈 Risk-to-Reward (from Entry 0.8580)

To TP1 (0.8890): ~3.6% gain

To TP2 (0.9300): ~8.4% gain

To TP3 (0.9800): ~14.2% gain

To SL (0.8150): ~-5.0% loss

Risk-Reward Ratio (TP1): ~0.72

Risk-Reward Ratio (TP2): ~1.68

Risk-Reward Ratio (TP3): ~2.84

✅ Key Notes

Moving SL to breakeven at TP1 reduces risk dramatically.

50x leverage increases reward and risk — minor market fluctuations can trigger liquidation.

Use only 3% of capital to avoid major drawdown in case of SL hit.

A deeper pullback to 0.8380 might offer a better entry, but with slightly increased risk of hitting SL.

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