#MyCOSTrade **ME/USDT**
* **Trade Signal**
* **Profit/Loss Potential**
* **Suggested SL (Stop-Loss) and TP (Take-Profit)** levels
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### 📈 **Chart Analysis Summary**
* **Current Price**: 1.068 USDT
* **24h Change**: **+25.06%** (very bullish)
* **24h High/Low**: 1.179 / 0.836
* **MA60 (Moving Average 60)**: 1.080 → currently above the price (a bearish signal short term)
* **MA(5) and MA(10)**: very close to each other around 27,394 vol — indicating short-term indecision or upcoming volatility
* **Volume spikes**: seen recently, likely signaling buying interest
* **Trend**: short-term **pullback or consolidation** after a spike, but overall **upward momentum**
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### 📊 **Trade Signal**
**Signal**: ✅ **BUY on minor pullback**
* The price has pulled back slightly after a strong rally.
* The 25% daily gain suggests momentum, and this small dip can offer a good entry point.
🎯 **Suggested Trade Plan**
1. **Entry Point**
* **Suggested Entry**: Around **1.06 – 1.07 USDT**
* You're currently near this level, so timing is good.
2. **Take-Profit (TP)**
* **TP1**: **1.14 USDT** – Slightly below recent high (safe target)
* **TP2**: **1.18 – 1.20 USDT** – Full retest of 24h high, more aggressive
3. **Stop-Loss (SL)**
* **SL1**: **1.00 USDT** – Just below recent local support
* **SL2**: **0.98 USDT** – Tighter risk tolerance if volatility increases
⚖️ **Risk-Reward Ratio**
* **Risk (SL @ 1.00)** = 1.068 - 1.00 = **0.068 USDT**
* **Reward (TP @ 1.14)** = 1.14 - 1.068 = **0.072 USDT**
* **Risk\:Reward Ratio** ≈ **1:1.05** — OK but slightly conservative. Better if aiming for TP2.
If you can afford a slightly wider SL and go for TP2, you'll improve this ratio to \~1:2, which is ideal.
🔍 Summary of Strategy
| Action | Price Level (USDT) |
| **Buy** | 1.06 – 1.07 |
| **TP1** | 1.14 |
| **TP2** | 1.18 – 1.20 |
| **SL** | 1.00 (tight) or 0.98 (safer) | #TrumpTariffs #BinanceAlphaAlert #EDGENLiveOnAlpha $ME