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1. Timeframe and indicators
- Timeframe: 1 hour (optimal for balancing noise and signal accuracy).
- Indicators:
- EMA(20) and EMA(50) – for trend. If EMA(20) crosses EMA(50) from bottom to top – a buy signal, and vice versa.
- MACD – trend confirmation. Crossing of DIF and DEA from bottom to top – long, from top to bottom – short.
- RSI(14) – oversold (<30) – entry into long, overbought (>70) – entry into short.
2. Leverage and risk management
- Leverage: x5–x10 (optimal for futures, reduces liquidation risk during volatility).
- Stop-loss: 1–2% of the deposit per trade.
- Take-profit: 3–5% (risk/reward ratio 1:3).
3. Hedging Strategy
- Open positions in both directions (long and short) on different pairs (for example, BTC/USDC and BTC/USDT) or use futures with different expiration dates.
- Example:
- Long on BTC/USDC with TP 104,500, SL 103,500.
- Short on BTC/USDT with TP 103,000, SL 104,000.
- Hedge risks if the market is unclear (for example, during sideways movements).
4. Additional tips
- Market depth: Monitor large orders (support/resistance levels).
- Volumes: Increasing volume confirms the strength of the trend.
Important!
- This is an educational post, not investment advice.
- Test the strategy on a demo account before real trading.
- Activity in comments ➕ – a signal for me that you are interested! If the post takes off, I will analyze more cases.
Readers, please leave at least one ➕ in the comments if you read to the end. Your activity is motivation for new analyses! 🚀
Crypto is a risk, but with smart strategies, you can reduce losses. Good luck in trading! 💰
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