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Goal: Minimize risk, simple logic, use of indicators.

Tools: Only futures, Binance.

Timeframe: 1 hour (balance between noise and trend).

Strategy rules:

1. Conditions for entering LONG (buying):

- Price above EMA(50) (7.361).

- MACD histogram (0.048) is above zero and rising.

- RSI(14) (55.456) between 50 and 70 (no overbought).

2. Conditions for entering SHORT (selling):

- Price below EMA(20) (7.530).

- MACD histogram is below zero and falling.

- RSI(14) below 50.

3. Leverage: 2x (minimum to reduce liquidation risk).

4. Take-profit and stop-loss:

- Take-Profit: 1.5% from the entry price.

- Stop-Loss: 1% (strict risk control).

5. Closing the position:

- If RSI reaches 70 (for LONG) or 30 (for SHORT).

- If the price touches the opposite EMA (EMA(20) for SHORT, EMA(50) for LONG).

Example for today:

- Current price: 7.717.

- EMA(50): 7.361 → price above, MACD positive, RSI 55 → conditions for LONG.

- Opening LONG with 2x leverage, stop-loss 7.640 (-1%), take-profit 7.833 (+1.5%).

Important:

- Do not use high leverage — it increases risk.

- Strategy adapted to current data (indicators may change).

- Always check the relevance of signals before entering.

Why is this safe?

- Hedging through futures.

- Minimum leverage and strict stops.

- Clear rules based on indicators.

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This is educational material, not investment advice. Trade mindfully!

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