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📌 Strategy for Long and Short (perpetual futures)
🎯 Goal: Minimization of risks + stable profit.
📊 Indicators (15M timeframe):
- EMA(20) + EMA(50) – crossing upwards = signal for long, downwards = short.
- MACD (DIF > DEA) – trend confirmation.
- RSI(14) > 70 – overbought (short), RSI < 30 – oversold (long).
⚡ Entry rules:
- Long: EMA(20) > EMA(50) + MACD above zero + RSI < 30.
- Short: EMA(20) < EMA(50) + MACD below zero + RSI > 70.
❌ Exit:
- Lock in profits at 3-5% or if indicators reverse.
- Stop-loss 2% of the deposit.
📌 Leverage:
- x5-x10 (not more, to avoid liquidations).
💡 Example for ARB/USDT (based on current data):
- EMA(20) = 0.3316, EMA(50) = 0.3175 → EMA(20) above = potential long.
- RSI = 63.57 (not overbought yet, but close).
- MACD = 0.0053 (positive, but weak).
Now: Waiting for either a pullback (short when RSI > 70) or a breakout (long when RSI < 30 + strengthening MACD).
🚀 Important:
- Only futures (less influence from spot).
- Do not hold positions long – scalping!
- Risk per trade – no more than 1-2% of the deposit.
Friends, if this post is helpful – leave a ➕ in the comments! It motivates to do more analysis. 😊
⚠️ Not an investment advice. Educational material.
Activity: Readers, leave a ➕ in the comments if you read it all the way to the end! 🚀
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