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1. Current state of the market 🧭

Current price: ≈ $0.00001678 – $0.00001682 (24h +≈9–10%).

24h volume: ≈ $600 – $645 M, with a recent peak of $2.9 T in CEX according to CoinDesk.

Market cap: ≈ $1.3 – $1.35 B.

Technical indicators: bullish breakout, with momentum above $0.000020 being possible, Supertrend and CMF in green zone, high on-chain activity retention.

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2. Objectives and conditions of the plan

Objectives

Short term: capture spontaneous rallies (+10–20%).

Medium term: follow trend until levels close to $0.000020–0.000028.

Long term: target at $0.000040+ if events like burning 1 T tokens after reaching 1 M holders are confirmed.

Entry conditions

Support level: $0.0000157–$0.0000162 according to volume structure.

Confirmation:

Price exceeding $0.0000168–$0.0000170 with high volume.

Indicators like CMF and Supertrend in positive trend.

Exit conditions / stop-loss

Initial stop-loss: just below support, at ~$0.0000155.

Take profits 30–50% upon reaching:

Intermediate zone: $0.000020.

High target: $0.000028.

Additional plus if token burn is effective (~$0.000035–$0.000040).

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3. Risk management

Allocation per trade: 1–3% of total capital, adjustable according to risk profile.

Leverage: avoid (spot trading without margin).

Diversification: do not overexpose, maintain other cryptos or stablecoins.

Continuous review: adjust stop-loss to 'breakeven + small profit' when price rises >10%.

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4. Key factors to monitor

On-chain: growth rate of holders; upon reaching 1 M, token burn will be activated.

Volume and support/demand: confirm healthy consolidations.

Relevant news: leveraged BONK ETF (September 2025), burn and important listings.

Macro context: Bitcoin price and overall market sentiment (currently Bitcoin ~110 k).

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5. Execution of trades

Step Action Reference price

1 Wait for daily close > $0.0000170 with volume > $0.0000170

2 Enter with limit or market order $0.0000168–$0.0000170

3 Set stop-loss at $0.0000155 -

4 Take staggered profits at $0.000020 and $0.000028 20–60%

5 Adjust stop-loss to break-even +5% when reaching $0.000020 -

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6. Follow-up strategy

Daily: review candle patterns, volume, and indicators (MACD/RSI/CMF).

Weekly: adjust objectives according to evolution, be attentive to fundamental news.

Events: ETF entry or burn in holders = opportunity to reevaluate long-term target.

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7. Final considerations

High volatility: potential profit is high, but so are the risks.

Discipline: stick to the stop-loss plan and target levels.

Update: review and update the plan every 1–2 weeks according to market evolution and news.

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🧠 In summary

Well-defined strategy with entries based on support/resistance levels and volume, stop-loss adjusted with discipline, and clear objectives: capture rally, follow trend until $0.000028 and consider rise to $0.000040 if triggering events materialize.

#Spot #trading #StrategicTrading #Bonk $BONK