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1. Technical Analysis and Price Context

Current price ≈ 3.64 USD, fluctuating between 3.42–3.65 USD today.

Weekly range: +7% (from ~3.4 to 3.65 USD).

Key support level: ~3.30–3.40 USD, where it has bounced several times.

Visible resistance: ~3.80 USD (upper limit in short-term charts) and ~4.00 USD psychological.

Community insights (Reddit)

DOT has an annual inflation of ~10%, but "staking rewards (~15%) allow you to surpass it" only if you stake.

With the arrival of Polkadot 2.0, deflationary trends are expected due to the Burning coretime mechanism.

Great adoption: over 600,000 active addresses, strong implementations like Deloitte and KYX solutions.

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2. Plan Objective

Maximize profits in spot positions in the short/medium term (weeks to months).

Set staggered entries, risk management, and sustainable profit-taking.

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3. Entry Strategy

1. Partial purchase at support

Initial purchase (~30% of capital) between 3.40–3.50 USD.

2. Additional entry

If it falls to 3.30–3.40 USD, add another ~30% (likely rebound).

3. Rebalancing Field

If it exceeds 3.80–4.00 USD, wait for a pullback before new purchases.

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4. Active Risk Management

Dynamic stop-loss near 3.20 USD after initial entry.

Trailing stop of 10% after breaking 3.80 USD to protect profits.

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5. Benefit Objectives

Partial take-profit 1: at 4.00 USD (~10% upside from 3.64).

Partial 2: if it breaks 4.00 and reaches 4.30–4.50 USD, take another 30–40%.

Maintain residual (~20%) if there is a strong breakout along with the launch of Polkadot 2.0, to take advantage of a greater rally.

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6. Key Fundamental Signals

Polkadot 2.0 news (deflation, Agile Coretime).

Changes in the staking rate or inflation — reduction would support the price.

Increase in active addresses or business adoption.

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7. Staking vs. Spot

DOT is inflationary (~10%), but if you stake, you can get ~15% and surpass dilution.

If your horizon is medium/long term and you are not actively trading, consider staking it to mitigate inflation pressure.

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8. Periodic Review and Adjustments

Do a weekly check of the chart and news.

Adjust buy/sell levels if the price breaks ranges or volatility increases.

Evaluate adding more on strong pullbacks (~3.20 USD) if fundamentals remain solid.

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Quick Summary

Stage Action

Support Buy at 3.40–3.50 USD

Reinforce on drop Add at 3.30–3.40 USD (30%)

Stop-loss Initial at 3.20 USD

Partial take-profit 4.00 USD, then 4.30–4.50 USD

Residual Management Maintain 20% with trailing stop

Staking (optional) If you hold long-term, stake it

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This plan allows you to take advantage of current technical levels and fundamental events, balancing risk and potential profit.

#Spot #trading #StrategicTrading #dot $DOT