Trading plan $SKATE you should refer to (Specific ideas - Not financial advice)
☀️ Specific trading plan
1. Conservative swing (spot)
• Entry: wait for daily close > $0.07 (confirm breakout with volume).
• TP1: $0.11 — TP2: $0.15 (ATH zone).
• SL: daily close < $0.049 (or an appropriate risk %).
(Reason: avoid false breakout; wait for confirmation).
2. Aggressive / dip-buy
• Entry: buy in the range of $0.039–$0.042 (retest/accumulation zone according to multiple analyses).
• SL: 3–6% below entry range (e.g., SL = $0.037 or depending on your accepted risk ratio).
• TP: $0.07 first — gradually take profit.
(High reward if it bounces; risk is breaking ATL).
3. Futures / margin
• Avoid using high leverage unless you are a professional: funding volatile + 50x = high risk. If trading perp, use very small size, monitor funding & OI continuously.
⚠️ Risks & key points to monitor closely
• False breakout: breakout without volume → easy to get trapped.

• Funding rate & OI increases sharply → liquidation waves (short/long squeeze). Monitor funding & open interest in real-time.

• Unlock / on-chain supply / large wallet transfers → may create a dump. (need to check the unlock schedule of tokens on the vesting source).
• Liquidity of spot vs perp pairs: different - spread & slippage when entering large orders. #CreatorPad