Short-Term ETH Trade Plan

Enter quickly, don't miss the opportunity

> This is not investment advice. Capital management first.

Buy Scenario (Breakout):

Entry: Hourly close above $4,780 with volume above average.

Targets: $4,900 then $5,050.

Stop Loss: Below $4,610.

Reason for the plan: Breakout of the daily range high and proximity of a momentum wave driven by ETF inflows/positive fundamentals.

Hedging Sell Scenario (Breakdown):

Entry: Clear break and hourly close below $4,610.

Targets: $4,480 then $4,360 (mid-range of the daily).

Stop Loss: Above $4,700.

Reason for the plan: Loss of short-term support and reversal of the day's momentum.

Risk Management: Position size 1–2% of capital, and take partial profits at the first target and move the stop to the entry point.

Why might the upward wave continue?

Presence of institutional demand channels (ETF), increasing network usage via L2 (high TVL), and significant accumulation reducing free supply — all supportive elements for the price if aligned with trading volume momentum.

$ETH

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