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QUINGONGO ONLINE
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QUINGONGO ONLINE

Caçador de Recompensas
Otvorený obchod
Častý obchodník
Počet rokov: 4.1
73 Sledované
369 Sledovatelia
1K Páči sa mi
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Optimistický
$XAG {future}(XAGUSDT) This whale's liquidation price is super risky; gold and silver are both tanking. If silver drops to 54, he’s getting liquidated! Currently sitting on a 3.8M loss!
$XAG
This whale's liquidation price is super risky; gold and silver are both tanking. If silver drops to 54, he’s getting liquidated! Currently sitting on a 3.8M loss!
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Optimistický
$ACU {alpha}(560x6ef2ffb38d64afe18ce782da280b300e358cfeaf) SHORT 📉🔥 Entry: 0.0850 - 0.0865 Stop Loss: 0.0885 TP1: 0.0810 TP2: 0.0765 TP3: 0.0700 🔥 The rejection near the recent high, combined with fading bullish momentum, suggests buyers may be losing strength. Holding below 0.0865 could trigger a pullback toward the next support levels.
$ACU
SHORT 📉🔥

Entry: 0.0850 - 0.0865
Stop Loss: 0.0885

TP1: 0.0810
TP2: 0.0765
TP3: 0.0700

🔥 The rejection near the recent high, combined with fading bullish momentum, suggests buyers may be losing strength. Holding below 0.0865 could trigger a pullback toward the next support levels.
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Optimistický
$BTC {spot}(BTCUSDT) A dude even more badass than Liangxi has shown up, check out his entry price of 66700 for a short, and a liquidation price of 66884! Already sitting on a floating profit of over 2.3 million and hasn't taken profit yet! Now take a look at his total gains, raking in over 40 million! This kind of high-leverage play can make that much, it's truly unbeatable!
$BTC
A dude even more badass than Liangxi has shown up, check out his entry price of 66700 for a short, and a liquidation price of 66884! Already sitting on a floating profit of over 2.3 million and hasn't taken profit yet! Now take a look at his total gains, raking in over 40 million! This kind of high-leverage play can make that much, it's truly unbeatable!
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Optimistický
$CARV what's this, breakout moonshot
$CARV what's this, breakout moonshot
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Pesimistický
$CL {future}(CLUSDT) Crude oil, it's not a good time to short with the risk-reward ratio right now! Before the US-Iran conflict, crude was holding around 60! Now it's dropped to 69, a 41% decline over the past two months! All the bearish news is out, a ceasefire for 60 days has been signed, and the Strait of Hormuz is open! In the short term, it has basically bottomed out, and there's a high probability we will see a bounce back to around 80!
$CL
Crude oil, it's not a good time to short with the risk-reward ratio right now! Before the US-Iran conflict, crude was holding around 60! Now it's dropped to 69, a 41% decline over the past two months! All the bearish news is out, a ceasefire for 60 days has been signed, and the Strait of Hormuz is open!
In the short term, it has basically bottomed out, and there's a high probability we will see a bounce back to around 80!
CLUS+1,04%
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Optimistický
$SPK LONG 📈🔥 Entry: 0.0192 - 0.0196 Stop Loss: 0.0182 TP1: 0.0220 TP2: 0.0245 TP3: 0.0270 🔥 The explosive breakout above resistance, supported by strong volume and higher lows, suggests buyers have regained control. Holding above 0.0192 could attract additional momentum buyers and extend the rally toward the next targets. $SPK {spot}(SPKUSDT)
$SPK LONG 📈🔥

Entry: 0.0192 - 0.0196
Stop Loss: 0.0182

TP1: 0.0220
TP2: 0.0245
TP3: 0.0270

🔥 The explosive breakout above resistance, supported by strong volume and higher lows, suggests buyers have regained control. Holding above 0.0192 could attract additional momentum buyers and extend the rally toward the next targets.

$SPK
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Optimistický
$BLESS Pump and dump, breaking the tip loss, welcome to join the short squad.
$BLESS Pump and dump, breaking the tip loss, welcome to join the short squad.
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Optimistický
$PLAY Short 50x – Rejection zone is live. PLAY is stalling at the 0.03107–0.03132 area. I just entered Short 50x Isolated here. Trade Plan: - Entry: 0.03107 – 0.03132 - TP1: 0.03028 (R:R 1:0.7) - TP2: 0.02968 (R:R 1:1.2) - TP3: 0.02876 (R:R 1:2.0) - SL: 0.03241 Why this setup? - The 4h short setup remains active, with daily context still range-bound as price reacts from 0.03107–0.03132 near 0.03119. - 15m RSI sits at 40, leaving room for sellers to push lower. - 15m volume is at 4.00x, with 650.40K traded against 162.60K expected, confirming real sell-side participation. My call. Your execution. Trade here 👇 and Comment your target if you are in this trade. $PLAY {alpha}(84530x853a7c99227499dba9db8c3a02aa691afdebf841)
$PLAY Short 50x – Rejection zone is live.

PLAY is stalling at the 0.03107–0.03132 area. I just entered Short 50x Isolated here.

Trade Plan:
- Entry: 0.03107 – 0.03132
- TP1: 0.03028 (R:R 1:0.7)
- TP2: 0.02968 (R:R 1:1.2)
- TP3: 0.02876 (R:R 1:2.0)
- SL: 0.03241

Why this setup?
- The 4h short setup remains active, with daily context still range-bound as price reacts from 0.03107–0.03132 near 0.03119.
- 15m RSI sits at 40, leaving room for sellers to push lower.
- 15m volume is at 4.00x, with 650.40K traded against 162.60K expected, confirming real sell-side participation.

My call. Your execution.
Trade here 👇 and Comment your target if you are in this trade.

$PLAY
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Optimistický
$SYN is about to break 0.4, if you're not going long, try not to go short either.
$SYN is about to break 0.4, if you're not going long, try not to go short either.
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Pesimistický
The big player just liquidated the shorts by pushing the price up to $1 on the $M {future}(MUSDT) . Now it's gotta drop further. Too many retail traders are trying to catch the bottom and chase the longs. The whales are holding their zero-cost positions, and they’ll profit no matter when they sell. We can only ride the trend and short! Targeting 0.1!
The big player just liquidated the shorts by pushing the price up to $1 on the $M
. Now it's gotta drop further. Too many retail traders are trying to catch the bottom and chase the longs. The whales are holding their zero-cost positions, and they’ll profit no matter when they sell. We can only ride the trend and short! Targeting 0.1!
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Optimistický
$MU Short 50x – This fade remains clean. MU is fading from the 1224.03283–1228.66301 zone, so I opened Short 50x Isolated. Trade Plan: - Entry: 1224.03283 – 1228.66301 - TP1: 1209.67927 (R:R 1:0.7) - TP2: 1198.56684 (R:R 1:1.2) - TP3: 1181.89818 (R:R 1:2.0) - SL: 1248.57279 Why this setup? - 4h short bias stays intact, while daily context remains range-bound with price reacting from 1224.03283–1228.66301 near 1226.34792. - 15m RSI is at 48, showing neutral momentum that still allows downside continuation. - 15m volume is 0.79x, with 2.80K traded versus 3.57K expected, confirming real sell-side participation. My call. Your execution. Trade here 👇 and Comment the next chart you want me to break down. $MU {future}(MUUSDT)
$MU Short 50x – This fade remains clean.

MU is fading from the 1224.03283–1228.66301 zone, so I opened Short 50x Isolated.

Trade Plan:
- Entry: 1224.03283 – 1228.66301
- TP1: 1209.67927 (R:R 1:0.7)
- TP2: 1198.56684 (R:R 1:1.2)
- TP3: 1181.89818 (R:R 1:2.0)
- SL: 1248.57279

Why this setup?
- 4h short bias stays intact, while daily context remains range-bound with price reacting from 1224.03283–1228.66301 near 1226.34792.
- 15m RSI is at 48, showing neutral momentum that still allows downside continuation.
- 15m volume is 0.79x, with 2.80K traded versus 3.57K expected, confirming real sell-side participation.

My call. Your execution.
Trade here 👇 and Comment the next chart you want me to break down.
$MU
MUonAlpha
MUUS-7,32%
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Pesimistický
$RE {spot}(REUSDT) A3 Coin is still dumping, and it’s not even bouncing back anymore. We could see it hit 0.5 today.
$RE
A3 Coin is still dumping, and it’s not even bouncing back anymore. We could see it hit 0.5 today.
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Optimistický
guy's short $RE now Sell: $0.5800–$0.5900 | TP: $0.5500 / $0.5200 / $0.4800 | SL: $0.850
guy's short $RE now

Sell: $0.5800–$0.5900 | TP: $0.5500 / $0.5200 / $0.4800 | SL: $0.850
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Optimistický
$ID Short 50x – Rejection zone is live. ID is finally dropping from the 0.03997–0.04037 pocket. I just opened a Short 50x Isolated position. Trade Plan: - Entry: 0.03997 – 0.04037 - TP1: 0.03876 (R:R 1:0.7) - TP2: 0.03782 (R:R 1:1.2) - TP3: 0.03641 (R:R 1:2.0) - SL: 0.04205 Why this setup? - The 4h short structure remains intact, while the daily backdrop stays range-bound and price keeps rejecting from 0.03997–0.04037 near 0.04017. - The 15m RSI is at 41, indicating neutral momentum that still allows room for downside continuation. - 15m volume shows 0.69x, with 4.29M traded versus 6.24M expected, confirming real sell-side participation. My call. Your execution. Trade here 👇 and Comment which part you don’t understand, and I’ll explain it clearly. $ID {spot}(IDUSDT)
$ID Short 50x – Rejection zone is live.

ID is finally dropping from the 0.03997–0.04037 pocket. I just opened a Short 50x Isolated position.

Trade Plan:
- Entry: 0.03997 – 0.04037
- TP1: 0.03876 (R:R 1:0.7)
- TP2: 0.03782 (R:R 1:1.2)
- TP3: 0.03641 (R:R 1:2.0)
- SL: 0.04205

Why this setup?
- The 4h short structure remains intact, while the daily backdrop stays range-bound and price keeps rejecting from 0.03997–0.04037 near 0.04017.
- The 15m RSI is at 41, indicating neutral momentum that still allows room for downside continuation.
- 15m volume shows 0.69x, with 4.29M traded versus 6.24M expected, confirming real sell-side participation.

My call. Your execution.
Trade here 👇 and Comment which part you don’t understand, and I’ll explain it clearly.
$ID
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Optimistický
$AAVE {spot}(AAVEUSDT) going against the trend! It's the same old DeFi project and the same institutions calling the shots. Just look at UNI, hitting 100 wasn't a big deal. Let's keep stacking!
$AAVE
going against the trend! It's the same old DeFi project and the same institutions calling the shots. Just look at UNI, hitting 100 wasn't a big deal. Let's keep stacking!
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Optimistický
guy's long $TRUTH now with 10x leverage Buy: $0.0165–$0.0167 | TP: $0.0172 / $0.0178 / $0.0185 | SL: $0.0159
guy's long $TRUTH now with 10x leverage

Buy: $0.0165–$0.0167 | TP: $0.0172 / $0.0178 / $0.0185 | SL: $0.0159
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Pesimistický
$H Any pullback during a downtrend is considered a bull trap. Short-term traders can take one lot short with a stop-loss at 0.09, targeting a 50% drop!
$H Any pullback during a downtrend is considered a bull trap. Short-term traders can take one lot short with a stop-loss at 0.09, targeting a 50% drop!
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Optimistický
$ALLO Long 25x – Support is reacting exactly where expected. ALLO is finally reacting from the 0.40314–0.40596 zone. I just opened a Long 25x Isolated position. Trade Plan: - Entry: 0.40314 – 0.40596 - TP1: 0.41473 (R:R 1:0.8) - TP2: 0.42151 (R:R 1:1.2) - TP3: 0.43169 (R:R 1:2.0) - SL: 0.39098 Why this setup? - The 4h structure remains bullish, with daily context supporting upside as price responds from 0.40314–0.40596 near 0.40455. - The 15m RSI reads 49, indicating neutral momentum that still allows room for further gains. - 15m volume shows 0.50x, with 480.65K traded versus 963.12K expected, confirming real buy-side participation. My call. Your execution. Trade here 👇 and Comment the level you are watching, and I’ll share my view on it. $ALLO {spot}(ALLOUSDT)
$ALLO Long 25x – Support is reacting exactly where expected.

ALLO is finally reacting from the 0.40314–0.40596 zone. I just opened a Long 25x Isolated position.

Trade Plan:
- Entry: 0.40314 – 0.40596
- TP1: 0.41473 (R:R 1:0.8)
- TP2: 0.42151 (R:R 1:1.2)
- TP3: 0.43169 (R:R 1:2.0)
- SL: 0.39098

Why this setup?
- The 4h structure remains bullish, with daily context supporting upside as price responds from 0.40314–0.40596 near 0.40455.
- The 15m RSI reads 49, indicating neutral momentum that still allows room for further gains.
- 15m volume shows 0.50x, with 480.65K traded versus 963.12K expected, confirming real buy-side participation.

My call. Your execution.
Trade here 👇 and Comment the level you are watching, and I’ll share my view on it.
$ALLO
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Optimistický
With a staggering $LAB {future}(LABUSDT) 1700% fee, the shorts are definitely looking to consolidate for a while to rake in those trading fees. It’s a good time to jump in and ride the wave alongside the whales; we won't be dropping anytime soon!
With a staggering $LAB
1700% fee, the shorts are definitely looking to consolidate for a while to rake in those trading fees. It’s a good time to jump in and ride the wave alongside the whales; we won't be dropping anytime soon!
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Optimistický
$M Wow, this liquidation chart is insane! Over 2 million longs are waiting to be liquidated around 0.5, while the shorts' liquidation price has shot up to over 2 bucks. If you were a whale, which side would you blow up? Just short and be done with it!
$M Wow, this liquidation chart is insane! Over 2 million longs are waiting to be liquidated around 0.5, while the shorts' liquidation price has shot up to over 2 bucks. If you were a whale, which side would you blow up? Just short and be done with it!
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