### **Risk Management** - **Risk-Reward Ratio**: Minimum 1:3 (SL: 0.2240 vs. TP1: 0.2433). - **Position Size**: Allocate ≤5% of capital per trade. - **Exit Strategy**: Scale out 50% at TP1, 30% at TP2, and 20% at TP3.
**Note**: Monitor MACD/RSI for reversals, especially if RSI(6) exceeds 70 (overbought). Adjust TP/SL if price breaches BOLL bands decisively.
Disclaimer: Includes third-party opinions. No financial advice. May include sponsored content.See T&Cs.