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Timeframe: 1 hour (for balance between stability and response to trend)
Leverage: 2x (risk minimization while maintaining profit potential)
When to open a position?
1. Trend confirmation:
- EMA(20) > EMA(50) (based on current data: 5.432 > 5.269 — uptrend).
- RSI(14) < 70 (currently 77.756 — overbought, waiting for correction to 60-65).
2. Entry signals:
- MACD: DIF (0.184) crosses above DEA (0.114) after a pullback.
- Support/Resistance: Buy at level 5.570 (fibo level or zone of limit order accumulation).
3. Conditions:
- Trading volume USDC > $3 million for 24h (currently 3.71 million — sufficient liquidity).
When to close the position?
- Take-profit: 6.055 (maximum 24h) or +3% from the entry price.
- Stop-loss: 5.296 (lower support) or -1.5%.
- Emergency exit: If RSI > 80 or volume falls below $2 million.
Hedging:
- Parallel short on ICP/BUSD with 1x leverage, if MACD on 4H gives bearish divergence.
Why futures?
- No spot liquidation risk during sharp movements.
- Possibility of hedging through opposing positions.
Important:
- Do not use more than 5% of the deposit on one trade.
- Adjust stop-loss as the price rises (trailing).
Activity in comments
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Not an investment advice. Training and analysis.
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Data is current at the time of publication. Always check the current market situation.
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