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Conditions for entry and exit:
1. Timeframe: 15M (15 minutes) - to minimize noise and ensure clear signals.
2. Indicators:
- EMA(20) > EMA(50) - confirmation of an uptrend.
- MACD > 0 (histogram above zero) - buy signal.
- RSI(14) in the range of 55-65 - avoid overbought conditions.
3. Leverage: 2x-3x (minimum to reduce liquidation risk).
4. Entry points:
- We buy if the price retraces to EMA(20) (0.3235) and MACD/RSI confirm the growth.
- Stop-loss below EMA(50) (0.3197).
5. Exit points:
- Take-profit at 0.3406 (resistance).
- Close the position if RSI > 70 or MACD crosses down.
Hedging:
- Open a short position in spot (if there are assets) or through futures with 1x leverage if the trend reverses.
Risk management:
- No more than 1-2% of the deposit per trade.
- Mandatory stop-loss!
Why does this work today?
- ENA shows +3.24%, MACD and RSI support the growth.
- Market depth indicates liquidity up to 0.3406.
Important: This is an educational example, not investment advice! Trade consciously.
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