Trading conditions

- Timeframe: 1 minute (for maximum accuracy).

- Leverage: 2x–5x (minimizing risk).

- Instrument: Perpetual futures (USDT-M).

- Trading hours: High liquidity (European/American session).

📊 Strategy for LONG (buy)

Entry:

1. EMA(20) > EMA(50) (trend up).

2. MACD: DIF line crosses DEA from bottom to top.

3. RSI(14): 45–55 (neutral zone, avoid overbought).

4. Price: Correction to EMA(20) or support level (0.16281 according to current data).

Exit:

- Profit taking: +0.3–0.5% from the position.

- Stop-loss: -0.2% below EMA(20) or the nearest low.

📉 Strategy for SHORT (sell)

Entry:

1. EMA(20) < EMA(50) (trend down).

2. MACD: DIF line crosses DEA from top to bottom.

3. RSI(14): 55–65 (approaching overbought).

4. Price: Rebound from resistance (0.16478 according to current data).

Exit:

- Profit taking: +0.3–0.5%.

- Stop-loss: -0.2% above EMA(20) or the nearest high.

🛡 Risk management

- Trade volume: 1–2% of the deposit.

- Do not add to a losing position.

- Avoid news periods (increased volatility).

📌 Important

- This strategy is educational material, not investment advice.

- Test on a demo account before real trading.

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$DOGE

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