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Prakash here- Crypto Enthusiast & Day trading Pro,Passionate about Price Action and sharing crypto market Insights as a proud Binance KOL || X - @INCOMECRYPTO24
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Portfolio
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$BTC Bias: Buy Entry: 88,400 Stop Below: 88,050 Targets: T1: 89,200 T2: 89,800 T3: 90,000+ Why: Sharp sell-off followed by aggressive reaction from demand Long lower wicks + volume spike = sellers dumping inventory, buyers stepping in Entry zone aligns with intraday demand and previous micro-structure break Liquidity sweep below recent lows already done. Market got what it wanted Risk-reward favors upside as long as 88k holds #BTC100kNext? {spot}(BTCUSDT) {future}(BTCUSDT)
$BTC

Bias: Buy

Entry: 88,400
Stop Below: 88,050

Targets:

T1: 89,200
T2: 89,800
T3: 90,000+

Why:

Sharp sell-off followed by aggressive reaction from demand
Long lower wicks + volume spike = sellers dumping inventory, buyers stepping in
Entry zone aligns with intraday demand and previous micro-structure break
Liquidity sweep below recent lows already done. Market got what it wanted

Risk-reward favors upside as long as 88k holds

#BTC100kNext?
$DASH TRADE ANALYSIS Bias: Sell Entry: 63.60 – 64.20 Stop: Above 65.00 Targets: T1: 59.00 T2: 57.50 T3: 55.80 Why: Clear bearish structure with lower highs and lower lows Strong impulsive sell-off followed by a weak corrective bounce Entry aligns with prior breakdown zone acting as resistance Volume supports distribution, not accumulation Liquidity below recent lows is the obvious magnet Risk: Countertrend only on lower TF, but structure favors continuation down. Keep size disciplined, no emotional averaging, no “it should bounce” narratives. #DASH/USDT {spot}(DASHUSDT) {future}(DASHUSDT)
$DASH TRADE ANALYSIS

Bias: Sell
Entry: 63.60 – 64.20
Stop: Above 65.00

Targets:

T1: 59.00
T2: 57.50
T3: 55.80

Why:

Clear bearish structure with lower highs and lower lows
Strong impulsive sell-off followed by a weak corrective bounce
Entry aligns with prior breakdown zone acting as resistance
Volume supports distribution, not accumulation
Liquidity below recent lows is the obvious magnet

Risk:

Countertrend only on lower TF, but structure favors continuation down. Keep size disciplined, no emotional averaging, no “it should bounce” narratives.

#DASH/USDT
CHZ Pullback Done, Next Pump Is Getting readyBias: Buy continuation Entry: 0.0490 – 0.0505 Stop loss: Below 0.0470 Targets: TP1: 0.0700 TP2: 0.0750 Why this works: Pullback is corrective, not impulsiveVolume expansion on the leg up, contraction on the pullback. Textbook behavior, annoyingly cleanClear R:R. You are not gambling, you are allocating risk like a responsible adult pretending to be fun Risk: Daily timeframe trade, so position size should respect the wider stop. No hero leverage. This is a continuation play, not a lottery ticket. #CHZ.智能策略库 #CHZAnalysis {spot}(CHZUSDT) {future}(CHZUSDT)

CHZ Pullback Done, Next Pump Is Getting ready

Bias: Buy continuation

Entry: 0.0490 – 0.0505
Stop loss: Below 0.0470

Targets:

TP1: 0.0700
TP2: 0.0750

Why this works:

Pullback is corrective, not impulsiveVolume expansion on the leg up, contraction on the pullback. Textbook behavior, annoyingly cleanClear R:R. You are not gambling, you are allocating risk like a responsible adult pretending to be fun

Risk:

Daily timeframe trade, so position size should respect the wider stop. No hero leverage. This is a continuation play, not a lottery ticket.

#CHZ.智能策略库 #CHZAnalysis
$RIF USDT – Trade Setup FUTURE SWING TRADE Bias: Short Entry: 0.0388 – 0.0395 Stop Loss: 0.0432 Target: 0.0285 Reason: Retrace into IDM + prior supply. Strong rejection wick, bearish structure intact. Downside BOS already defined, liquidity resting below. Risk: Invalidation only above supply high. Favorable R:R, patience required. #REZ #TradingSignals $RIF {future}(RIFUSDT) {spot}(RIFUSDT)
$RIF USDT – Trade Setup FUTURE SWING TRADE

Bias: Short

Entry: 0.0388 – 0.0395

Stop Loss: 0.0432

Target: 0.0285

Reason:

Retrace into IDM + prior supply. Strong rejection wick, bearish structure intact. Downside BOS already defined, liquidity resting below.

Risk:

Invalidation only above supply high. Favorable R:R, patience required.

#REZ #TradingSignals $RIF
income crypto
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$TREE FUTURE SCALP TRADE USE LOW LEVRAGE

Bullish continuation

Buy pullback 0.1040 – 0.1050
Stop 0.1000

Target

T1: 0.1085
T2: 0.1107

Why

Strong impulsive move, shallow pullback, higher lows holding. Momentum still in charge.

Risk

Valid only above 0.103. Lose that, idea evaporates.

Execute clean. Overthinking is not alpha.
{future}(TREEUSDT)
{spot}(TREEUSDT)
$KAIA RISKY FUTURE SCALP TRADE SETUP BUT SMALL STOP LOSS BIG TARGET Entry: 0.08702 Stop Loss: 0.0880 Targets: TP1: 0.0820 TP2: 0.0780 #Kaia {future}(KAIAUSDT)
$KAIA RISKY FUTURE SCALP TRADE SETUP BUT SMALL STOP LOSS BIG TARGET

Entry: 0.08702
Stop Loss: 0.0880

Targets:

TP1: 0.0820

TP2: 0.0780

#Kaia
$BERA SHORT SELL SETUP Bias Bearish continuation Entry 0.738 – 0.742 Stop 0.800 Targets T1: 0.640 T2: 0.560 T3: 0.445 Why Lower highs, weak bounce into supply, structure already broken Risk Invalid above 0.80. Trend trade, not a prediction. #BERA #SwingTrade {spot}(BERAUSDT) {future}(BERAUSDT)
$BERA SHORT SELL SETUP

Bias Bearish continuation
Entry 0.738 – 0.742

Stop 0.800

Targets

T1: 0.640
T2: 0.560
T3: 0.445

Why

Lower highs, weak bounce into supply, structure already broken

Risk

Invalid above 0.80. Trend trade, not a prediction.

#BERA #SwingTrade
$LPT WE KILL IT MY TRADER COMMUNITY PIN POINT ENTRY AND CONFIRM TARGET ENJOY PROFITS GUYS DONE FOR LUNCH .. MORE SUCH ANALYSIS WAITING FOR YOU MY COMMUNITY LETS TRADE TOGETHER AND GROW TOGETHER .. FOR CONFORMATION CONSIDER LINKED POST BELOW #SuccessfulSignal {spot}(LPTUSDT) {future}(LPTUSDT)
$LPT WE KILL IT MY TRADER COMMUNITY PIN POINT ENTRY AND CONFIRM TARGET ENJOY PROFITS GUYS DONE FOR LUNCH .. MORE SUCH ANALYSIS WAITING FOR YOU MY COMMUNITY LETS TRADE TOGETHER AND GROW TOGETHER .. FOR CONFORMATION CONSIDER LINKED POST BELOW

#SuccessfulSignal
income crypto
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$LPT Trade Setup

Bias: Buy on dip

Entry Zone: 3.10

Stop Loss: Below 3.00

Targets:

TP1: 3.40
TP2: 3.60

Reason:

Strong impulsive move up, followed by healthy consolidation. Price holding above demand zone. Looking for continuation after liquidity sweep and higher-low structure.

That’s it. Execute, manage risk, move on.

#LPT $LPT #Copytrading
{future}(LPTUSDT)
{spot}(LPTUSDT)
$STEEM USDT | 1D SURE SHOOT FUTURE AND SPOT TRADE Bias: Bullish swing → continuation Entry: NOW AT MARKET PRICE OR 0.0650 – 0.0660 Leverage 5× max. Don’t get brave. Stop Below 0.062 Targets T1: 0.0720 T2: 0.0780 T3: 0.0817 Why break of structure trade setup and waiting for bos line idm liquidity have been collected Risk Invalid below 0.0628. Size down, let time do the work This is a position, not a dopamine trade. #STEEM #LongOpportunity {future}(STEEMUSDT) {spot}(STEEMUSDT)
$STEEM USDT | 1D SURE SHOOT FUTURE AND SPOT TRADE

Bias: Bullish swing → continuation

Entry: NOW AT MARKET PRICE OR 0.0650 – 0.0660

Leverage 5× max. Don’t get brave.

Stop Below 0.062

Targets

T1: 0.0720
T2: 0.0780
T3: 0.0817

Why

break of structure trade setup and waiting for bos line idm liquidity have been collected

Risk
Invalid below 0.0628. Size down, let time do the work This is a position, not a dopamine trade.

#STEEM #LongOpportunity
$SPACE FUTURE SCALP TRADE {future}(SPACEUSDT) Entry 0.0188 – 0.0190 Stop 0.0177 Targets T1: 0.0205 T2: 0.0231 Why Strong impulse, clean pullback, demand holding. Risk Invalid below 0.0177. One idea, one stop. #TradeSignal
$SPACE FUTURE SCALP TRADE

Entry

0.0188 – 0.0190

Stop

0.0177

Targets

T1: 0.0205
T2: 0.0231

Why

Strong impulse, clean pullback, demand holding.

Risk

Invalid below 0.0177. One idea, one stop.

#TradeSignal
$TREE FUTURE SCALP TRADE USE LOW LEVRAGE Bullish continuation Buy pullback 0.1040 – 0.1050 Stop 0.1000 Target T1: 0.1085 T2: 0.1107 Why Strong impulsive move, shallow pullback, higher lows holding. Momentum still in charge. Risk Valid only above 0.103. Lose that, idea evaporates. Execute clean. Overthinking is not alpha. {future}(TREEUSDT) {spot}(TREEUSDT)
$TREE FUTURE SCALP TRADE USE LOW LEVRAGE

Bullish continuation

Buy pullback 0.1040 – 0.1050
Stop 0.1000

Target

T1: 0.1085
T2: 0.1107

Why

Strong impulsive move, shallow pullback, higher lows holding. Momentum still in charge.

Risk

Valid only above 0.103. Lose that, idea evaporates.

Execute clean. Overthinking is not alpha.
$LPT Trade Setup Bias: Buy on dip Entry Zone: 3.10 Stop Loss: Below 3.00 Targets: TP1: 3.40 TP2: 3.60 Reason: Strong impulsive move up, followed by healthy consolidation. Price holding above demand zone. Looking for continuation after liquidity sweep and higher-low structure. That’s it. Execute, manage risk, move on. #LPT $LPT #Copytrading {future}(LPTUSDT) {spot}(LPTUSDT)
$LPT Trade Setup

Bias: Buy on dip

Entry Zone: 3.10

Stop Loss: Below 3.00

Targets:

TP1: 3.40
TP2: 3.60

Reason:

Strong impulsive move up, followed by healthy consolidation. Price holding above demand zone. Looking for continuation after liquidity sweep and higher-low structure.

That’s it. Execute, manage risk, move on.

#LPT $LPT #Copytrading
Trade the edges or don’t trade it at all. Middle = trap.$ADA Context: Range-bound consolidation after impulsive sell Market Phase: Liquidity trap Bias: Neutral → Reactive (edge-based only) Current Market Structure ADA experienced a sharp impulsive sell, followed by a long horizontal consolidation. Price is now stuck between: Range High / Resistance: ~0.375 Range Low / Weekly Low Liquidity: ~0.345 This is a textbook compression range, where both breakout buyers and breakdown sellers get punished. Current price (~0.361) is dead center of the range, which is the worst possible location to take directional trades. Middle of the range = market tax for impatient traders. What the Chart Is Really Doing Price keeps oscillating without follow-through, confirming lack of dominance from both buyers and sellers. Every push up fails near resistance.Every push down finds bids before reaching weekly low liquidity.This behavior confirms a retail trap zone, exactly as you marked. The market is farming liquidity, not trending. Primary Plan: Buy Only at Range Low Entry Zone: 0.345–0.348 (weekly low liquidity sweep) Stop: Below 0.338 Targets: T1: 0.360 (range mid) T2: 0.372–0.375 (range high) Logic: If price sweeps weekly lows and reclaims, it signals stop-hunting and absorption. That’s where professionals buy, not in the middle. Secondary Plan: Sell Only at Range High Entry Zone: 0.372–0.375 (range resistance) Stop: Above 0.382 Targets: T1: 0.360T2: 0.348 Logic: Range highs are defending well. Until broken with volume and acceptance, selling supply makes sense. What NOT to Do Do not long in the middle of the range. Do not short in the middle of the range. Do not assume breakout direction without a liquidity event first. This is how traders slowly bleed while “being right” multiple times a day. Confirmation Triggers Bullish confirmation: Sweep below 0.345 → strong reclaim → hold above 0.350 Bearish confirmation: Acceptance below 0.345 on 1H close with follow-through Until one of these happens, direction is fake. TO TRADE CLICK HERE {spot}(ADAUSDT) #ADAAnalysis #TrapMove {future}(ADAUSDT)

Trade the edges or don’t trade it at all. Middle = trap.

$ADA

Context: Range-bound consolidation after impulsive sell

Market Phase: Liquidity trap

Bias: Neutral → Reactive (edge-based only)

Current Market Structure

ADA experienced a sharp impulsive sell, followed by a long horizontal consolidation.

Price is now stuck between:
Range High / Resistance: ~0.375
Range Low / Weekly Low Liquidity: ~0.345
This is a textbook compression range, where both breakout buyers and breakdown sellers get punished.
Current price (~0.361) is dead center of the range, which is the worst possible location to take directional trades.

Middle of the range = market tax for impatient traders.

What the Chart Is Really Doing

Price keeps oscillating without follow-through, confirming lack of dominance from both buyers and sellers.

Every push up fails near resistance.Every push down finds bids before reaching weekly low liquidity.This behavior confirms a retail trap zone, exactly as you marked.

The market is farming liquidity, not trending.

Primary Plan: Buy Only at Range Low

Entry Zone: 0.345–0.348 (weekly low liquidity sweep)

Stop: Below 0.338

Targets:

T1: 0.360 (range mid)
T2: 0.372–0.375 (range high)

Logic:

If price sweeps weekly lows and reclaims, it signals stop-hunting and absorption. That’s where professionals buy, not in the middle.

Secondary Plan: Sell Only at Range High

Entry Zone: 0.372–0.375 (range resistance)

Stop: Above 0.382

Targets:

T1: 0.360T2: 0.348
Logic:

Range highs are defending well. Until broken with volume and acceptance, selling supply makes sense.

What NOT to Do

Do not long in the middle of the range.
Do not short in the middle of the range.
Do not assume breakout direction without a liquidity event first.

This is how traders slowly bleed while “being right” multiple times a day.

Confirmation Triggers

Bullish confirmation:

Sweep below 0.345 → strong reclaim → hold above 0.350

Bearish confirmation:

Acceptance below 0.345 on 1H close with follow-through
Until one of these happens, direction is fake.
TO TRADE CLICK HERE

#ADAAnalysis #TrapMove
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ສັນຍານກະທິງ
income crypto
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ສັນຍານກະທິງ
$ENSO THANKS ME LATER FOR THE TRADE

ENSO / 5m

Bias: Buy (continuation)

Entry: 0.822 (range base / pullback)

Stop: 0.74 (below consolidation low)

Targets:

TP1: 0.92

TP2: 1.05–1.08

Why:

Strong impulsive move → healthy consolidation above base → no bearish displacement. Structure intact, buyers in control.

Risk:

Invalid if price loses the range and closes below support. No revenge trades.

That’s the setup. #ENSO $ENSO
{spot}(ENSOUSDT)
{future}(ENSOUSDT)
income crypto
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$THE Short Setup DRAGONFLY DOJI or LIQUIDITY SWEEP stretegy trade setup

Bias: short time bullish then Bearish the main trade

Entry: 0.255 – 0.260
Stop: 0.268
Targets:

TP1: 0.230

TP2: 0.210

TP3: 0.195

Reason:

Price pulling back into clear supply / distribution zone

Overall structure still lower highs, lower lows

Upside move looks like liquidity grab, not trend reversal

Weak momentum near resistance, downside liquidity below

Simple logic: premium sell → discount buy later.
No chasing. Let price come to our price

if you want you can open a long trade for targetting our entry price zone

{future}(THEUSDT)
#THE #Copytrading
income crypto
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🇺🇸 BlackRock offloads $22.3M in Bitcoin and $44.4M in Ethereum.
Institutions trimming risk, not abandoning crypto. Flow tells the story before price does. $DOGE

#Bitcoin #Ethereum #Markets $ETH
$BTC
{future}(BTCUSDT)
$SUI Trade Plan (Swing) Direction: BUY Entry 1.50 – 1.53 (current zone, demand + structure support) Stop Loss below 1.43 Daily close below this level invalidates the bullish thesis. Targets T1: 1.80 (mid-range resistance, partial profit) T2: 2.00 (previous reaction high) T3: 2.23–2.25 (major swing high liquidity) Why This Long Makes Sense Liquidity above is not yet taken. Markets don’t leave that unfinished. Pullback is controlled, not aggressive. Sellers lack momentum. Risk-to-reward is asymmetric. You risk cents to target dollars. Daily timeframe favors patience. Noise below does not matter. #SUİ Risk & Trade Management This is not a scalp. Expect time and sideways movement. Reduce exposure at T1 to pay yourself. Let runners aim for liquidity highs. If BTC loses structure hard, reassess. Correlation still matters. {future}(SUIUSDT) {spot}(SUIUSDT)
$SUI

Trade Plan (Swing)

Direction: BUY

Entry 1.50 – 1.53 (current zone, demand + structure support)

Stop Loss below 1.43

Daily close below this level invalidates the bullish thesis.

Targets

T1: 1.80 (mid-range resistance, partial profit)

T2: 2.00 (previous reaction high)

T3: 2.23–2.25 (major swing high liquidity)

Why This Long Makes Sense

Liquidity above is not yet taken. Markets don’t leave that unfinished.
Pullback is controlled, not aggressive. Sellers lack momentum.
Risk-to-reward is asymmetric. You risk cents to target dollars.
Daily timeframe favors patience. Noise below does not matter.

#SUİ

Risk & Trade Management

This is not a scalp. Expect time and sideways movement.
Reduce exposure at T1 to pay yourself.
Let runners aim for liquidity highs.

If BTC loses structure hard, reassess. Correlation still matters.
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ສັນຍານກະທິງ
$ENSO THANKS ME LATER FOR THE TRADE ENSO / 5m Bias: Buy (continuation) Entry: 0.822 (range base / pullback) Stop: 0.74 (below consolidation low) Targets: TP1: 0.92 TP2: 1.05–1.08 Why: Strong impulsive move → healthy consolidation above base → no bearish displacement. Structure intact, buyers in control. Risk: Invalid if price loses the range and closes below support. No revenge trades. That’s the setup. #ENSO $ENSO {spot}(ENSOUSDT) {future}(ENSOUSDT)
$ENSO THANKS ME LATER FOR THE TRADE

ENSO / 5m

Bias: Buy (continuation)

Entry: 0.822 (range base / pullback)

Stop: 0.74 (below consolidation low)

Targets:

TP1: 0.92

TP2: 1.05–1.08

Why:

Strong impulsive move → healthy consolidation above base → no bearish displacement. Structure intact, buyers in control.

Risk:

Invalid if price loses the range and closes below support. No revenge trades.

That’s the setup. #ENSO $ENSO
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