Short $SUI Ability to retest Entry: Short at 1.153-1.16 • Take Profit (TP) (split levels because the dump can be quick): • TP1: 1.13-1.14 (~2% profit, near low wick area). • TP2: 1.10-1.11 (~4%, middle of weak demand area). • TP3: 1.04-1.06 or extend to 1.00-1.02 if momentum is strong (weak low as per chart). • Stop Loss (SL): 1.175-1.185 (above high pink box + rejection zone, risk ~2-2.5%). If you want to be tighter then SL at 1.168.
Short $SOL preparing to reverse trend down Entry: Short at 104-106 • Take Profit (TP) (divide levels to lock gradually, as strong dump may happen quickly): • TP1: 102-103 (~2-3% profit, near low wick area). • TP2: 100-101 (~4-5%, weak demand area). • TP3: 96-98 or extend to 93-94 if momentum continues to dump (weak low as shown in the chart). • Stop Loss (SL): 108-110 (above the pink box area + nearest high, risk ~3-4%). If you want to be tighter then SL at 107.
Short $BNB How are you guys Entry: Short at 782-785 • Take Profit (TP) (divide into many levels to gradually lock profit): • TP1: 770-775 (~1-1.5% profit, nearest low area). • TP2: 755-760 (~3%, potential support area). • TP3: 740-745 or lower if momentum is strong (can extend to 720 if breakdown is deep). • Stop Loss (SL): 795-800 (above the short EMA area + nearest high, about 1.5-2% risk). If you want it tighter, then SL at 790.
Short $TAO , brothers, the market is dropping sharply
Entry: 199-201 (high close to or in the old light green area) then short. • Take Profit (TP) (gradually decreasing target, good RR): TP1: 192-194 (first extension, below weak low) → ~2-4% quick profit. TP2: 185.1-186 (main deep green level, close target) → ~6-8%. TP3: 180-182 (deeper extension if momentum is strong). • Stop Loss (SL) (must be set tight): • Aggressive: Above 202-203.2 (above the historical pink/colored area or weak high).
Short $DASH always some here Entry: Short at the current price ~46.4-46.5 • Take Profit (TP) (descending target levels, good RR): TP1: 44-42 (first extension, light green area below weak low) → ~4-8% profit. TP2: 40.00 (dark green level, main target nearby) → ~12-15%. TP3: 39.47 or deeper if dump continues (old low area). Partial TP at each level to lock profit, especially if volume increases dump. • Stop Loss (SL) (mandatory, protect capital): Aggressive: Above 48.50-48.82 (above the old pink/red area or nearest high). {future}(DASHUSDT)
Short $DASH always some here Entry: Short at the current price ~46.4-46.5 • Take Profit (TP) (descending target levels, good RR): TP1: 44-42 (first extension, light green area below weak low) → ~4-8% profit. TP2: 40.00 (dark green level, main target nearby) → ~12-15%. TP3: 39.47 or deeper if dump continues (old low area). Partial TP at each level to lock profit, especially if volume increases dump. • Stop Loss (SL) (mandatory, protect capital): Aggressive: Above 48.50-48.82 (above the old pink/red area or nearest high).
Short $ZEC signs of a strong decline Entry: Short immediately at the current price or a slight pullback to 312–315 • Take Profit (TP) (the target levels gradually decreasing, good risk:reward): TP1: 308–304 (light green zone, first extension) → ~2–3% profit. TP2: 300.83 (dark green level, main target nearby) → ~4–5%. TP3: 292–296 (deeper extension). Final TP (if momentum is strong): 285.10 or lower towards 280 (low demand zone). • Stop Loss (SL) (mandatory to protect capital): Conservative: Above 324–330 (above the old pink zone or the nearest high ~332).
Short at $SENT Entry: Short at 0.0400– 0.0415 • Stop Loss (SL): • Conservative: 0.0460 – 0.0470 (above Weak High + recent high wick, buffer wick to avoid short squeeze during strong pump). • Tighter: 0.0440 (if risk is low, below the red level nearby). • Take Profit (TP) (RR 1:2 to 1:3+, target pullback): • TP1: 0.0390 – 0.0400 (green highlighted area + recent mitigation) → ~1:2 RR, safe entry target. • TP2: 0.0360 – 0.0370 (orange/red area 0.03637–0.03667) → good RR if fading pump. • TP3 (stretch): 0.0330 – 0.0340 (light green area + extension) → if momentum fades strongly (volume decreases), large target.