업데이트됨
Two setups I am eyeing for BTC soon

My bias was bullish till 10000 and now in the last two weeks, BTC's failure to make a higher high on the daily or 3D or weekly with declining volume has reduced my bullish bias a tad bit. While I currently sit flat, I am observing the weekly with a huge interest. The accompanying weekly chart shows we are the apex of the triangle from June 2019 highs and March, 2020 bottoms. Its time BTC makes a decision this week or next. Hence, my set-ups are simple, break 10000 on the weekly close, and I enter long with. 14000 as target by end of June. I think 10500 will provide tough resistance but it will be over come.
On the short side, if we close below 9300 on the weekly, I will be targeting 7800 within a week. Short trades always happen quickly.
My setups are as below:
Long side:
1. Condition: Weekly close above or daily close above 10200
2. Target: 14000
3. Stop-loss: 9500
4. R:R: 8:1
Short side:
1. Condition: Weekly close below or daily close below 9300:
2. Target: 7800
3. Stop loss: 9700
4: R:R: 3.4
Declining volume on the daily hints more at the short trade getting triggered
On the short side, if we close below 9300 on the weekly, I will be targeting 7800 within a week. Short trades always happen quickly.
My setups are as below:
Long side:
1. Condition: Weekly close above or daily close above 10200
2. Target: 14000
3. Stop-loss: 9500
4. R:R: 8:1
Short side:
1. Condition: Weekly close below or daily close below 9300:
2. Target: 7800
3. Stop loss: 9700
4: R:R: 3.4
Declining volume on the daily hints more at the short trade getting triggered
액티브 트레이드
The 'long' and 'short' positions aren't positioned correctly in the charts. So, please be careful about it and read the text below. I will update this regularly액티브 트레이드
Short active from 9300 :-) Now we wait with buyStop at 9700액티브 트레이드
willl move stop-loss to 9300 for a break even trade at midnight UTC today. Double top confirmation and hence, expect it. to go down but a break up could be devastating also. So protecting capital here액티브 트레이드
Now, it’s become a risk free trade. So letting it go. My take profits are:
1. 15% at 8700 (done this morning)
2. 15% at 8500
3. 20% at 8200
Rest at target of 7800.
My rule of trading, always book profits.
거래청산: 스탑 닿음
stopped out overnight at 9300. Am I happy with the trade - yes. Made a 0.25R on this trade, even when the trade will go against me now.면책사항
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면책사항
이 정보와 게시물은 TradingView에서 제공하거나 보증하는 금융, 투자, 거래 또는 기타 유형의 조언이나 권고 사항을 의미하거나 구성하지 않습니다. 자세한 내용은 이용 약관을 참고하세요.