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Most traders are ignoring the 95% probability that TON is about to dump.
$TON /USDT - SHORT
Trade Plan:
Entry: 1.6931 – 1.7145
SL: 1.8062
TP1: 1.6270
TP2: 1.5758
TP3: 1.4989
Why this setup?
The daily trend is bearish, and the 4h timeframe confirms a SHORT bias with 95% confidence. RSI on the 15m is at 58—still room to drop before oversold. Entry zone is tight at 1.6931-1.7145, with TP1 at 1.6270. Why now? Because the 1h ATR of 0.0426 shows volatility is compressing, often preceding a sharp move.
Debate:
If TON breaks below 1.6931, are you shorting to TP1 or waiting for a retest?