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PI/USDT spot chart, here is a concise trade plan:
$PI
Current Context (as of 07/06 ~11:00 UTC)
· Price: ~$0.11264 (trading inside a short-term range).
· Trend: Bearish bias (price below MA/EMA 10 & 30; MACD & DIF negative).
· Key Levels: Resistance ~$0.11439–0.11452; Support ~$0.11152.
Plan A: Range Scalp (Aggressive)
· Entry: Buy near $0.11160 (24h low) if price holds and shows a bullish rejection candle (e.g., hammer).
· Stop-Loss: Below $0.11100 (break of range).
· Take-Profit 1: $0.11350 (MA30 area).
· Take-Profit 2: $0.11440 (range high).
· Risk/Reward: ~1:2 (risk 0.60, reward 1.20–1.30).
Plan B: Breakout Continuation (Conservative)
· Entry (Short): Sell on a confirmed close below $0.11150 with rising volume.
· Stop-Loss: Above $0.11280 (recent pivot).
· Target: $0.10900 (next psychological/structural support).
· Risk/Reward: ~1:1.5.
Plan C: Breakout Reversal (If volume surges)
· Entry (Long): Buy if price breaks and closes above $0.11460 with strong volume.
· Stop-Loss: Below $0.11380.
· Target: $0.11600 (next resistance).
· Risk/Reward: ~1:1.5.
#VitalikUnveilsLeanEthereum
Critical Levels to Watch
· Resistance: 0.11439 / 0.11452 / 0.11612
· Support: 0.11152 / 0.11000 (psychological)
Indicators to Monitor
· MACD: Still negative → wait for a bullish crossover (DIF crossing above DEA) before going long.
· KDJ: K (30.8) > D (27.5), J at 37.4 → room to run but not oversold; a dip to 20 would be a better long entry.
· Volume: Low 24h turnover (~$492K) → avoid heavy size; use limit orders.
Risk Management
· Position size: Max 2–3% of account per trade.
· Time: Prefer entries during high liquidity sessions (e.g., 12:00–16:00 UTC).
· If price stays range-bound, wait for a clear breakout with volume before acting.
Final Call: Sideways with bearish tilt. Best entry is short on breakdown (Plan B) unless price shows a strong bounce off $0.11152 with increasing volume. Otherwise, wait for a clearer setup.