$US Signal】Long + Pullback Buy Logic


$US Sell order book depth exceeds buy side by 2.3x, signs of capital support near 0.0215 have not disappeared. 1H MACD bars continue to shorten, 4H bullish trend unbroken, funding rate 0.0278% remains positive, market still leaning toward short-term accumulation. Current risk-reward ratio about 1.5, suitable for a small stop-loss to play for a second intraday top.

🎯Direction: Long

⚡Entry/Order: 0.02149632 - 0.02156100

🛑Stop Loss: 0.02048295

🚀Target 1: 0.02317807

🚀Target 2: 0.02398661

🛡️Trade Management:
- Execution strategy: After reaching target 1, reduce position by 50% and move stop loss to breakeven. If price falls back to entry, exit automatically to protect principal.

The 4H Bollinger upper band 0.0220 was broken and has now fallen back inside the lower band. High-level turnover is sufficient, OI stable indicates positions have not left significantly. After short-term selling pressure is absorbed, a second rally may come.

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