$PI #SummerCreationCamp



1. Market Context

· Trend: Strong bullish momentum (+9.13%).
· Price: $0.08270 (trading above all major MAs and EMAs).
· Volume: Healthy (27.51M PI traded).
· Momentum: Overbought territory (KDJ J: 95.80, MACD positive but DIF/DEA gap widening).

2. Trade Setup (Long Bias)

· Entry Zone: $0.07960–$0.08050 (pullback to MA5/EMA5 or previous breakout level).
· Stop-Loss: $0.07650 (below MA30 and recent swing low).
· Take-Profit Levels:
· TP1: $0.08510 (near recent high).
· TP2: $0.09060 (next resistance).
· TP3: $0.09500 (if momentum continues).

3. Risk Management

· Risk per trade: 1–2% of portfolio.
· Position size: Use 10x leverage cautiously (spot recommended, futures only with tight stop).
· Risk-Reward Ratio: ~1:2 to 1:3.

4. Key Observations

· Support: $0.07961 / $0.07682.
· Resistance: $0.08512 / $0.09064.
· Overbought: KDJ J>95 suggests possible short-term pullback—wait for retest before entering.

5. Execution Plan

· Entry Trigger: Price holds above $0.08000 after a dip.
· Trailing Stop: Activate at TP1, move stop to breakeven.
· Invalidation: Break below $0.07650 with volume.
PI7.14%
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