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When the screen is filled with green light, what’s tested most isn’t your nerve, but whether you’ve already written the plan into your head ahead of time. Right after the early session was smashed down, $ZEC tore open the previous fake strength. Those earlier breakout attempts finally showed their true colors.
When I thought this move was completely done for, I reexamined ZEC’s rhythm: the rebound strength kept weakening, the overhead suppression didn’t loosen, there was no one to take bids once the price went up, and instead sell orders kept appearing. After seeing this shift, I set a long near 529.74 without chasing the volatility and clicking randomly.
Current price is down at 501.66, and closing the short position locks in +377.18%. This time, the rhythm was spot on. If it’s time to take profit, take it: first close 80%. The remaining 20% moves the protection level to around your entry cost—if it continues to dip, you can hold along with the move; if it suddenly rebounds, it still prevents profits from slipping away.
Profits don’t need to balloon, and drawdowns shouldn’t mean despair. The prerequisite for compounding is staying in the game. The urge to rush during a surge often just throws off your timing. If you haven’t entered yet, don’t chase the drop. When the next, more comfortable entry comes, I’ll alert you right away.
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