#### **2. Risk Management** | Item | Details | |--------|----------| | **Stop Loss** | 0.0168 ( below DN Bollinger by 1.5%) | | **Adjust Stop** | 0.0172 after achieving +3% | | **Position Size** | 70% of the capital ( due to the strength of the signal ) |
### **⚡ Advanced Trading Tactics** 1. **buy out in stages:** - 50% at 0.0172 - 30% at 0.0170 - 20% when the MACD crosses upward
2. **Profit Taking:** - sell 30% at each target - Last 10% with a trailing stop of 3%
3. **Hedging:** - buy out a PUT Option contract at an exercise price of 0.0165 as collateral
---
### **⚠️ Basic Warnings** 1. **If OBV remains negative:** Reduce the position to 40% 2. **If the volume decreases <50M:** Avoid increasing positions 3. **Break 0.0168:** Immediate close of 80% of the trade
---
### **📌 Final Recommendation** > "Opportunity **once a year** to buy out: > - Enter **immediately** between 0.0170-0.0173 > - Stop Loss **0.0168** ( 1.5% Risk ) > - First target **0.0180** (+5.3%) within 24 hours > - Return/Risk Ratio **1:5**
**Critical Entry Signals:** - RSI at a 12-month low - Bollinger Bottom Test with Positive Divergence in MACD - The trading volume has started to improve (+223M OBV)
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### **Determine the ideal entry for XNY/USDT at 0.0171 - Exceptional buy out opportunity**
---
#### **📉 Technical Indicators Analysis ( Rare Buy Signals )**
| Indicator | Value | Significance | Evaluation |
|---------|--------|---------|---------|
| **Price** | 0.0171-0.0172 | at the lower range of Bollinger (DN: 0.01706) | 📌 Golden entry |
| **RSI(6)** | 13.24-19.32 | **Historical Selling Overbought** (Lowest level since 2023) | 🚀 Strong signal |
| **MACD** | -0.000086 | Convergence of lines for reversal | 📈 Imminent improvement |
| **Trading Volume** | 65.7M | Below average (MA5: 110M) | ⚠️ Needs confirmation |
| **OBV** | -5.12B to +223M | Sharp distribution but starting accumulation | 🔄 Mixed signal |
---
### **🎯 Smart Entry Plan ( Profit/Risk Ratio 1:5)**
#### **1. Ideal entry conditions**
- **Buy out range:** **0.0170 - 0.0173**
- *Required confirmations:*
- Closing an hourly candle above 0.0174
- Volume above 100M
- RSI improvement above 25
#### **2. Risk Management**
| Item | Details |
|--------|----------|
| **Stop Loss** | 0.0168 ( below DN Bollinger by 1.5%) |
| **Adjust Stop** | 0.0172 after achieving +3% |
| **Position Size** | 70% of the capital ( due to the strength of the signal ) |
#### **3. Strategic Profit Objectives**
| Goal | Price | Profit% | Duration |
|-------|-------|--------|-------|
| **Target 1** | 0.0180 | +5.3% | 12-24h |
| **Target 2** | 0.0189 | +10.5% | 2-3 days |
| **Goal 3** | 0.0200 | +17% | 5-7 days |
---
### **⚡ Advanced Trading Tactics**
1. **buy out in stages:**
- 50% at 0.0172
- 30% at 0.0170
- 20% when the MACD crosses upward
2. **Profit Taking:**
- sell 30% at each target
- Last 10% with a trailing stop of 3%
3. **Hedging:**
- buy out a PUT Option contract at an exercise price of 0.0165 as collateral
---
### **⚠️ Basic Warnings**
1. **If OBV remains negative:** Reduce the position to 40%
2. **If the volume decreases <50M:** Avoid increasing positions
3. **Break 0.0168:** Immediate close of 80% of the trade
---
### **📌 Final Recommendation**
> "Opportunity **once a year** to buy out:
> - Enter **immediately** between 0.0170-0.0173
> - Stop Loss **0.0168** ( 1.5% Risk )
> - First target **0.0180** (+5.3%) within 24 hours
> - Return/Risk Ratio **1:5**
**Critical Entry Signals:**
- RSI at a 12-month low
- Bollinger Bottom Test with Positive Divergence in MACD
- The trading volume has started to improve (+223M OBV)
**Note:** This deal is suitable for traders who:
- They endure short-term fluctuations of 2-3%
- They can follow the price every 4 hours.
- They have sufficient capital to buy out in stages.
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