I'm already in good profit from my $SIREN short. I closed some of it and brought it to the stop loss entry point. Now, no matter where the market goes, we won't lose!
Should you continue or close the trade? Let us know below. 📉
Artist_Traders
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Ανατιμητική
$SIREN Rally cracking under selling, sellers fading every rally. 📉
Shot Trade Position Entry Zone:0.75-0.71 TP1:0.58 TP2:0.46 TP3:0.35 Stop Loss(SL):0.80
Analysis Higher timeframe order block mitigated and flipped to supply, now third touch holding. Delta footprint heavily negative, FVG below unfilled – institutional selling clear, downside targeted.
Short positions on $SIREN are developing exactly according to the scenario we outlined. Resistance levels are being completely rejected, rebounds remain very controlled at lower highs, and sellers are still in full control of the short-term trend. At this stage, shifting the stop loss to the entry point is a completely logical and smart decision. The setups are working perfectly, so lock the position, zero risk, and let the trend run its course — that's clean and professional play.
Artist_Traders
·
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Ανατιμητική
$SIREN Rally cracking under selling, sellers fading every rally. 📉
Shot Trade Position Entry Zone:0.75-0.71 TP1:0.58 TP2:0.46 TP3:0.35 Stop Loss(SL):0.80
Analysis Higher timeframe order block mitigated and flipped to supply, now third touch holding. Delta footprint heavily negative, FVG below unfilled – institutional selling clear, downside targeted.
⚠️ $RAVE USDT Short Setup | Descending with caution? 📉
Current Price: 0.48708 USDT 24 hours: +65.12% (still very overheated) Looking at the chart, it looks like a short opportunity could be created here.
Why I'm thinking Short: There is strong resistance near 0.49670 (24h High) Price has risen +65% very quickly → Profit booking + correction is likely
Overbought zone is visible at current levels If it breaks below 0.487, then the next target could be in the 0.46 → 0.42 → 0.34 region
Short Entry Idea: Entry: 0.48700 – 0.49000 Among these
Stop Loss: 0.51800 (Above 24h High)
Take Profit 1: 0.46 Take Profit 2: 0.42 Take Profit 3: 0.34 ⚠️ High Risk Trade Volume is still very high (235M+), so a sudden pump may occur. Keep leverage low and be sure to manage risk.
Are you going short or still long? What is your plan? 👇