â Stop Loss: $0.0453 (-12%) | đ Breakeven: Adjust to $0.0515 after T1 Hit
âď¸ R:R: 1:3 (Auto-adjusted for risk tolerance)
đŹ Market Breakdown
đ Pattern: Potential Rebound from Support đś Indicators:
RSI: Neutral (55â65) đ
MACD: Bullish Crossover (DIF > DEA) â¨
Fib Levels: Key Resistance at 0.0538 (24h High) đ đ Catalysts: No explicit news, but high volatility post-ATH drop đ đĄ Sentiment: Mixed (Retail interest vs. Large Supply Overhang) đ vs. đ
đĄď¸ Risk Plan
đ Size: 2â3% Capital (Limit orders to avoid slippage)
đĽ Max Loss: 1% of Portfolio
đ Drawdown Hedge: Trailing Stop Loss at 3% below entry after T1 Hit
Fib Levels: Key support at 0.618 retracement ($0.0643) đ đ Catalysts: N/A (No explicit news; technical-driven move) đ đĄ Sentiment: Mixed (Retail bullish due to gains; whales may take profits) đ vs. đ
đĄď¸ Risk Plan
đ Size: 2% Capital (~5000 KMNO @ 10x Leverage)
đĽ Max Loss: 1% of Portfolio
đ Drawdown Hedge: Add trailing stoploss at 2% below entry after T1 hit