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نور الحسینہ
14.3k Posts

نور الحسینہ

I Share Future Trade Setups based on my personal analysis and opinions. Always DYOR. Trader Analyst Researcher Learner.
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$VELVET come back guys 😨
$VELVET come back guys 😨
trade on $H guys prediction please
trade on $H guys prediction please
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📈 المتوسط 20 تقاطع للأعلى فوق 50. هذه إشارة صاعدة كلاسيكية بالنسبة لي. أنا أراقب $HANA . السعر ارتفع 8% ويصمد فوق المتوسط 200. الاتجاه على ساعة واحدة يتجه للأعلى. مؤشر القوة النسبية ليس في تشبع شراء بعد. خطتي هي شراء عند تراجع إلى المتوسط 20. نقطة الدخول: 0.03180 وقف الخسارة: 0.03130 جني الربح الأول: 0.03230 جني الربح الثاني: 0.03280 المخاطرة 0.0005. الهدف الثاني يعطيني 0.0010. هذا ضعف. أنتظر إعادة الاختبار.
📈 المتوسط 20 تقاطع للأعلى فوق 50. هذه إشارة صاعدة كلاسيكية بالنسبة لي.

أنا أراقب $HANA . السعر ارتفع 8% ويصمد فوق المتوسط 200. الاتجاه على ساعة واحدة يتجه للأعلى. مؤشر القوة النسبية ليس في تشبع شراء بعد.

خطتي هي شراء عند تراجع إلى المتوسط 20.

نقطة الدخول: 0.03180
وقف الخسارة: 0.03130
جني الربح الأول: 0.03230
جني الربح الثاني: 0.03280

المخاطرة 0.0005. الهدف الثاني يعطيني 0.0010. هذا ضعف.

أنتظر إعادة الاختبار.
📈 The 20 EMA just crossed above the 50. That is a classic bullish signal for me. I am watching $HANA . Price is up 8% and holding above the 200 EMA. The 1-hour trend is turning up. The RSI is not overbought yet. My plan is a long on a pullback to the 20 EMA. Entry: 0.03180 Stop Loss: 0.03130 Take Profit 1: 0.03230 Take Profit 2: 0.03280 Risk is 0.0005. TP2 gives me 0.0010. That is double. I wait for the retest.
📈 The 20 EMA just crossed above the 50. That is a classic bullish signal for me.

I am watching $HANA . Price is up 8% and holding above the 200 EMA. The 1-hour trend is turning up. The RSI is not overbought yet.

My plan is a long on a pullback to the 20 EMA.

Entry: 0.03180
Stop Loss: 0.03130
Take Profit 1: 0.03230
Take Profit 2: 0.03280

Risk is 0.0005. TP2 gives me 0.0010. That is double.

I wait for the retest.
📊 The price is above the three moving averages. This is a simple, clean bullish trend. $HFT has risen 9% and is trading near 0.01022. The 20 MA is above the 50 MA, and the 50 MA is above the 200 MA. The RSI is at 52, so there's plenty of room. I’ll be looking to buy on a slight dip. Entry point: 0.01010 Stop loss: 0.00990 First take profit: 0.01030 Second take profit: 0.01050 Risk is 0.0002. The second target gives 0.0004. A perfect 1 to 2 risk-reward ratio. I’ll let the structure guide me.
📊 The price is above the three moving averages. This is a simple, clean bullish trend.

$HFT has risen 9% and is trading near 0.01022. The 20 MA is above the 50 MA, and the 50 MA is above the 200 MA. The RSI is at 52, so there's plenty of room.

I’ll be looking to buy on a slight dip.

Entry point: 0.01010
Stop loss: 0.00990
First take profit: 0.01030
Second take profit: 0.01050

Risk is 0.0002. The second target gives 0.0004. A perfect 1 to 2 risk-reward ratio.

I’ll let the structure guide me.
📊 Price is above all three EMAs. That is a simple and clean uptrend. $HFT is up 9% and trading near 0.01022. The 20 EMA is above the 50, and the 50 is above the 200. The RSI is 52, so plenty of room. I am going long on a small dip. Entry: 0.01010 Stop Loss: 0.00990 Take Profit 1: 0.01030 Take Profit 2: 0.01050 Risk is 0.0002. TP2 gives 0.0004. Perfect 1 to 2. I let the structure guide me.
📊 Price is above all three EMAs. That is a simple and clean uptrend.

$HFT is up 9% and trading near 0.01022. The 20 EMA is above the 50, and the 50 is above the 200. The RSI is 52, so plenty of room.

I am going long on a small dip.

Entry: 0.01010
Stop Loss: 0.00990
Take Profit 1: 0.01030
Take Profit 2: 0.01050

Risk is 0.0002. TP2 gives 0.0004. Perfect 1 to 2.

I let the structure guide me.
⚠️ The RSI is currently at 66. Not in overbought territory yet, but getting close. I'm watching it closely. $BAN is up 8% and holding above the 20 MA. The 1-hour averages are nicely aligned. The trend is clearly bullish. My game plan is to buy on a dip. Entry point: 0.07550 Stop loss: 0.07400 First take profit: 0.07700 Second take profit: 0.07850 Risk is 0.0015. The second target gives 0.0030. That's a 2x. I'll keep my stop tight.
⚠️ The RSI is currently at 66. Not in overbought territory yet, but getting close. I'm watching it closely.

$BAN is up 8% and holding above the 20 MA. The 1-hour averages are nicely aligned. The trend is clearly bullish.

My game plan is to buy on a dip.

Entry point: 0.07550
Stop loss: 0.07400
First take profit: 0.07700
Second take profit: 0.07850

Risk is 0.0015. The second target gives 0.0030. That's a 2x.

I'll keep my stop tight.
⚠️ The RSI is 66. Not overbought yet. But getting close. I am watching carefully. $BAN is up 8% and holding above the 20 EMA. The 1-hour EMAs are stacked nicely. The trend is clearly up. My trade plan is a long on a pullback. Entry: 0.07550 Stop Loss: 0.07400 Take Profit 1: 0.07700 Take Profit 2: 0.07850 Risk is 0.0015. TP2 gives 0.0030. That is double. I keep my stop tight.
⚠️ The RSI is 66. Not overbought yet. But getting close. I am watching carefully.

$BAN is up 8% and holding above the 20 EMA. The 1-hour EMAs are stacked nicely. The trend is clearly up.

My trade plan is a long on a pullback.

Entry: 0.07550
Stop Loss: 0.07400
Take Profit 1: 0.07700
Take Profit 2: 0.07850

Risk is 0.0015. TP2 gives 0.0030. That is double.

I keep my stop tight.
🔍 The 20 MA is touching the price. This is dynamic support on the 1-hour chart. $BAS surged 8% and is trading at 0.03269. The 20 and 50 MAs are trending upwards. The 200 MA below acts as a solid floor. The RSI is at 52. Looking to enter a long here. Entry point: 0.03250 Stop loss: 0.03200 Take profit 1: 0.03300 Take profit 2: 0.03350 Risk 0.0005. The second target gives 0.0010. A perfect 1 to 2 risk-reward ratio. I'm buying the dip.
🔍 The 20 MA is touching the price. This is dynamic support on the 1-hour chart.

$BAS surged 8% and is trading at 0.03269. The 20 and 50 MAs are trending upwards. The 200 MA below acts as a solid floor. The RSI is at 52.

Looking to enter a long here.

Entry point: 0.03250
Stop loss: 0.03200
Take profit 1: 0.03300
Take profit 2: 0.03350

Risk 0.0005. The second target gives 0.0010. A perfect 1 to 2 risk-reward ratio.

I'm buying the dip.
🔍 The 20 EMA is touching the price. That is dynamic support on the 1-hour. $BAS is up 8% and trading at 0.03269. The 20 and 50 EMAs are sloping up. The 200 EMA is below acting as a floor. The RSI is 52. I am looking for a long entry here. Entry: 0.03250 Stop Loss: 0.03200 Take Profit 1: 0.03300 Take Profit 2: 0.03350 Risk is 0.0005. TP2 gives 0.0010. Perfect 1 to 2. I buy the dip.
🔍 The 20 EMA is touching the price. That is dynamic support on the 1-hour.

$BAS is up 8% and trading at 0.03269. The 20 and 50 EMAs are sloping up. The 200 EMA is below acting as a floor. The RSI is 52.

I am looking for a long entry here.

Entry: 0.03250
Stop Loss: 0.03200
Take Profit 1: 0.03300
Take Profit 2: 0.03350

Risk is 0.0005. TP2 gives 0.0010. Perfect 1 to 2.

I buy the dip.
💰 The 20 and 50 moving averages are pretty flat. But the price is holding above them. $DOOD has risen 9% and is trading close to 0.001549. The 200 moving average is down at 0.001525. This is a solid support zone. The Relative Strength Index is at 52. I plan to buy if it holds above 0.00154. Entry point: 0.001545 Stop loss: 0.001535 Take profit 1: 0.001555 Take profit 2: 0.001565 Risk is 0.000010. The second target gives a return of 0.000020. That's a double. I'll keep the trade small.
💰 The 20 and 50 moving averages are pretty flat. But the price is holding above them.

$DOOD has risen 9% and is trading close to 0.001549. The 200 moving average is down at 0.001525. This is a solid support zone. The Relative Strength Index is at 52.

I plan to buy if it holds above 0.00154.

Entry point: 0.001545
Stop loss: 0.001535
Take profit 1: 0.001555
Take profit 2: 0.001565

Risk is 0.000010. The second target gives a return of 0.000020. That's a double.

I'll keep the trade small.
💰 The 20 and 50 EMAs are almost flat. But price is holding above both. $DOOD is up 9% and trading near 0.001549. The 200 EMA is below at 0.001525. That is a good support zone. The RSI is 52. I am planning a long on a hold above 0.00154. Entry: 0.001545 Stop Loss: 0.001535 Take Profit 1: 0.001555 Take Profit 2: 0.001565 Risk is 0.000010. TP2 gives 0.000020. That is double. I keep it small.
💰 The 20 and 50 EMAs are almost flat. But price is holding above both.

$DOOD is up 9% and trading near 0.001549. The 200 EMA is below at 0.001525. That is a good support zone. The RSI is 52.

I am planning a long on a hold above 0.00154.

Entry: 0.001545
Stop Loss: 0.001535
Take Profit 1: 0.001555
Take Profit 2: 0.001565

Risk is 0.000010. TP2 gives 0.000020. That is double.

I keep it small.
🔥 The 20 MA is above the 50, and the 50 is above the 200. This is my go-to setup. $ZRO has risen 10% and is trading near 0.9107. The trend on the one-hour chart is very bullish. The RSI is at 55, so there's no overbought pressure. My plan is to buy on a retest of 0.90. Entry point: 0.9050 Stop loss: 0.8950 First take profit: 0.9150 Second take profit: 0.9250 Risk is 0.0100. The second target gives 0.0200. A perfect 1 to 2 risk-reward ratio. I'm following the trend.
🔥 The 20 MA is above the 50, and the 50 is above the 200. This is my go-to setup.

$ZRO has risen 10% and is trading near 0.9107. The trend on the one-hour chart is very bullish. The RSI is at 55, so there's no overbought pressure.

My plan is to buy on a retest of 0.90.

Entry point: 0.9050
Stop loss: 0.8950
First take profit: 0.9150
Second take profit: 0.9250

Risk is 0.0100. The second target gives 0.0200. A perfect 1 to 2 risk-reward ratio.

I'm following the trend.
🔥 The 20 EMA is above the 50. The 50 is above the 200. That is my favorite setup. $ZRO is up 10% and trading near 0.9107. The 1-hour trend is very bullish. The RSI is 55, so no overbought pressure. My plan is a long on a retest of 0.90. Entry: 0.9050 Stop Loss: 0.8950 Take Profit 1: 0.9150 Take Profit 2: 0.9250 Risk is 0.0100. TP2 gives 0.0200. Perfect 1 to 2. I follow the trend.
🔥 The 20 EMA is above the 50. The 50 is above the 200. That is my favorite setup.

$ZRO is up 10% and trading near 0.9107. The 1-hour trend is very bullish. The RSI is 55, so no overbought pressure.

My plan is a long on a retest of 0.90.

Entry: 0.9050
Stop Loss: 0.8950
Take Profit 1: 0.9150
Take Profit 2: 0.9250

Risk is 0.0100. TP2 gives 0.0200. Perfect 1 to 2.

I follow the trend.
📉 The price is hovering near the 20 moving average. I believe buyers are stepping in. $SSV has risen 9% and is trading at 2.229. The hourly moving averages are all trending upwards. The 200 MA is still way down at 2.123. That's solid support. I'm looking to buy on a bounce from 2.22. Entry point: 2.2200 Stop loss: 2.2000 First take profit: 2.2400 Second take profit: 2.2600 Risk is 0.0200. The second target gives 0.0400. That's a 2x. Waiting for confirmation.
📉 The price is hovering near the 20 moving average. I believe buyers are stepping in.

$SSV has risen 9% and is trading at 2.229. The hourly moving averages are all trending upwards. The 200 MA is still way down at 2.123. That's solid support.

I'm looking to buy on a bounce from 2.22.

Entry point: 2.2200
Stop loss: 2.2000
First take profit: 2.2400
Second take profit: 2.2600

Risk is 0.0200. The second target gives 0.0400. That's a 2x.

Waiting for confirmation.
📉 Price is hovering near the 20 EMA. I think buyers are stepping in. $SSV is up 9% and trading at 2.229. The 1-hour EMAs are all sloping up. The 200 EMA is far below at 2.123. That is strong support. I am going long on a bounce from 2.22. Entry: 2.2200 Stop Loss: 2.2000 Take Profit 1: 2.2400 Take Profit 2: 2.2600 Risk is 0.0200. TP2 gives 0.0400. That is double. I wait for confirmation.
📉 Price is hovering near the 20 EMA. I think buyers are stepping in.

$SSV is up 9% and trading at 2.229. The 1-hour EMAs are all sloping up. The 200 EMA is far below at 2.123. That is strong support.

I am going long on a bounce from 2.22.

Entry: 2.2200
Stop Loss: 2.2000
Take Profit 1: 2.2400
Take Profit 2: 2.2600

Risk is 0.0200. TP2 gives 0.0400. That is double.

I wait for confirmation.
🚨 The Relative Strength Index (RSI) is at 77. This indicates overbought conditions. However, strong trends can remain in overbought territory. $KGEN has surged 9% and is nearing its 24-hour peak. The hourly moving averages are perfectly aligned: 20 above 50, and 50 above 200. I'm planning to buy on a slight dip. Entry Point: 0.17200 Stop Loss: 0.17000 First Take Profit: 0.17400 Second Take Profit: 0.17600 Risk is 0.0020. The second target gives 0.0040. An ideal 1 to 2 risk-reward ratio. I respect the trend.
🚨 The Relative Strength Index (RSI) is at 77. This indicates overbought conditions. However, strong trends can remain in overbought territory.

$KGEN has surged 9% and is nearing its 24-hour peak. The hourly moving averages are perfectly aligned: 20 above 50, and 50 above 200.

I'm planning to buy on a slight dip.

Entry Point: 0.17200
Stop Loss: 0.17000
First Take Profit: 0.17400
Second Take Profit: 0.17600

Risk is 0.0020. The second target gives 0.0040. An ideal 1 to 2 risk-reward ratio.

I respect the trend.
🚨 The RSI is 77. That is overbought. But strong trends can stay overbought. $KGEN is up 9% and near its 24h high. The 1-hour EMAs are stacked perfectly. The 20 is above the 50, and the 50 is above the 200. I am planning a long on a small pullback. Entry: 0.17200 Stop Loss: 0.17000 Take Profit 1: 0.17400 Take Profit 2: 0.17600 Risk is 0.0020. TP2 gives 0.0040. Perfect 1 to 2. I respect the trend.
🚨 The RSI is 77. That is overbought. But strong trends can stay overbought.

$KGEN is up 9% and near its 24h high. The 1-hour EMAs are stacked perfectly. The 20 is above the 50, and the 50 is above the 200.

I am planning a long on a small pullback.

Entry: 0.17200
Stop Loss: 0.17000
Take Profit 1: 0.17400
Take Profit 2: 0.17600

Risk is 0.0020. TP2 gives 0.0040. Perfect 1 to 2.

I respect the trend.
🐶 The 20 moving average is above the 200. This is a golden cross on the one-hour chart. $BROCCOLI714 has risen 9% and is trading at 0.01339. The one-hour structure is turning bullish. The Relative Strength Index isn't showing any warning signs yet. I'm looking to buy on a dip to the 20 moving average. Entry point: 0.01330 Stop loss: 0.01310 Take profit 1: 0.01350 Take profit 2: 0.01370 Risk is 0.0002. The second target gives 0.0004. That's a double. I'll let the market prove me right or wrong.
🐶 The 20 moving average is above the 200. This is a golden cross on the one-hour chart.

$BROCCOLI714 has risen 9% and is trading at 0.01339. The one-hour structure is turning bullish. The Relative Strength Index isn't showing any warning signs yet.

I'm looking to buy on a dip to the 20 moving average.

Entry point: 0.01330
Stop loss: 0.01310
Take profit 1: 0.01350
Take profit 2: 0.01370

Risk is 0.0002. The second target gives 0.0004. That's a double.

I'll let the market prove me right or wrong.
🐶 The 20 EMA is above the 200. That is a golden cross on the 1-hour. $BROCCOLI714 is up 9% and trading at 0.01339. The 1-hour structure is turning bullish. The RSI is not showing any warning signs yet. I am looking for a long on a dip to the 20 EMA. Entry: 0.01330 Stop Loss: 0.01310 Take Profit 1: 0.01350 Take Profit 2: 0.01370 Risk is 0.0002. TP2 gives 0.0004. That is double. I let the market prove me right or wrong.
🐶 The 20 EMA is above the 200. That is a golden cross on the 1-hour.

$BROCCOLI714 is up 9% and trading at 0.01339. The 1-hour structure is turning bullish. The RSI is not showing any warning signs yet.

I am looking for a long on a dip to the 20 EMA.

Entry: 0.01330
Stop Loss: 0.01310
Take Profit 1: 0.01350
Take Profit 2: 0.01370

Risk is 0.0002. TP2 gives 0.0004. That is double.

I let the market prove me right or wrong.
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