CryptoNavigator
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Supplement, new script. Currently, it seems there will be a slight pullback, first reaching 113,300, and then falling by 10%, 113,300 × 0.9 = 101,190. The specific operation is to buy the dip in the range of 105,000-102,000, and if it falls below 98,000, it will drop to 94,000 and then rebound rapidly, oscillating between 100,000 and 113,000 for a month, and then rising above 130,000 from September to November.
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AltcoinKingvip:
Why will it rise first?
Mainstream Token has a plummet space of 7%-10%, and at that time, alts are at collective plummet risk. Please set conditional orders for take profit and stop loss. Holding a full hand of Spot alts is like being under a dangerous wall; set conditional orders for insurance to protect yourself. Why is there bearish sentiment in a bull run? A bull run is created by falls; without falls, what reason do market makers have to pump?
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In the short term, there is definitely no condition to break new highs within a month, so we can be bearish.
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CryptoNavigatorvip:
The supplementary bottom in the short term is 10.2-10.3, it can't go much lower.
The market makers have basically finished unloading their goods, and it will fall next because it won't break the new high. 10.8, 149, 2480. This is the top.
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好运常伴一生vip:
For ✅ air
#ETH The cost of 2617, if not at a stop loss of 2500, will result in getting liquidated at 2200. There are still 1-2 opportunities to rise to 2480-2510.
Personal opinion:
- If the position is not well managed, the theory should set a stop loss around 2560.
- Losing money has nothing to do with the leverage, it only relates to the total position.
- Opening 3x with full leverage, 20% of 10x, and opening 100x with 2-3% risk is the same; in fact, opening 3x with full leverage at 100% has even greater risk.
- What mindset for over 2600? #Contract
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Cold knowledge, the economy looks bad, but it is foreseeable that the A-shares will rise from 3200 points to 10,000 points within a few years. Just like the global economy looks bad, but BTC will rise from 90,000 to above 170,000 is the same reasoning.
Summary of reasons: China's productivity is strong, and although employment is poor, this is because many small and micro enterprises cannot survive efficiently. However, leading chain businesses are growing in scale, and compared to the global situation, China has been stabilizing and improving.
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Just say the answer for the Spot big cycle directly, take a screenshot and save it to verify around August.
#SOL bottom 115-122
#BTC Bottom 9.4-8.8
#ETH bottom 1850-1950
Long 137 to 144 in the short term, long 2300 to 2400, long 10.2 to 10.36. #Contract
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SniperBmvip:
hi my name is maad bne mustafa
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Just say the answer for the spot big cycle, screenshot it and save it, it should arrive around August.
#SOL Bottom 115-122
#BTC Bottom 9.4-8.8
#ETH Bottom 1850-1950
Short-term #合约 137 long to 144, 2300 long to 2420, 10.2 long to 10.38.
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AThoughtOfFlowersBlovip:
You act like a fool.
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The four-hour view shows a small rebound, while the 3-5 day outlook indicates a fall. Shorting at high levels is correct! Set your stop loss to guard against Long Wick Candle.
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Daytime Point
Short BTC from 106950 to 105200
Short SOL from 159.5 to 154
Short ETH from 2610 to 2535
For reference only $BTC $ETH $SOL #现货 # contract
long term point
Short BTC from 109100 to 104500
Short SOL from 163.5 to 151
Short ETH 2749 to 2480
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long term point
Short BTC from 109100 to 104500
Short SOL from 163.5 to 151
Short ETH 2749 to 2480
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Daytime Point
Short BTC from 106950 to 105200
Short SOL from 159.5 to 154
Short ETH from 2610 to 2535
For reference only
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six hours
BTC 106100 short target 105500
ETH 2593 short target 2530
SOL 149.6 short target 147
Pi 0.6495 empty target 0.622
Just add a little to your stop loss, and don't trade without a stop loss.
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ApplyForLeopardvip:
fighting fighting fighting let's get to work and do something fighting do do do do do do
#现货 # Contract Signal: #BTC cannot break through 10.7, will continue to fall below 10.3-9.5; if it breaks through 10.72 then stop loss. Next, it will continue to fall; 9.4-8.7 can buy the dip.
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Signal: BTC cannot break through 10.7, it will continue to fall below 10.3-9.5; if it breaks through 10.72, then stop loss. Next, it will continue to fall.
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In the next half of the year, I firmly hold a bullish view on mainstream tokens, and can build a position in batches at 1%-3% lower than the market price, waiting for a bountiful harvest in August, September, October, and November.
The A-shares will rise from 3200 points to at least 11,000 points in 3 years.
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Go long SOL at 157-154, stop loss 150, target 170-175.
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