$NEAR
Trade Plan for long Position: $NEAR
Trade Mode: Cross
Leverage: Full
Position Size: 1% of Wallet
Entry Points
Entry 1: Market Price
Entry 2: 4.9
Take Profit Targets
TP1: 50% of Position
TP2: 100% of Position
TP3: 200% of Position
Stop Loss Management
Upon reaching TP1, move the stop loss to the entry price. This locks in profits and safeguards against potential reversals.
Risk Management
1. Allocate only 1% of your wallet to this position to ensure responsible risk exposure.
2. Use minimal margin for optimal risk control. If adjusting the margin beyond the recommended level, be cautious and manage the additional risk carefully.
Strategy Overview
This plan aims to balance risk and reward effectively while maintaining strict trading discipline. Stay vigilant, monitor market conditions, and adjust your strategy as needed to respond to fluctuations. Always trade responsibly and within your risk tolerance.