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Navigating the LUNA2USDT Perpetual Contract on Binance 📈The world of cryptocurrency trading is vast, and platforms like Binance offer a plethora of tools to help traders make informed decisions. One such trading pair that has caught the attention of many is the LUNA2USDT perpetual contract. This interface provides a comprehensive view of the trading environment, showcasing essential metrics and real-time data. Understanding the Interface At the forefront of the LUNA2USDT trading interface is the current price of LUNA2, which, at the time of the screenshot, stands at 0.4003 USDT. This value represents the most recent transaction price for the cryptocurrency, offering traders a snapshot of the market's current state. Key Metrics The interface is laden with vital statistics: Price Change: LUNA2 has experienced a 6.67% decrease over the last 24 hours, highlighting recent volatility.24-Hour High and Low: Traders can see the highest and lowest prices reached within the last day, providing insight into the trading range.Trading Volume: With a trading volume of 53.78 million LUNA2, equivalent to 22.44 million USDT, traders can gauge market activity and liquidity.Technical Indicators Binance equips traders with a variety of technical indicators, including exponential moving averages (EMA) and candlestick charts. These tools are indispensable for those who rely on technical analysis to predict market movements. The candlestick chart, in particular, offers a visual representation of price action over specific time frames, making it easier to identify trends and potential reversal points. Making Informed Decisions Armed with this data, traders can make more informed decisions. The interface not only shows the current state of the market but also provides historical data and technical insights. This combination of information helps traders to strategize, whether they are day trading or holding long-term positions. Conclusion The LUNA2USDT perpetual contract trading interface on Binance is a powerful tool for both novice and experienced traders. By understanding and utilizing the information presented, traders can navigate the volatile waters of cryptocurrency with greater confidence and precision. As the market evolves, staying informed and leveraging these tools will be key to successful trading. #LUNA✅ #TRUMPOnBinanceFutures #SOLNewATH $LUNA {spot}(LUNAUSDT)

Navigating the LUNA2USDT Perpetual Contract on Binance 📈

The world of cryptocurrency trading is vast, and platforms like Binance offer a plethora of tools to help traders make informed decisions. One such trading pair that has caught the attention of many is the LUNA2USDT perpetual contract. This interface provides a comprehensive view of the trading environment, showcasing essential metrics and real-time data.
Understanding the Interface
At the forefront of the LUNA2USDT trading interface is the current price of LUNA2, which, at the time of the screenshot, stands at 0.4003 USDT. This value represents the most recent transaction price for the cryptocurrency, offering traders a snapshot of the market's current state.
Key Metrics
The interface is laden with vital statistics:
Price Change: LUNA2 has experienced a 6.67% decrease over the last 24 hours, highlighting recent volatility.24-Hour High and Low: Traders can see the highest and lowest prices reached within the last day, providing insight into the trading range.Trading Volume: With a trading volume of 53.78 million LUNA2, equivalent to 22.44 million USDT, traders can gauge market activity and liquidity.Technical Indicators
Binance equips traders with a variety of technical indicators, including exponential moving averages (EMA) and candlestick charts. These tools are indispensable for those who rely on technical analysis to predict market movements. The candlestick chart, in particular, offers a visual representation of price action over specific time frames, making it easier to identify trends and potential reversal points.
Making Informed Decisions
Armed with this data, traders can make more informed decisions. The interface not only shows the current state of the market but also provides historical data and technical insights. This combination of information helps traders to strategize, whether they are day trading or holding long-term positions.
Conclusion
The LUNA2USDT perpetual contract trading interface on Binance is a powerful tool for both novice and experienced traders. By understanding and utilizing the information presented, traders can navigate the volatile waters of cryptocurrency with greater confidence and precision. As the market evolves, staying informed and leveraging these tools will be key to successful trading.
#LUNA✅
#TRUMPOnBinanceFutures
#SOLNewATH

$LUNA
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Hot 🔥 Bitcoin Updates 🚨 GUYs 2024 is the year of $BTC and Halving is near HERE is some #BTC News Bitcoin market cap now exceed that of silver Stanford University's Blyth Fund has bought #Bitcoin with a 7% allocation of the total portfolio . Arizona Senate explores retirement funding strategy considering Bitcoin ETFs For state pensions Student in El Salvador learns how to run Bitcoin Node through Node Nation education program#treding #Doge
Hot 🔥 Bitcoin Updates 🚨
GUYs 2024 is the year of $BTC and Halving is near
HERE is some #BTC News
Bitcoin market cap now exceed that of silver
Stanford University's Blyth Fund has bought #Bitcoin with a 7% allocation of the total portfolio .
Arizona Senate explores retirement funding strategy considering Bitcoin ETFs For state pensions
Student in El Salvador learns how to run Bitcoin Node through Node Nation education program#treding #Doge
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Bajista
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Alcista
Artificial Intelligence has predicted the price of Chainlink (LINK) for June 30, 2024$LINK The decentralized oracle blockchain network Chainlink (LINK) has been gaining traction in recent times due to innovative developments in its ecosystem. Recently, this momentum has translated into a notable price increase, and the LINK token has reached a six-week high of nearly $18. Recently, however, the LINK token has faced a setback after encountering resistance. It is currently trading 23% below its annual high of $22.85, reached in March, and analysts are debating whether this is a correction or the start of a new uptrend. To provide clarity, we consulted CoinCodex's AI machine learning algorithms to predict the potential valuation of LINK at the end of the month. AI Forecasting and Market Sentiment AI algorithms predict a bullish future for Chainlink's short-term prospects. CoinCodex expects a potential 15% increase in the price of LINK, which is expected to reach $20.50 by June 30, despite a Greed Index of 73 indicating a potentially overheated market. Further fueling this bullish atmosphere are the discussions and positive sentiment towards Chainlink, which have been trending on Reddit lately. Analyst sees long-term potential Well-known crypto analyst Michael van De Poppe also recognizes bullish potential in the LINK token. His analysis suggests a possible 300% upside against Bitcoin (BTC) by 2025, with a key breaking point after LINK/BTC breaks above $0.000447. In addition, van De Poppe predicts that the LINK token could reach $25 or even $30 in the near future, although it could face strong resistance at $21 first. According to CoinMarketCap data updated at the time of publication, the LINK token was trading at $17.85, up 1.06% in the last 24 hours. Over the past month, the cryptocurrency has gained 25.25%. Overall, with bullish sentiment dominating LINK, the token's bulls need to prop up the price above the USD 17 support to realize steady upward momentum. However, given the inherent volatility of cryptocurrencies, conditions can change quickly. It is crucial for investors to perform comprehensive research and consider all factors before making any investment decisions. {spot}(LINKUSDT) #Binance #link #treding #Bitcoin #ETHEREUM

Artificial Intelligence has predicted the price of Chainlink (LINK) for June 30, 2024

$LINK

The decentralized oracle blockchain network Chainlink (LINK) has been gaining traction in recent times due to innovative developments in its ecosystem. Recently, this momentum has translated into a notable price increase, and the LINK token has reached a six-week high of nearly $18.
Recently, however, the LINK token has faced a setback after encountering resistance. It is currently trading 23% below its annual high of $22.85, reached in March, and analysts are debating whether this is a correction or the start of a new uptrend.
To provide clarity, we consulted CoinCodex's AI machine learning algorithms to predict the potential valuation of LINK at the end of the month.
AI Forecasting and Market Sentiment

AI algorithms predict a bullish future for Chainlink's short-term prospects. CoinCodex expects a potential 15% increase in the price of LINK, which is expected to reach $20.50 by June 30, despite a Greed Index of 73 indicating a potentially overheated market.
Further fueling this bullish atmosphere are the discussions and positive sentiment towards Chainlink, which have been trending on Reddit lately.
Analyst sees long-term potential
Well-known crypto analyst Michael van De Poppe also recognizes bullish potential in the LINK token. His analysis suggests a possible 300% upside against Bitcoin (BTC) by 2025, with a key breaking point after LINK/BTC breaks above $0.000447.

In addition, van De Poppe predicts that the LINK token could reach $25 or even $30 in the near future, although it could face strong resistance at $21 first.
According to CoinMarketCap data updated at the time of publication, the LINK token was trading at $17.85, up 1.06% in the last 24 hours. Over the past month, the cryptocurrency has gained 25.25%.

Overall, with bullish sentiment dominating LINK, the token's bulls need to prop up the price above the USD 17 support to realize steady upward momentum.
However, given the inherent volatility of cryptocurrencies, conditions can change quickly. It is crucial for investors to perform comprehensive research and consider all factors before making any investment decisions.


#Binance #link #treding #Bitcoin #ETHEREUM
Pi Network, the mobile cryptocurrency project that has captivated millions since its inception in 2019, is on the brink of a monumental transformation. As it gears up for its open Mainnet launch this year (2024), we delve into the top 10 reasons why this milestone is poised to revolutionize the crypto landscape. 1. Community Growth and Engagement: Pi Network boasts a massive and devoted community eagerly awaiting its Mainnet launch. This event will not only reward their dedication but also strengthen their belief in the project’s vision, fostering even deeper engagement. 2. Enhanced Security and Stability: The transition to an open Mainnet signifies a commitment to heightened security and stability. Rigorous testing and vulnerability resolutions prior to launch ensure a solid foundation for users to rely on. 3. Decentralization and Governance: Embracing a democratic governance model empowers users to actively participate in decision-making. This fosters a sense of ownership and decentralization, strengthening community bonds. 4. Developer Ecosystem: An open Mainnet beckons developers and entrepreneurs to innovate on the Pi Network. This burgeoning ecosystem will diversify functionalities, driving adoption and enriching user experiences. 5. Market Competitiveness: Launching amidst a dynamic crypto landscape positions Pi Network competitively. Timing is crucial, and June’s launch presents an opportunity to capture market share and investor interest. 6. Trust and Transparency: A successful Mainnet launch underscores Pi Network’s credibility and transparency. It demonstrates the team’s ability to deliver on promises, instilling confidence in users and investors alike. The open Mainnet launch heralds a new era for Pi Network, marking a pivotal step towards realizing its vision of a decentralized digital economy. With robust security, enhanced scalability, and tangible real-world utility, Pi Network is poised to redefine the crypto landscape and cement its position as a frontrunner in the industry #pi #DYM #treding #trending2024
Pi Network, the mobile cryptocurrency project that has captivated millions since its inception in 2019, is on the brink of a monumental transformation. As it gears up for its open Mainnet launch this year (2024), we delve into the top 10 reasons why this milestone is poised to revolutionize the crypto landscape.

1. Community Growth and Engagement: Pi Network boasts a massive and devoted community eagerly awaiting its Mainnet launch. This event will not only reward their dedication but also strengthen their belief in the project’s vision, fostering even deeper engagement.

2. Enhanced Security and Stability: The transition to an open Mainnet signifies a commitment to heightened security and stability. Rigorous testing and vulnerability resolutions prior to launch ensure a solid foundation for users to rely on.

3. Decentralization and Governance: Embracing a democratic governance model empowers users to actively participate in decision-making. This fosters a sense of ownership and decentralization, strengthening community bonds.

4. Developer Ecosystem: An open Mainnet beckons developers and entrepreneurs to innovate on the Pi Network. This burgeoning ecosystem will diversify functionalities, driving adoption and enriching user experiences.

5. Market Competitiveness: Launching amidst a dynamic crypto landscape positions Pi Network competitively. Timing is crucial, and June’s launch presents an opportunity to capture market share and investor interest.

6. Trust and Transparency: A successful Mainnet launch underscores Pi Network’s credibility and transparency. It demonstrates the team’s ability to deliver on promises, instilling confidence in users and investors alike.

The open Mainnet launch heralds a new era for Pi Network, marking a pivotal step towards realizing its vision of a decentralized digital economy. With robust security, enhanced scalability, and tangible real-world utility, Pi Network is poised to redefine the crypto landscape and cement its position as a frontrunner in the industry

#pi #DYM #treding #trending2024
If you're referring to Bitcoin (BTC) reaching ₹1 lakh or $100,000, it hasn't hit those levels yet (as of the last updates in December 2024). However, Bitcoin's price fluctuates rapidly, driven by market demand, macroeconomic factors, and adoption trends. Would you like me to check its current price or provide a forecast analysis?#BTC☀ #treding #binance #BTC☀ hits on 1 lakh $BTC #yakubjuneja
If you're referring to Bitcoin (BTC) reaching ₹1 lakh or $100,000, it hasn't hit those levels yet (as of the last updates in December 2024). However, Bitcoin's price fluctuates rapidly, driven by market demand, macroeconomic factors, and adoption trends.

Would you like me to check its current price or provide a forecast analysis?#BTC☀ #treding #binance #BTC☀ hits on 1 lakh $BTC #yakubjuneja
Decoding the Strategy of a Crypto Influencer: From Coin Analysis to Investment Advisory (Part 1)In the fast-paced world of cryptocurrency, influencers wield significant power over the market sentiment and investment decisions of their followers. Recently, one particular influencer has caught the attention of many within the crypto community due to his strategic approach to content creation and investment advice. Upon closer examination of his posts, a clear sequence of actions emerges, shedding light on his modus operandi. First and foremost, he dedicates considerable time to analyzing a specific coin, often spanning an entire month. This meticulous examination not only establishes him as an authority on the coin but also cultivates a loyal audience around it. Following this initial phase, he cleverly pivots to comparative analysis, juxtaposing the previously analyzed coin with another. By targeting different communities, he expands his reach and diversifies his audience base. In a bold move, he transitions from coin analysis to exposing truths about other creators, garnering attention and perhaps stirring controversy within the crypto space. Moreover, he positions himself as a savior against scams, notably cautioning against investments in coins like $STRK and $PORTAL listed on Binance. This proactive stance earns him the reputation of an investment advisor, further solidifying his influence. Venturing into the realm of airdrops, he taps into the allure of free tokens, enticing his followers with potential rewards. However, his most recent recommendation not to buy $WIF hints at a deeper strategy. Through continuous and indirect targeting of the bear market, he subtly guides his audience away from potential losses, thereby reinforcing his credibility as a trusted advisor. Remarkably, his analysis on these coins often precedes short selling activities, enabling his followers to capitalize on market movements and reap substantial profits. Consequently, he emerges as the primary advisor for short sellers on futures, a role that garners him significant tips and further enhances his prominence within the crypto community. In conclusion, this influencer's systematic approach to content creation and investment advice underscores the complexities of navigating the volatile landscape of cryptocurrency. By leveraging his expertise and strategic insights, he not only shapes market trends but also empowers his followers to make informed decisions in an ever-evolving ecosystem. 🪷 #HotTrends #BinanceSquareCreators #Treding #Salid @salid

Decoding the Strategy of a Crypto Influencer: From Coin Analysis to Investment Advisory (Part 1)

In the fast-paced world of cryptocurrency, influencers wield significant power over the market sentiment and investment decisions of their followers. Recently, one particular influencer has caught the attention of many within the crypto community due to his strategic approach to content creation and investment advice.

Upon closer examination of his posts, a clear sequence of actions emerges, shedding light on his modus operandi. First and foremost, he dedicates considerable time to analyzing a specific coin, often spanning an entire month. This meticulous examination not only establishes him as an authority on the coin but also cultivates a loyal audience around it.
Following this initial phase, he cleverly pivots to comparative analysis, juxtaposing the previously analyzed coin with another. By targeting different communities, he expands his reach and diversifies his audience base.

In a bold move, he transitions from coin analysis to exposing truths about other creators, garnering attention and perhaps stirring controversy within the crypto space.
Moreover, he positions himself as a savior against scams, notably cautioning against investments in coins like $STRK and $PORTAL listed on Binance. This proactive stance earns him the reputation of an investment advisor, further solidifying his influence.
Venturing into the realm of airdrops, he taps into the allure of free tokens, enticing his followers with potential rewards.
However, his most recent recommendation not to buy $WIF hints at a deeper strategy. Through continuous and indirect targeting of the bear market, he subtly guides his audience away from potential losses, thereby reinforcing his credibility as a trusted advisor.
Remarkably, his analysis on these coins often precedes short selling activities, enabling his followers to capitalize on market movements and reap substantial profits. Consequently, he emerges as the primary advisor for short sellers on futures, a role that garners him significant tips and further enhances his prominence within the crypto community.
In conclusion, this influencer's systematic approach to content creation and investment advice underscores the complexities of navigating the volatile landscape of cryptocurrency. By leveraging his expertise and strategic insights, he not only shapes market trends but also empowers his followers to make informed decisions in an ever-evolving ecosystem.
🪷
#HotTrends #BinanceSquareCreators #Treding #Salid @Salid
It will be on the market in 1 hour and trading will begin! My Price Estimate is as follows; It opens at 0.14 and will show a 400% chart growth and can reach the $0.64 level. Try your luck 🍀 #treding #bitcoinhalving
It will be on the market in 1 hour and trading will begin!
My Price Estimate is as follows; It opens at 0.14 and will show a 400% chart growth and can reach the $0.64 level. Try your luck 🍀 #treding #bitcoinhalving
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Alcista
Landshare: Bridging Real Estate and Blockchain! Ever dreamt of owning a piece of real estate on the blockchain? Landshare makes it possible with Real Estate #NFTs—digitally representing tangible properties. 🚀💡 How it Works: 🏠 Real Estate NFTs: 3D models of properties on the blockchain. 💰 #RWA Tokens: Yields from investments. 🌐 $LAND Tokens: Additional rewards, fostering inclusivity. Benefits: 🔄 Diversifies Investments. 🌍 Inclusive Ecosystem. 🔜 NFT migration process finalizing soon! Get ready to invest in #RealEstate with the synergy of blockchain on Landshare! #treding
Landshare: Bridging Real Estate and Blockchain!

Ever dreamt of owning a piece of real estate on the blockchain? Landshare makes it possible with Real Estate #NFTs—digitally representing tangible properties. 🚀💡

How it Works:

🏠 Real Estate NFTs: 3D models of properties on the blockchain.
💰 #RWA Tokens: Yields from investments.
🌐 $LAND Tokens: Additional rewards, fostering inclusivity.
Benefits:

🔄 Diversifies Investments.
🌍 Inclusive Ecosystem.
🔜 NFT migration process finalizing soon!
Get ready to invest in #RealEstate with the synergy of blockchain on Landshare!

#treding
Stop-loss va take -profit darjalarni belgilash.--- **Stop-loss** va **take-profit** darajalari treyderlar uchun o'z savdolarini qachon tugatish kerakligini belgilashda yordam beruvchi ikki muhim tushunchadir. Ushbu chegaralar an'anaviy va kripto bozorlarida qo'llaniladi va texnik tahlilni afzal ko'radigan treyderlar orasida ayniqsa mashhurdir. **Kirish** Bozorni vaqtida aniqlash - bu investorlar va treyderlar bozor narxlarini oldindan bashorat qilishga va aktivlarni sotib olish yoki sotish uchun optimal narx darajasini topishga harakat qiladigan strategiyadir. Ushbu yondashuv ostida, bozordan chiqish vaqtini to'g'ri aniqlash juda muhim. Bu yerda stop-loss va take-profit darajalari paydo bo'ladi. **Stop-loss** va **take-profit** darajalari treyderlar o'zlari uchun oldindan belgilab oladigan narx maqsadlaridir. Ko'pincha intizomli treyderlarning chiqish strategiyasining bir qismi sifatida ishlatiladigan ushbu oldindan belgilangan darajalar emotsional savdoni minimal darajaga tushirish va xavflarni boshqarishda muhim rol o'ynash uchun mo'ljallangan. ### Stop-loss va take-profit darajalari **Stop-loss** (SL) darajasi - bu aktivning oldindan belgilangan narxi bo'lib, u joriy narxdan pastroq o'rnatiladi. Bu darajada, treyderlar o'z pozitsiyasini yopish orqali yo'qotishni cheklashadi. Buning aksi, **take-profit** (TP) darajasi - bu treyderlar foydali pozitsiyani yopish uchun oldindan belgilangan narx. Real vaqt rejimida bozor buyurtmalaridan foydalanish o'rniga, treyderlar ushbu darajalarni belgilash orqali avtomatik ravishda sotishni amalga oshirishi mumkin, bozorlarni 24/7 kuzatib turishga hojat qolmaydi. Masalan, Binance Futures-da **Stop Order** funksiyasi mavjud bo'lib, unda stop-loss va take-profit buyurtmalari birlashtirilgan. Buyurtma joylashtirilganda, tizim tetik narxlari va oxirgi narx yoki belgilangan narxga asoslanib, buyurtma stop-loss yoki take-profit ekanligini aniqlaydi. ### Nega stop-loss va take-profit darajalaridan foydalanish kerak? #### Xavf boshqaruvini amalga oshirish SL va TP darajalari bozorning joriy dinamikasini aks ettiradi va kimki ularning optimal qiymatlarini to'g'ri aniqlashni bilsa, u qoniqarli savdo imkoniyatlarini va maqbul xavf darajalarini aniqlamoqda. SL va TP darajalarini qo'llash orqali xavfni baholash, portfelingizni saqlab qolishda va uni rivojlantirishda muhim rol o'ynashi mumkin. Siz faqat xavfi kamroq savdolarga ustuvorlik berib, xoldinglaringizni himoya qilayotganingiz bilan emas, balki portfelingizni butunlay yo'qotishdan saqlab qolayotganingiz bilan ham sistematik ravishda himoya qilasiz. Shuning uchun ko'plab treyderlar SL va TP darajalarini o'zlarining xavf boshqaruvi strategiyalarida ishlatadilar. #### Emotsional savdodan qochish Shaxsning har qanday paytdagi emotsional holati qaror qabul qilishiga katta ta'sir ko'rsatishi mumkin va shuning uchun ba'zi treyderlar oldindan belgilangan strategiyaga tayanib, stress, qo'rquv, ochko'zlik yoki boshqa kuchli emotsiyalar ostida savdo qilishdan qochishga harakat qilishadi. Pozitsiyani qachon yopish kerakligini aniqlashni o'rganish, sizni impulsiv savdo qilishdan saqlaydi va sizning savdolarni strategik ravishda boshqarishingizga imkon beradi. #### Xavf-foyda nisbatini hisoblash Stop-loss va take-profit darajalari savdoning xavf-foyda nisbatini hisoblash uchun ishlatiladi. Xavf-foyda nisbati - bu potensial foyda evaziga qabul qilingan xavf o'lchovidir. Umuman olganda, xavf-foyda nisbati past bo'lgan savdolarni amalga oshirish yaxshiroq, chunki bu sizning potentsial foydalaringiz potentsial xavflardan ustun ekanligini anglatadi. Siz xavf-foyda nisbatini quyidagi formuladan foydalanib hisoblab chiqishingiz mumkin: **Xavf-foyda nisbati** = (Kirish narxi - Stop-loss narxi) / (Take-profit narxi - Kirish narxi) ### Stop-loss va take-profit darajalarini qanday hisoblash mumkin Treyderlar optimal stop-loss va take-profit darajalarini aniqlash uchun turli usullardan foydalanishlari mumkin. Ushbu yondashuvlar mustaqil ravishda yoki boshqa usullar bilan birgalikda qo'llanilishi mumkin, lekin oxirgi maqsad bir xil: mavjud ma'lumotlardan foydalangan holda pozitsiyani qachon yopish kerakligini aniqroq aniqlash. #### Qo'llab-quvvatlash va qarshilik darajalari Qo'llab-quvvatlash va qarshilik an'anaviy va kripto bozorlaridagi har qanday texnik treyderga tanish asosiy tushunchalardir. Qo'llab-quvvatlash va qarshilik darajalari - bu narx jadvalida ko'proq savdo faoliyati (sotib olish yoki sotish) kuzatilishi ehtimoli yuqori bo'lgan joylar. Qo'llab-quvvatlash darajalarida pasayish tendentsiyalari ko'proq sotib olish faoliyati tufayli to'xtatilishi kutiladi. Qarshilik darajalarida esa o'sish tendentsiyalari ko'proq sotish faoliyati tufayli to'xtatilishi kutiladi. Ushbu usuldan foydalanadigan treyderlar odatda take-profit darajalarini qo'llab-quvvatlash darajasi ustiga va stop-loss darajalarini qarshilik darajasi ostiga o'rnatadilar. #### Harakatlanuvchi o'rtachalar Ushbu texnik indikator bozor shovqinini filtrlab, narx harakati ma'lumotlarini silliqlashtiradi va tendentsiyaning yo'nalishini ko'rsatadi. Harakatlanuvchi o'rtachalar (Moving Averages - MA) qisqa yoki uzoq muddatli davrlar uchun hisoblanishi mumkin, bu alohida treyderlarning afzalliklariga bog'liq. Treyderlar jadvalda ikkita turli MA kesishgan joylarda sotish yoki sotib olish imkoniyatlarini izlashadi. Harakatlanuvchi o'rtachalar haqida batafsil o'qishingiz mumkin. Odatda, MA-dan foydalanadigan treyderlar uzoq muddatli harakatlanuvchi o'rtacha qiymatdan pastroq stop-loss darajalarini aniqlaydilar. #### Foiz usuli Texnik indikatorlar yordamida oldindan belgilangan darajalar o'rniga, ba'zi treyderlar SL va TP darajalarini aniqlash uchun belgilangan foizdan foydalanadilar. Masalan, ular aktiv narxi ular kirgan narxdan 5% yuqori yoki past bo'lganida pozitsiyasini yopishni tanlashlari mumkin. Bu texnik indikatorlar bilan tanish bo'lmagan treyderlar uchun yaxshi ishlaydigan oddiy yondashuvdir. #### Boshqa indikatorlar Biz SL va TP darajalarini belgilash uchun ishlatiladigan bir nechta umumiy TA vositalarini tilga oldik, lekin treyderlar boshqa ko'plab indikatorlardan foydalanadilar. Bunga Momentum indikatorlari bo'lgan **Relative Strength Index** (RSI), bozor volatilligini o'lchaydigan **Bollinger Bands** (BB), va eksponensial harakatlanuvchi o'rtachalarni ma'lumot nuqtalari sifatida ishlatadigan **Moving Average Convergence Divergence** (MACD) kiradi. ### Xulosa Ko'plab treyderlar va investorlar stop-loss va take-profit darajalarini hisoblash uchun yuqoridagi yondashuvlardan birini yoki kombinatsiyasini qo'llashadi. Ushbu darajalar ularni savdoni tark etishga texnik motivatsiya sifatida xizmat qiladi, bu yo yo'qotayotgan pozitsiyani tashlash yoki potentsial foydalarni amalga oshirish uchun. Shuni yodda tutish kerakki, bu darajalar har bir treyderga xosdir va muvaffaqiyatli natijalarni kafolatlamaydi. Buning o'rniga, ular qaror qabul qilishda yo'nalish beradi. #Uzbekistan #treding #texnikanaliz

Stop-loss va take -profit darjalarni belgilash.

---

**Stop-loss** va **take-profit** darajalari treyderlar uchun o'z savdolarini qachon tugatish kerakligini belgilashda yordam beruvchi ikki muhim tushunchadir. Ushbu chegaralar an'anaviy va kripto bozorlarida qo'llaniladi va texnik tahlilni afzal ko'radigan treyderlar orasida ayniqsa mashhurdir.

**Kirish**

Bozorni vaqtida aniqlash - bu investorlar va treyderlar bozor narxlarini oldindan bashorat qilishga va aktivlarni sotib olish yoki sotish uchun optimal narx darajasini topishga harakat qiladigan strategiyadir. Ushbu yondashuv ostida, bozordan chiqish vaqtini to'g'ri aniqlash juda muhim. Bu yerda stop-loss va take-profit darajalari paydo bo'ladi.

**Stop-loss** va **take-profit** darajalari treyderlar o'zlari uchun oldindan belgilab oladigan narx maqsadlaridir. Ko'pincha intizomli treyderlarning chiqish strategiyasining bir qismi sifatida ishlatiladigan ushbu oldindan belgilangan darajalar emotsional savdoni minimal darajaga tushirish va xavflarni boshqarishda muhim rol o'ynash uchun mo'ljallangan.

### Stop-loss va take-profit darajalari

**Stop-loss** (SL) darajasi - bu aktivning oldindan belgilangan narxi bo'lib, u joriy narxdan pastroq o'rnatiladi. Bu darajada, treyderlar o'z pozitsiyasini yopish orqali yo'qotishni cheklashadi. Buning aksi, **take-profit** (TP) darajasi - bu treyderlar foydali pozitsiyani yopish uchun oldindan belgilangan narx.

Real vaqt rejimida bozor buyurtmalaridan foydalanish o'rniga, treyderlar ushbu darajalarni belgilash orqali avtomatik ravishda sotishni amalga oshirishi mumkin, bozorlarni 24/7 kuzatib turishga hojat qolmaydi. Masalan, Binance Futures-da **Stop Order** funksiyasi mavjud bo'lib, unda stop-loss va take-profit buyurtmalari birlashtirilgan. Buyurtma joylashtirilganda, tizim tetik narxlari va oxirgi narx yoki belgilangan narxga asoslanib, buyurtma stop-loss yoki take-profit ekanligini aniqlaydi.

### Nega stop-loss va take-profit darajalaridan foydalanish kerak?

#### Xavf boshqaruvini amalga oshirish

SL va TP darajalari bozorning joriy dinamikasini aks ettiradi va kimki ularning optimal qiymatlarini to'g'ri aniqlashni bilsa, u qoniqarli savdo imkoniyatlarini va maqbul xavf darajalarini aniqlamoqda. SL va TP darajalarini qo'llash orqali xavfni baholash, portfelingizni saqlab qolishda va uni rivojlantirishda muhim rol o'ynashi mumkin. Siz faqat xavfi kamroq savdolarga ustuvorlik berib, xoldinglaringizni himoya qilayotganingiz bilan emas, balki portfelingizni butunlay yo'qotishdan saqlab qolayotganingiz bilan ham sistematik ravishda himoya qilasiz. Shuning uchun ko'plab treyderlar SL va TP darajalarini o'zlarining xavf boshqaruvi strategiyalarida ishlatadilar.

#### Emotsional savdodan qochish

Shaxsning har qanday paytdagi emotsional holati qaror qabul qilishiga katta ta'sir ko'rsatishi mumkin va shuning uchun ba'zi treyderlar oldindan belgilangan strategiyaga tayanib, stress, qo'rquv, ochko'zlik yoki boshqa kuchli emotsiyalar ostida savdo qilishdan qochishga harakat qilishadi. Pozitsiyani qachon yopish kerakligini aniqlashni o'rganish, sizni impulsiv savdo qilishdan saqlaydi va sizning savdolarni strategik ravishda boshqarishingizga imkon beradi.

#### Xavf-foyda nisbatini hisoblash

Stop-loss va take-profit darajalari savdoning xavf-foyda nisbatini hisoblash uchun ishlatiladi.

Xavf-foyda nisbati - bu potensial foyda evaziga qabul qilingan xavf o'lchovidir. Umuman olganda, xavf-foyda nisbati past bo'lgan savdolarni amalga oshirish yaxshiroq, chunki bu sizning potentsial foydalaringiz potentsial xavflardan ustun ekanligini anglatadi.

Siz xavf-foyda nisbatini quyidagi formuladan foydalanib hisoblab chiqishingiz mumkin:

**Xavf-foyda nisbati** = (Kirish narxi - Stop-loss narxi) / (Take-profit narxi - Kirish narxi)

### Stop-loss va take-profit darajalarini qanday hisoblash mumkin

Treyderlar optimal stop-loss va take-profit darajalarini aniqlash uchun turli usullardan foydalanishlari mumkin. Ushbu yondashuvlar mustaqil ravishda yoki boshqa usullar bilan birgalikda qo'llanilishi mumkin, lekin oxirgi maqsad bir xil: mavjud ma'lumotlardan foydalangan holda pozitsiyani qachon yopish kerakligini aniqroq aniqlash.

#### Qo'llab-quvvatlash va qarshilik darajalari

Qo'llab-quvvatlash va qarshilik an'anaviy va kripto bozorlaridagi har qanday texnik treyderga tanish asosiy tushunchalardir.

Qo'llab-quvvatlash va qarshilik darajalari - bu narx jadvalida ko'proq savdo faoliyati (sotib olish yoki sotish) kuzatilishi ehtimoli yuqori bo'lgan joylar. Qo'llab-quvvatlash darajalarida pasayish tendentsiyalari ko'proq sotib olish faoliyati tufayli to'xtatilishi kutiladi. Qarshilik darajalarida esa o'sish tendentsiyalari ko'proq sotish faoliyati tufayli to'xtatilishi kutiladi.

Ushbu usuldan foydalanadigan treyderlar odatda take-profit darajalarini qo'llab-quvvatlash darajasi ustiga va stop-loss darajalarini qarshilik darajasi ostiga o'rnatadilar.

#### Harakatlanuvchi o'rtachalar

Ushbu texnik indikator bozor shovqinini filtrlab, narx harakati ma'lumotlarini silliqlashtiradi va tendentsiyaning yo'nalishini ko'rsatadi.

Harakatlanuvchi o'rtachalar (Moving Averages - MA) qisqa yoki uzoq muddatli davrlar uchun hisoblanishi mumkin, bu alohida treyderlarning afzalliklariga bog'liq. Treyderlar jadvalda ikkita turli MA kesishgan joylarda sotish yoki sotib olish imkoniyatlarini izlashadi. Harakatlanuvchi o'rtachalar haqida batafsil o'qishingiz mumkin.

Odatda, MA-dan foydalanadigan treyderlar uzoq muddatli harakatlanuvchi o'rtacha qiymatdan pastroq stop-loss darajalarini aniqlaydilar.

#### Foiz usuli

Texnik indikatorlar yordamida oldindan belgilangan darajalar o'rniga, ba'zi treyderlar SL va TP darajalarini aniqlash uchun belgilangan foizdan foydalanadilar. Masalan, ular aktiv narxi ular kirgan narxdan 5% yuqori yoki past bo'lganida pozitsiyasini yopishni tanlashlari mumkin. Bu texnik indikatorlar bilan tanish bo'lmagan treyderlar uchun yaxshi ishlaydigan oddiy yondashuvdir.

#### Boshqa indikatorlar

Biz SL va TP darajalarini belgilash uchun ishlatiladigan bir nechta umumiy TA vositalarini tilga oldik, lekin treyderlar boshqa ko'plab indikatorlardan foydalanadilar. Bunga Momentum indikatorlari bo'lgan **Relative Strength Index** (RSI), bozor volatilligini o'lchaydigan **Bollinger Bands** (BB), va eksponensial harakatlanuvchi o'rtachalarni ma'lumot nuqtalari sifatida ishlatadigan **Moving Average Convergence Divergence** (MACD) kiradi.

### Xulosa

Ko'plab treyderlar va investorlar stop-loss va take-profit darajalarini hisoblash uchun yuqoridagi yondashuvlardan birini yoki kombinatsiyasini qo'llashadi. Ushbu darajalar ularni savdoni tark etishga texnik motivatsiya sifatida xizmat qiladi, bu yo yo'qotayotgan pozitsiyani tashlash yoki potentsial foydalarni amalga oshirish uchun. Shuni yodda tutish kerakki, bu darajalar har bir treyderga xosdir va muvaffaqiyatli natijalarni kafolatlamaydi. Buning o'rniga, ular qaror qabul qilishda yo'nalish beradi.
#Uzbekistan #treding #texnikanaliz
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