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FRED CHARLES
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FRED CHARLES
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$BTC Bitcoin Price Update $BTC has just experienced a significant liquidation event, with a total of $1,041,000 worth of long positions being closed at $104,108.7. Market Analysis The current market sentiment is bearish, with a strong downward trend dominating the charts. The price action suggests a potential continuation of the downtrend, with key support levels being tested. Entry Point We recommend entering a short position on $BTC with a entry price of $104,000, targeting a profit of 5% to 7% with a stop-loss at $105,000. Risk Management Strategy To manage risk, we recommend setting a risk-reward ratio of 1:2, with a maximum position size of 0.5% of the account balance. This will allow for a maximum potential loss of $5,200 while targeting a profit of $10,400. To further diversify your portfolio, consider allocating 20% to 30% of your assets to alternative cryptocurrencies. Market Context The global market is experiencing heightened volatility due to ongoing macroeconomic trends and geopolitical events. The cryptocurrency market is not immune to these factors, and investors should be prepared for potential fluctuations. Risk Reward Ratio Calculation The risk-reward ratio is calculated as follows: Potential profit: $10,400 Potential loss: $5,200 Risk-reward ratio: 2:1 Disclaimer: All investments involve risks, including the potential loss of principal. Past performance is not indicative of future results. Always do your own research, assess your risk tolerance, and consult a financial advisor before making any decisions. Trade responsibly. #OnChainLendingTrend #SOLVLaunchOnBinance #BTCBackto100K #TrumpCountDown #EOSBreaks1$
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Market Analysis for $SOLV Liquidation Alert A significant long liquidation has occurred in the $SOLV market, totaling $1.4991K at a price point of $0.1243. Entry Point Consider entering at $0.1243, aligning with the recent market liquidity trigger. Target Set your target for SOLV at $0.1400, allowing for a potential upside as market sentiments shift. Stop Loss Implement a stop loss at $0.1200 to manage downside risk effectively. Risk Management Strategy -Ensure a diversified portfolio to absorb volatility. -Allocate no more than 2% of your total capital to this trade. -Regularly reassess positions based on market movements. Market Sentiment The current sentiment remains cautious but is showing signs of bullish recovery, which could positively influence $SOLV . Risk-Reward Ratio With an entry of $0.1243, a target of $0.1400, and a stop loss at $0.1200, the risk-reward ratio calculates as follows: Risk per share = Entry - Stop Loss = $0.1243 - $0.1200 = $0.0043Reward per share = Target - Entry = $0.1400 - $0.1243 = $0.0157 Thus, the risk-reward ratio is $0.0157 / $0.0043 = 3.65:1. Disclaimer: All investments involve risks, including the potential loss of principal. Past performance is not indicative of future results. Always do your own research, assess your risk tolerance, and consult a financial advisor before making any decisions. Trade responsibly. #OnChainLendingTrend #TrumpCountDown #SOLVLaunchOnBinance #EOSBreaks1$ #LTCETF
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$YFI Market Overview: Long Liquidation Analysis A significant long liquidation occurred in the YFI market, totaling $1.2751K at a price point of $8674.2. This event highlights the current volatility within the $YFI trading landscape. Entry Point: The entry point for potential positions was identified around $8,674.2, where market sentiment was bullish, pushing for upward momentum. Target: A target price was strategically positioned at $9,200 to capitalize on potential gains. Stop Loss: A conservative stop loss was set at $8,400 to limit potential drawdowns, ensuring capital protection in case of adverse market movements. Risk Management Strategy: Implementing a robust risk management strategy is crucial. Set risk limits at 1-2% of the total portfolio for any single trade. Diversification across various crypto assets will reduce exposure to $YFI’s fluctuations, promoting overall portfolio stability. Market Sentiment: The overall sentiment remains mixed, with bullish indicators struggling against bearish pressures influencing cryptocurrency assets. Risk-Reward Ratio: The risk-reward ratio for this setup is calculated as follows: Based on the target ($9,200) and stop loss ($8,400): Potential profit = $9,200 - $8,674.2 = $525.8 Potential loss = $8,674.2 - $8,400 = $274.2 Risk-Reward Ratio = Potential Profit / Potential Loss = $525.8 / $274.2 ≈ 1.92 This indicates a favorable risk-reward setup for trading $YFI . Disclaimer: All investments involve risks, including the potential loss of principal. Past performance is not indicative of future results. Always do your own research, assess your risk tolerance, and consult a financial advisor before making any decisions. Trade responsibly. #OnChainLendingTrend #SOLVLaunchOnBinance #TrumpCountDown #EOSBreaks1$ #LTCETF
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$IOTA Trading Overview Liquidation Details: Long Liquidation: $1,245.40 at $0.389 Entry Point: $0.389 Target: $0.450 Stop Loss: $0.370 Risk Management Strategy: Risk Limits: Allocate a maximum of 2% of the trading capital per trade. Diversification: Invest in other assets to mitigate volatility exposure in IOTA. Market Sentiment: Currently bullish, supported by recent developments in the $IOTA ecosystem. Risk-Reward Ratio: Potential Gain: $0.450 - $0.389 = $0.061 Potential Loss: $0.389 - $0.370 = $0.019 Risk-Reward Ratio: $0.061 / $0.019 = 3.21 Market Context: The $IOTA market is experiencing positive momentum due to growing interest in decentralized ledgers and smart contracts, alongside increased trading volumes in cryptocurrency markets. Disclaimer: All investments involve risks, including the potential loss of principal. Past performance is not indicative of future results. Always do your own research, assess your risk tolerance, and consult a financial advisor before making any decisions. Trade responsibly. #OnChainLendingTrend #SOLVLaunchOnBinance #TrumpCountDown #EOSBreaks1$ #LTCETF
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Market Update: $ARKM Liquidation Alert Long Position Liquidated: Liquidation Amount: $3,151.80Liquidation Price: $1.51093 Analysis of $ARKM: Entry Point: Monitor for potential entry around $1.45, a critical support level where buying interest may emerge. Target: Set an aggressive target at $1.75, capturing momentum and favorable market sentiment. Stop Loss: Implement a stop loss at $1.40 to protect capital and limit losses in turbulent market conditions. Risk Management Strategy: Risk Limits: Exposure should not exceed 5% of your trading capital on this position. Diversification: Maintain a diversified portfolio to reduce dependency on $ARKM and cushion against market volatility. Market Sentiment: Currently mixed; monitor news and trends affecting overall cryptocurrency sentiment before executing trades. Risk-Reward Ratio: Potential Gain: $0.30 ($1.75 - $1.45) Potential Loss: $0.05 ($1.45 - $1.40) Risk-Reward Ratio Calculation: Risk-Reward Ratio = Potential Gain / Potential Loss Risk-Reward Ratio = $0.30 / $0.05 = 6:1 Conclusion: $ARKM presents an intriguing opportunity. With effective entry and exit strategies, combined with robust risk management, traders can navigate the market effectively. Disclaimer: All investments involve risks, including the potential loss of principal. Past performance is not indicative of future results. Always do your own research, assess your risk tolerance, and consult a financial advisor before making any decisions. Trade responsibly. #OnChainLendingTrend #SOLVLaunchOnBinance #TrumpCountDown #EOSBreaks1$ #LTCETF
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