I will appreciate some feedback please, likes, questions ??🙏
🎯 KEY PIVOT ZONE
BREAKOUT LEVEL: 46,440.0-46,520.0
✅Dense HVN cluster (7+ stacked bars) with 3 POC alignment at right edge of VRVP
✅Untested high-volume area near all-time high with no significant rejection history above
✅51.7 points above current price - price consolidating before potential breakout
📊 PRICE TARGETS
UPSIDE TARGETS ⬆️
🎯T1: 46,440.0-46,520.0 (Breakout through primary HVN cluster)
🎯T2: 46,640.0-46,720.0 (Secondary breakout continuation)
DOWNSIDE TARGETS ⬇️
🎯T1: 46,140.0-46,220.0 (Primary Demand)
🎯T2: 45,900.0-45,980.0 (Secondary Demand)
⚡💎⚡ EDGE - HIGHEST PROBABILITY PLAY
Long from 46,280.0-46,340.0 pullback zone targeting breakout through 46,440.0-46,520.0
then continuation to 46,640.0-46,720.0
🔍 PRE-ENTRY CONFIRMATION SIGNALS
✅ Volume expansion on move toward 46,440.0 with bullish candle structure
✅ Break and hold above 46,460.0 with momentum or successful retest of 46,380.0
✅ Continuation pattern above 46,520.0 confirming breakout into new territory
📈 TRADE SETUP
🟢PRIMARY BIAS: BULLISH-BREAKOUT
Long Setup:
Entry: 46,280.0-46,340.0 on pullback
OR
Entry: 46,460.0+ on breakout confirmation
Stop Loss: 46,240.0
🎯Target 1: 46,520.0-46,580.0
🎯Target 2: 46,640.0-46,720.0
Risk/Reward: 1:2.4 / 1:4.0
🔄 BIAS FLIP CONDITIONS
🔴TURNS BEARISH IF:
✅Hard rejection at 46,440.0-46,520.0 with close back below 46,360.0 and volume
✅Break and sustained move below 46,240.0 with bearish momentum shift
✅Failed breakout creating distribution pattern below 46,420.0
⚡Then Target:
🎯46,140.0-46,220.0
🎯45,900.0-45,980.0
⚠️ RISK MANAGEMENT
Max Risk: 100-120 points from entry to stop
Position Size: Risk 1-1.5% of capital maximum
Time Stop: Exit by end of session if consolidation extends without breakout
🎯 KEY PIVOT ZONE
BREAKOUT LEVEL: 46,440.0-46,520.0
✅Dense HVN cluster (7+ stacked bars) with 3 POC alignment at right edge of VRVP
✅Untested high-volume area near all-time high with no significant rejection history above
✅51.7 points above current price - price consolidating before potential breakout
📊 PRICE TARGETS
UPSIDE TARGETS ⬆️
🎯T1: 46,440.0-46,520.0 (Breakout through primary HVN cluster)
🎯T2: 46,640.0-46,720.0 (Secondary breakout continuation)
DOWNSIDE TARGETS ⬇️
🎯T1: 46,140.0-46,220.0 (Primary Demand)
🎯T2: 45,900.0-45,980.0 (Secondary Demand)
⚡💎⚡ EDGE - HIGHEST PROBABILITY PLAY
Long from 46,280.0-46,340.0 pullback zone targeting breakout through 46,440.0-46,520.0
then continuation to 46,640.0-46,720.0
🔍 PRE-ENTRY CONFIRMATION SIGNALS
✅ Volume expansion on move toward 46,440.0 with bullish candle structure
✅ Break and hold above 46,460.0 with momentum or successful retest of 46,380.0
✅ Continuation pattern above 46,520.0 confirming breakout into new territory
📈 TRADE SETUP
🟢PRIMARY BIAS: BULLISH-BREAKOUT
Long Setup:
Entry: 46,280.0-46,340.0 on pullback
OR
Entry: 46,460.0+ on breakout confirmation
Stop Loss: 46,240.0
🎯Target 1: 46,520.0-46,580.0
🎯Target 2: 46,640.0-46,720.0
Risk/Reward: 1:2.4 / 1:4.0
🔄 BIAS FLIP CONDITIONS
🔴TURNS BEARISH IF:
✅Hard rejection at 46,440.0-46,520.0 with close back below 46,360.0 and volume
✅Break and sustained move below 46,240.0 with bearish momentum shift
✅Failed breakout creating distribution pattern below 46,420.0
⚡Then Target:
🎯46,140.0-46,220.0
🎯45,900.0-45,980.0
⚠️ RISK MANAGEMENT
Max Risk: 100-120 points from entry to stop
Position Size: Risk 1-1.5% of capital maximum
Time Stop: Exit by end of session if consolidation extends without breakout
Отказ от ответственности
Все виды контента, которые вы можете увидеть на TradingView, не являются финансовыми, инвестиционными, торговыми или любыми другими рекомендациями. Мы не предоставляем советы по покупке и продаже активов. Подробнее — в Условиях использования TradingView.
Отказ от ответственности
Все виды контента, которые вы можете увидеть на TradingView, не являются финансовыми, инвестиционными, торговыми или любыми другими рекомендациями. Мы не предоставляем советы по покупке и продаже активов. Подробнее — в Условиях использования TradingView.