Overall Market Context and Trend
The chart displays a clear downtrend on the given timeframe. Price has made a series of lower highs and lower lows, with the most recent swing pushing into a significant Volume Profile node (the highlighted horizontal bar), indicating a potential support or consolidation zone. The current price action shows a minor pullback or consolidation within this downtrend.

Key Technical Levels
· Immediate Resistance: 4.364.00 (Recent swing high of the pullback).
· Primary Resistance & Entry Zone: 4.320 - 4.328 area (Confluence of the Volume Profile Point of Control (POC) high and prior minor resistance).
· Current Support (Consolidation Low): 4.284.00
· Major Downside Targets:
· TP1: 4.260.00 (Recent swing low, round number support).
· TP2: 4.200.00 (Major horizontal support & round number).
· TP3: ~4.185 (Extension towards the Volume Profile low).
Trade Setup: Short (SELL) on Rejection of Resistance
This setup anticipates a continuation of the prevailing downtrend after a corrective pullback.
1. Entry Zone: 4.315 - 4.328
· Rationale: This area is a confluence of:
· The high boundary of the current consolidation/Volume Profile node.
· A potential retest of the breakdown level from the prior down move.
· A logical level for sellers to re-enter amid the downtrend.
2. Stop Loss (SL): 4.365
· Placed just above the recent pullback high (4.364.00) and the more significant 4.365.26 level. A break above this invalidates the immediate bearish structure.
3. Take-Profit Targets (TPs):
· TP1: 4.284 → ~1:1 Risk/Reward (R/R). Prior consolidation low and immediate support.
· TP2: 4.260 → ~2:1 R/R. Recent significant swing low and round number.
· TP3: 4.200 → ~4:1 R/R. Major horizontal support and the ultimate target for the downtrend leg.
Risk Management
· Position size should be calculated so that a loss from entry to the stop-loss level is an acceptable percentage of your trading capital (typically 1-2%).
· Consider moving stop-loss to break-even or trailing it after price reaches TP1 to lock in profit and reduce risk on the remainder of the position targeting TP2 and TP3.
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