hi to all
as all know the situation of the debt of us and another fundamental factor effect in crypto industry, but btc after this correction against all us indices show it strength
so :
future:
position: big short by cautions in management risk( leverage: under 100)
entry: wait to this range end (under 25700 confirms)
tp:23800
my tp:21k
sl:27700-28330
or hodl since its obvious we have great wave worse than 2008 so in frx just sell high lot
in crypto wait to main low recognize then buy dipper in your life
this time i will gurunteete this portfolio:

1.btc 40%
2 ether 20%
2.sol 15%
others:25%
20%:
3.file or Ar
4.avax
5.atom
6.rndr
8.xmr
9.link
5%:
.very dip choose between[ vet,algo,op.arb.thetha,btt,matic,ftm,enj,vra,hnt] under 1 bucks



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