دخول/تسجيل
Skyrexio

Skyrexio

@t_Skyrexio

عدد المتابعين:3
تاريخ التسجيل :11‏/11‏/2022
شبكة التاجر الاجتماعية :refrence
ارزدیجیتال
129
-1
رتب بين 46302 متداول
50.4%
أداء التاجر الشهر الماضي
(متوسط لعائد للشهر الأخير لأكبر 100 متداول :38.4%)
(متوسط عائد الشهر الأخير من إجمالي المؤشر :26%)
قوة التحليل
3.5
382عدد الرسائل

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نوع الإشارة

Skyrexio
Skyrexio
الرتبة: 129
3.5
BTC،التحليل الفني،Skyrexio

🗓This article explores the Bollinger Bands indicator—a powerful volatility tool used by traders worldwide. You'll learn how it works, how to calculate it, and how to use it to detect potential breakouts, trend reversals, and overbought or oversold conditions in the market. 📚 Introduction to Bollinger Bands In the fast-paced world of trading, understanding market volatility is key to making informed decisions. Bollinger Bands, developed by John Bollinger in the 1980s, offer a visual and statistical method to measure this volatility. Unlike simple moving averages, which only tell you the trend, Bollinger Bands expand and contract based on recent price action, helping traders spot overbought, oversold, or consolidation phases. These bands dynamically adjust to market conditions, making them one of the most popular indicators for trend-following, mean-reversion, and breakout strategies. Whether you’re trading crypto, stocks, or forex, Bollinger Bands can help you identify high-probability setups by combining trend direction with volatility. 📚 How Bollinger Bands Are Calculated Bollinger Bands consist of three lines: Middle Band – This is a simple moving average (SMA) of the price, typically over 20 periods. Upper Band – The middle band plus two standard deviations. Lower Band – The middle band minus two standard deviations. Middle Band = SMA(n) Upper Band = SMA(n) + (k × σₙ) Lower Band = SMA(n) - (k × σₙ) Where σₙ is the standard deviation of the price for n periods and k is the multiplier, typically set to 2, which captures ~95% of price action under normal distribution. The middle band shows the average price over the last 20 candles. The upper and lower bands adjust based on how volatile the price has been — expanding in high volatility and contracting in low volatility. 🤖 For those traders who want to implement Bollinger Bands into algorithmic strategy we provide formula it's calculation in Pine Script: Pine Script® basis = ta.sma(src, length) // Middle Band (SMA) dev = mult * ta.stdev(src, length) // Standard Deviation × Multiplier upper = basis + dev // Upper Band lower = basis - dev // Lower Band 📚 How to Use MACD in Trading Strategies ⚡️Bollinger Band Squeeze (Volatility Contraction and Expansion) The idea is pretty simple, а squeeze indicates low volatility and often precedes a breakout. The squeeze is the situation when the Upper Band and Lower Band contract, and BB width is at a local minimum. In this case you shall be prepared for the high volatility after the period of low volatility. This strategy doesn’t predict direction — it prepares you for volatility. Long setup: Price is in long-term uptrend, you can use 200 EMA as a major trend approximation - price shall be above it. Bollinger Bands is narrow in comparison to the previous period. Price usually is in sideways. Open long trade when candle shows a breakout and closes above the Upper Band. Set a trailing stop-loss at the Middle Band. Short setup: Price is in long-term downtrend, you can use 200 EMA as a major trend approximation - price shall be below it. Bollinger Bands is narrow in comparison to the previous period. Price usually is in sideways. Open short trade when candle shows a breakdown and closes below the Lower Band. Set a trailing stop-loss at the Middle Band 📈Long Trading Strategy Example 1. Price candle shall be closed above 200-period EMA. In our example we have BTCUSDT.P 4h time frame. 2. Bollinger Bands shall be narrow in comparison with the previous periods. 3. Open long trade when candle closes above the Upper Band. 4. Close trade when price touched the Middle Band. 📉Short trading strategy example 1. Price candle shall be closed below 200-period EMA. In our example we have BTCUSDT.P 4h time frame. 2. Bollinger Bands shall be narrow in comparison with the previous periods. 3. Open short trade when candle closes below the Lower Band. 4. Close trade when price touched the Middle Band. ⚡️Mean Reversion (Rebound from the Bands) This is the most common approach to use Bollinger Bands. The idea is also very simple, we just want to open long if price touches Lower Band and short if price reaches Upper Band. Price tends to revert to the mean (Middle Band), especially in range-bound markets. It's very important to trade in the direction of the major trend to reduce the probability of the large move against you. Long setup: Price is in long-term uptrend, you can use 200 EMA as a major trend approximation - price shall be above it. Open long trade when price touches the Lower Band. Set the initial stop-loss at the fixed percentage below entry price. Choose this percentage number with your personal risk/money management, you shall be comfortable to lose this amount of money in case of stop-loss hit. If price reached Middle Band set stop-loss at breakeven. Close trade when price reached the Upper Band. Short setup: Price is in long-term downtrend, you can use 200 EMA as a major trend approximation - price shall be below it. Open short trade when price touches the Upper Band. Set the initial stop-loss at the fixed percentage above entry price. Choose this percentage number with your personal risk/money management, you shall be comfortable to lose this amount of money in case of stop-loss hit. If price reached Middle Band set stop-loss at breakeven. Close trade when price reached the Lower Band. 🧪 Important: the most common approach to close trades is the Middle Band touch, this is classic mean reversion. We experimented multiple times with different approached and revealed that usually it's better to take profit at the Upper/Lower band for long/short trades and use Middle Band only for setting stop-loss at breakeven. This approach provides better risk to reward ratio. 📈Long Trading Strategy Example 1. Price candle shall be closed above 200-period EMA. In our example we have BTCUSDT.P 4h time frame. 2. Open long trade the Lower Band. 3. Put Initial stop-loss 2% below the entry price. 4. When price reached Middle band place stop-loss at the breakeven. 5. Close long trade at the Upper Band. 📉Short trading strategy example 1. Price candle shall be closed below 200-period EMA. In our example we have BTCUSDT.P 4h time frame. 2. Open short trade the Upper Band. 3. Put Initial stop-loss 2% above the entry price. 4. When price reached Middle band place stop-loss at the breakeven. 5. Close short trade at the Lower Band. 🧪 Important tip: notice that initial stop-loss is needed only to avoid disaster in case of price moves strongly against you. This percentage shall give enough space to avoid its reaching too often. Mean reversion strategy provides fast trades with the small average gain, so you shall maintain the high win rate (perfectly above 70%). You have to choose stop-loss based on particular asset volatility. ⚡️Combined Approach: Mean Reversion + Trend Following Skyrexio made multiple researches about Bollinger Bands strategies and we found that we can receive better gains in combination of different approaches. Mean reversion gives you great entry with discount but you don't need to exit that early. Use the trading stop and allow to gain profit while market is moving in your direction. This approach you can find in our advanced strategy Bollinger Bands Enhanced Strategy which we shared in 2024. Click on the link to read about it and understand how you can combine best features of this popular indicator. 📚 Conclusion Bollinger Bands are more than just a volatility indicator — they provide a flexible framework for understanding price dynamics and market conditions. By visualizing the relationship between price and standard deviation around a moving average, traders can gain valuable insights into whether an asset is consolidating, trending, or preparing for a breakout. The real strength of Bollinger Bands lies in their versatility. They can adapt to different trading styles — whether you’re a short-term scalper, a swing trader, or a long-term position holder. From identifying squeeze setups to riding strong trends or capturing mean reversion moves, BBs offer a strategic edge when used correctly. However, Bollinger Bands should never be used in isolation. Like any technical tool, they work best when combined with momentum indicators like RSI or MACD, volume analysis, and price action signals. Context is key: a signal that works well in a ranging market may fail during high momentum trends. Ultimately, Bollinger Bands help traders make more informed, disciplined decisions by clarifying where price stands relative to recent history. When paired with sound risk management and broader market awareness, they become a powerful ally in navigating market uncertainty.

: English
إظهار الرسالة الأصلية
نوع الإشارة: محايد
الإطار الزمني:
4 ساعات
السعر لحظة النشر:
‏113,857.07 US$
شارك
Skyrexio
Skyrexio
الرتبة: 129
3.5
BTC،التحليل الفني،Skyrexio

🗓 The Moving Average Convergence Divergence (MACD) is one of the most popular momentum indicators in technical analysis. Whether you're a beginner or an experienced trader, understanding how the MACD works can significantly enhance your trading decisions. 📚 Introduction: What Is MACD and Why It Matters The MACD (Moving Average Convergence Divergence) is one of the most powerful and widely used momentum indicators in technical analysis. It was developed by Gerald Appel in the late 1970s and has since become a staple in the toolkit of traders and investors across markets — from stocks and forex to cryptocurrencies. At its core, MACD helps traders understand the relationship between two moving averages of an asset’s price, providing insight into both trend direction and momentum strength. By analyzing how these averages converge and diverge, the indicator offers valuable signals for entries, exits, and trend reversals. What makes MACD especially popular is its versatility — it works well in trending markets, can be used across all timeframes, and combines both leading and lagging components. Whether you're a day trader or a long-term investor, understanding how MACD works gives you an edge in making timely and informed trading decisions. 📚 How the MACD Is Calculated: The Components Explained The MACD is built from three core components: MACD line, Signal line and MACD histogram. 🔹 Calculating the MACD Line: The MACD line is the difference between two Exponential Moving Averages (EMAs), typically 12-period EMA (fast) and 26-period EMA (slow). The formula is: MACD Line = EMA(12) − EMA(26) This line captures momentum by tracking how the shorter-term average diverges from the longer-term average. When the MACD line rises, the short-term momentum is increasing faster than the longer-term trend — a sign of bullish acceleration. The reverse implies bearish momentum. 🔹 Calculating the Signal Line: ​ To reduce noise and provide clearer signals, a 9-period EMA of the MACD line is plotted on top. This is the Signal Line, and it acts as a trigger: When the MACD line crosses above the signal line → bullish signal (buy) When the MACD line crosses below the signal line → bearish signal (sell) Signal Line = EMA(9)(MACD Line) 🔹 Calculating the MACD Histogram: ​ The Histogram shows the difference between the MACD Line and the Signal Line: Histogram = MACD Line − Signal Line It provides a visual representation of momentum strength. The histogram bars expand when momentum strengthens and contract as it fades. It helps you spot shifts in momentum earlier than a basic crossover. 📚 How to Use MACD in Trading Strategies ⚡️MACD Signal Line Crossover Buy Signal: MACD Line crosses above the Signal Line from below (bullish crossover) Preferably when both lines are below the zero line (early in the trend) Price closes above the long-term trend approximation, in our case we use 200-period EMA Sell Signal: MACD Line crosses below the Signal Line from above (bearish crossover) Preferably when both lines are above the zero line (early in the trend) Price closes below the long-term trend approximation, in our case we use 200-period EMA 📈Long Trading Strategy Example 1. Wait until MACD line crosses over the Signal line from down to up. In our example we use 1D time frame for BTCUSDT.P . Open long trade if point 2 will be completed. 2. Price candle shall be closed above the 200-period EMA. This is long-term trend filter to increase the probability that trades will be open only in the direction of the main trend. 3. Close the long trade when the MACD line crosses under the Signal line. This is an approximation that short-term impulse is over and correction is about to start. In our case we have +20% return on this long trade, but, please, notice that we have not used initial stop-loss in this strategy. Trade was closed according to the technical condition, this approach can violate the risk management rules, but also can be applicable if you trade the amount ready to lose using this strategy. We will talk about stop-loss later. 📉Short trading strategy example 1. Wait until MACD line crosses under the Signal line from up to down. In our example we use 1D time frame for ETHUSDT . Open short trade if point 2 will be completed. 2. Price candle shall be closed below the 200-period EMA. This is long-term trend filter to increase the probability that trades will be open only in the direction of the main trend. 3. Close the short trade when the MACD line crosses over the Signal line. This is an approximation that short-term impulse is over and correction is about to start. In this case we have +15% return on the short trade. Again, strategy used the technical condition to close the trade and now let's cover how to place the stop-loss. There is no right answer how to use stop-losses. The first and the most obvious way to place stop-loss is using recent swing low/high, but the problem is that all traders are seeing them and do the same. Price tends to reach such levels to collect liquidity. Another one way to place stop-loss is using the signal candle's high/low. This is so-called 1 candle stop-loss. Usually it's very tight and can allow to have the fantastic risk to reward ratio, but we are now recommend to use it if you are not a professional trader because win rate of such strategy decreases. Third approach in placing stop-loss which we often use in our algorithmic strategies is the Average True Range (ATR). ATR is the volatility measurement, it allows to take into account the current volatility. Sometimes it helps to avoid the stop-loss hit when trade finally goes in your direction. You can just simply subtract (in case of long trade) or add (in case of short trade) ATR value to the entry price and obtain the dynamic stop loss based on current market condition. Also multiplier can be used for ATR. You shall choose the approach which is more comfortable for you, backtest all these approached to make your choice. 🧪Important: we used the long signals only below the zero-line and short signals above it in the attempt to catch the beginning of a trend and have large potential move. On the picture below you can see the same BTCUSDT.P , but what will happen if we open long on the lines crossover above zero line? This trade will not be profitable because of restricted potential. ⚡️MACD Zero Line Crossover Buy Signal: MACD Histogram crosses above the zero line (momentum shifts from bearish to bullish) Price closes above the long-term trend approximation, in our case we use 200-period EMA Sell Signal: MACD Histogram crosses below the zero line (momentum shifts from bullish to bearish) Price closes below the long-term trend approximation, in our case we use 200-period EMA 📈Long Trading Strategy Example 1. Wait until MACD Histogram crosses over zero line. Open long trade if point 2 will be completed. 2. Price candle shall be closed above 200-period EMA. This is long-term trend filter to increase the probability that trades will be open only in the direction of the main trend. 3. Take profit when price reaches 3:1 risk to reward ratio according to the stop-loss from point 4. 4. Stop-loss shall be placed below recent swing low. This point can be discussed, you can use any stop-loss technique described earlier in this article. We demonstrate the simplest one, the key here is using at least 3:1 RR. 📉Short trading strategy example 1. Wait until MACD Histogram crosses under zero line. Open short trade if point 2 will be completed. 2. Price candle shall be closed below 200-period EMA. This is long-term trend filter to increase the probability that trades will be open only in the direction of the main trend. 3. Take profit when price reaches 3:1 risk to reward ratio according to the stop-loss from point 4. 4. Stop-loss shall be placed above recent swing high. This point can be discussed, you can use any stop-loss technique described earlier in this article. We demonstrate the simplest one, the key here is using at least 3:1 RR. ⚡️MACD Divergence Strategy MACD Divergence is a strategy that helps traders identify potential reversals in market direction before they become obvious on the price chart. This makes it a favorite tool among swing traders and crypto enthusiasts looking to catch major moves early. But what exactly is a divergence? In simple terms, divergence occurs when price and momentum (MACD) are moving in opposite directions — signaling that the current trend may be losing strength and preparing for a reversal. There are two main types of divergence. 🐂 Bullish Divergence Price makes a lower low MACD Histogram makes a higher low This suggests that while price is still falling, downward momentum is weakening. The bears are losing control, and a bullish reversal may be near. Trading signal is very simple, when bullish divergence happens wait for the first increasing column on MACD histogram and open long trade. Place stop-loss under recent swing low and take profit at 3:1 RR. 🐻Bearish Divergence Price makes a higher high MACD makes a lower high This suggests that while price is still falling, downward momentum is weakening. The bears are losing control, and a bullish reversal may be near. Trading signal is very simple, when bearish divergence happens wait for the first decreasing column on MACD histogram and open short trade. Place stop-loss above recent swing high and take profit at 3:1 RR. 🧪 Important hint: MACD histogram shall cross the zero line between two lows/high to create the most reliable divergence signals. We are not recommend to use it without zero-line crossover to decrease number of false signals. 📈Long Trading Strategy Example 1. MACD Histogram shall create higher low. 2. Price shall create lower low. 3. MACD Histogram shall cross the zero line between lows. 4. MACD Histogram shall show the first increasing column. 5. Put stop-loss under the recent swing low. 6. Put take profit at 3:1. 🧪 You can enhance the long signal with the MACD Line divergence. In our case we have both divergences: with MACD Histogram and MACD Line. 📉Short trading strategy example 1. MACD Histogram shall create lower high. 2. Price shall create higher high. 3. MACD Histogram shall cross the zero line between lows. 4. MACD Histogram shall show the first decreasing column. 5. Put stop-loss above the recent swing high. 6. Put take profit at 3:1. 🧪Divergence is extremely strong signal, but when price continue it's move in the direction of a trend and it's not reversing it can also be the signal for the trend continuation. This situation is called "Baskerville Hound" signal, this name was given by famous trader Alexander Elder. We don't recommend to use it for novice traders, but it's useful to know about it. 📚 Conclusion The Moving Average Convergence Divergence (MACD) is more than just a crossover tool — it's a powerful momentum indicator that offers deep insight into the strength, direction, and timing of market trends. By understanding how the MACD line, Signal line, and Histogram interact, traders can uncover early trend shifts, spot momentum divergences, and time entries and exits with greater confidence. Whether you're a short-term trader using fast crossovers for scalping or a long-term investor watching for weekly divergences, MACD can adapt to your style when used thoughtfully. Like all indicators, it works best when combined with price action, support/resistance levels, and other indicators — not in isolation. Ultimately, mastering MACD is not about memorizing patterns, but about learning to read the story of momentum that unfolds beneath the surface of price. With disciplined application and practice, MACD can become a reliable compass in your trading strategy.

: English
إظهار الرسالة الأصلية
نوع الإشارة: محايد
الإطار الزمني:
1 أسبوع
السعر لحظة النشر:
‏118,063.68 US$
شارك
Skyrexio
Skyrexio
الرتبة: 129
3.5
بيعBTC،التحليل الفني،Skyrexio

مرحبًا ، Skyrexians! لقد کنت أفکر فی ما سیحدث بعد ذلک مع BTCUSDT وکان من الواضح أن التصحیح قد بدأ ، یمکنک بسهولة العثور على تحدیثه الأخیر على Bitcoin والتحقق منه ، ولکن ما سیحدث بعد. قررت الیوم أن الدافع الأول لم یتم بعده بعد ، ونحن بحاجة إلى ساق واحدة أخرى لإکمال هذا النمو قبل تصحیح کبیر. دعنا نلقی نظرة على دورة Elliott الصفراء waves. أعطانی مذبذب رائع فکرة أن Wave 3 فقط قد انتهت من 110 ألف دولار. الآن Price هو طباعة الموجة 4. Wave 4 له هدف بین 0.38 و 0.5 Fibonacci ، ولکن هذه المرة سیکون بالتأکید 0.38 عند 101 ألف دولار. هنا کان الجزء الأصغر حجم الموجة 4. سیتم تقصیر الموجة 5 لأن الموجة 3 تم تمدیدها ، فهی منطقیة للغایة. بعد إعادة اختبار 111 ألف دولار ، ستذهب الموجة 2 إلى 90 ألف دولار تقریبًا. فی الأوقات الصعبة التی تنتظرها للتشفیر ، أعتقد أن هذه الفترة لن تنتهی إلا فی نهایة یونیو.

: English
إظهار الرسالة الأصلية
نوع الإشارة: بيع
الإطار الزمني:
12 ساعت
السعر لحظة النشر:
‏105,155.16 US$
شارك
Skyrexio
Skyrexio
الرتبة: 129
3.5
شراءLDO،التحليل الفني،Skyrexio

مرحبًا ، Skyrexians! الیوم أقوم بإجراء تحدیث على Ldousdt الذی أحمله على الفور مع متوسط ​​السعر عند 0.8 دولار. بادئ ذی بدء ، سأوضح کیف یمکن أن تتطابق هذه التوقعات الصعودیة مع تحلیل الأمس حول Drop altcoins. بسهولة! کان هناک إطار زمنی ثنائی الأبعاد - تحلیل منتصف المدة. هذا هو الرسم البیانی الأسبوعی. یمکننی السماح لبعض الانخفاض فی Lido Dao أو غیرها من ALTs ولکن الصورة العالمیة ستکون هی نفسها. على الرسم البیانی ، سیرى بعضکم التراکم. فی الواقع هذا طویل جدا الموجة 2 ABC على شکل. لیس من المثیر للاهتمام أن نعلم عن waves A و B. الشیء الوحید الوحید المهم هو أن الموجة C فی 2 الآن قد انتهت مع الاختلاف بین waves 3 و 5. یجب أن تکون الموجة التالیة مجنونة وتصل إلى أعلى ، أعلى من 6 دولارات ، مع تحیات إیفان Skyrexio____________________________________________________________________________________________________________________ على ما واحدًا على على ما على على مستوى على على مستوى على على ما یرام على على مستوى على ماکم على ما أی على ماکم على ماکم على ماکم على ماکم على ما أی حال.

: English
إظهار الرسالة الأصلية
نوع الإشارة: شراء
الإطار الزمني:
1 أسبوع
سعر حد الربح:
‏6.5 US$
السعر لحظة النشر:
‏0.93396 US$
شارك
Skyrexio
Skyrexio
الرتبة: 129
3.5
بيعBTC،التحليل الفني،Skyrexio

سلام اسکایرکسی‌ها! بیایید به تلاش برای پیش‌بینی زمان اصلاح قیمت BTCUSDT ادامه دهیم. این بار احتمال اصلاح بسیار زیاد است، اما توصیه نمی‌کنم که در این اصلاح موقعیت فروش (Short) باز کنید، زیرا این معامله خلاف روند اصلی است. بیایید تایم فریم 12 ساعته را بررسی کنیم. به احتمال زیاد موج 3 با دایورجنس دوتایی داخلی در اسیلاتور عالی (Awesome Oscillator) به پایان رسیده است. اکنون بالاخره زمان موج 4 فرا رسیده است. سطح فیبوناچی 0.38 محتمل‌ترین هدف در قیمت 101 هزار دلار است. پس از آن، انتظار می‌رود موج 5 شکل بگیرد و این موج، تنها موج 1 با درجه بالاتر بود. با احترام، ایوان اسکایرکسیو ___________________________________________________________ لطفاً این مقاله را تقویت کنید و اگر از تحلیل‌ها خوشتان می‌آید، صفحه ما را دنبال کنید!

: English
إظهار الرسالة الأصلية
نوع الإشارة: بيع
الإطار الزمني:
12 ساعت
السعر لحظة النشر:
‏105,859.64 US$
شارك
Skyrexio
Skyrexio
الرتبة: 129
3.5
شراءAVAX،التحليل الفني،Skyrexio

سلام، اسکایرکسیانی‌ها! وقتشه تحلیل قبلی خودم از AVAXUSDT رو به‌روزرسانی کنم، چون وقتی گفتم اصلاح تموم شده usual، کلی مخالف توی نظرات داشتم. بهم گفتن چطور میشه روی رشد یک آلت‌کوین و ریزش بقیه شرط بست - خیلی ساده‌ست! این ارز دیجیتال واضح‌ترین ساختار رو برای من داره. موج ۱ خیلی ناگهانی بود و بعد از اون یه اصلاح تقریباً مسطح دیدیم. موج B کمی پایین‌تر از سقف موج ۱ تموم شد، موج C کمی پایین‌تر از کف موج A. واگرایی در نوسانگر Awesome و رشد مومنتوم نشون میده که اصلاح تموم شده و هدف بعدی ۱.۶۱ فیبوناچی بالاتره که بالای ۱۰۰ دلار در موج ۳ هست. با احترام، ایوان اسکای رکسیو ___________________________________________________________ لطفا این مقاله رو تقویت کنید و اگر از این تحلیل خوشتون اومده، صفحه ما رو دنبال کنید!

: English
إظهار الرسالة الأصلية
نوع الإشارة: شراء
الإطار الزمني:
1 أسبوع
السعر لحظة النشر:
‏22.62 US$
شارك
Skyrexio
Skyrexio
الرتبة: 129
3.5
بيعBTC،التحليل الفني،Skyrexio

سلام اسکایرکسی ها! با وجود نظرات منفی مبنی بر اینکه BTCUSDT به جای پیش بینی نزولی من پامپ شد و خریدهای Bitcoin Saylor، من همچنان به سناریوی خود پایبند بود - هیچ چیز تغییر نکرده است. بر اساس تجربه من، قیمت اکنون پیچیده ترین شکل اصلاح، یعنی ABC نامنظم را چاپ می کند. در تحلیل های اخیر توضیح دادم که چرا باید از تایم فریم 12 ساعته استفاده کنیم. در این تایم فریم، نوسانگر عالی (Awesome Oscillator) باید خط صفر را قطع کند تا اصلاح به پایان برسد. هدف برای اصلاح نامنظم معمولاً در فیبوناچی 0.38 در قیمت 97.5 هزار دلار است، اما می تواند با یک سایه (wick) به 95 هزار دلار نیز برسد. با احترام، ایوان اسکایرکسی___________________________________________________________لطفاً این مقاله را تقویت کنید و اگر تحلیل ها را دوست دارید صفحه ما را دنبال کنید!

: English
إظهار الرسالة الأصلية
نوع الإشارة: بيع
الإطار الزمني:
12 ساعت
السعر لحظة النشر:
‏103,197.92 US$
شارك
Skyrexio
Skyrexio
الرتبة: 129
3.5
بيعBTC،التحليل الفني،Skyrexio

سلام اسکایرکسیان! اخیراً در مورد اصلاح احتمالی در BTCUSDT صحبت کردیم و پامپ فعلی چیزی را تغییر نداده است جز اهداف این اصلاح. اشتباه من این بود که موج 5 را در داخل 3 به عنوان موج 5 در نظر گرفتم، اما به شما هشدار دادم که اغلب این اشتباه را می کنم. اکنون با نگاهی به نوسانگر عالی (Awesome Oscillator) مشخص است که موج 4 هنوز شروع نشده است. به هر حال، موج 3 از فیبوناچی 1.61 بالاتر رفته است، این بدان معناست که موج 5 امتداد یافت. به زودی موج اصلاحی 4 شروع شد. هدف کنونی بین سطوح اصلاحی فیبوناچی 0.38 و 0.5 است، تقریباً در 95 هزار دلار. به هر حال، گرفتن موقعیت شورت بر خلاف روند، ایده بدی است. تنها راهی که می توانید از این اطلاعات استفاده کنید، تعیین منطقه ای است که می توانید در آن معامله لانگ باز کنید، اما من این کار را کرد. در یکی از تحلیل هایم دو ماه پیش، زمانی که Bitcoin 76 هزار دلار بود، گفتم که رشد بالای 140 هزار دلار آغاز شده است، من دوست ندارم حرکات کوچک را پیش بینی کنم. این پیش بینی کلی من بود. با احترام، ایوان اسکایرکسیو ___________________________________________________________ لطفاً این مقاله را تقویت کنید و اگر از این تحلیل خوشتان آمد، صفحه ما را دنبال کنید!

: English
إظهار الرسالة الأصلية
نوع الإشارة: بيع
الإطار الزمني:
12 ساعت
السعر لحظة النشر:
‏104,247.5 US$
شارك
Skyrexio
Skyrexio
الرتبة: 129
3.5
بيعATOM،التحليل الفني،Skyrexio

سلام، اسکایرکسیانی‌ها! همانطور که می‌دانید، در چند روز گذشته مطمئن نبودم که فصل آلت‌کوین‌ها شروع شده است یا خیر و بالاخره تصمیم گرفتم که نه. تسلط Bitcoin به 67 درصد رسید و آلت‌کوین‌های بزرگ مانند ATOMUSDT به من این نشانه را می‌دهند که آلت‌کوین‌ها می‌توانند در 2-3 هفته آینده 50 درصد سقوط کنند! بیایید نگاهی به بازه زمانی 2 روزه بیندازیم. برای اندازه‌گیری ایمپالس، این اکنون معتبر است. می‌بینیم که پس از رسیدن به هدف موج 3، قیمت در موج 4 برگشت. موج 4 به فیبوناچی 0.38 رسیده و پس از red dot در اندیکاتور معکوس صعودی/نزولی Bar [اسکایرکسیو] شروع به پایین رفتن کرده است. علاوه بر این، Awesome Oscillator از خط صفر عبور کرده و نشان می‌دهد که موج 4 ممکن است به پایان رسیده باشد. اکنون قیمت در موج 5 قرار دارد. هدف، 2 تا 3.5 دلار است. من فکر می‌کنم در این بازار نزولی، به کف پایین‌تری در حدود 3 دلار می‌رسد که تقریباً 50 درصد سقوط از قیمت فعلی است. با احترام، ایوان اسکایرکسیو ___________________________________________________________لطفاً این مقاله را ترویج کنید و اگر از تحلیل‌ها خوشتان می‌آید، صفحه ما را دنبال کنید!

: English
إظهار الرسالة الأصلية
نوع الإشارة: بيع
الإطار الزمني:
2 روز
السعر لحظة النشر:
‏5.32 US$
شارك
Skyrexio
Skyrexio
الرتبة: 129
3.5
شراءETHFI،التحليل الفني،Skyrexio

سلام اسکای رکسیایی‌ها! دیروز به پتانسیل عملکرد عالی اتریوم اشاره کردیم، اما دارایی‌هایی داریم که به آن وابسته‌اند اما به دلیل ارزش بازار پایین می‌توانند عملکرد بسیار بهتری داشته باشند. من شخصاً در ماه‌های فوریه و مارس، ETHFIUSDT را با میانگین قیمت ۰.۷ دلار خریداری کرده‌ام، بنابراین اکنون سرمایه‌ام ۲ برابر شده است، اما این رشد هنوز تمام نشده است. پس از افزایش قیمت پس از لیست شدن، این ارز دیجیتال در موج اصلاحی ABC جهانی ۲ به شدت اصلاح شد. اندیکاتور بازگشت صعودی/نزولی Bar [Skyrexio] اولین سیگنال سبز dot را فقط در پایین‌ترین سطح چاپ کرده است، در نتیجه دارایی وارد بازار صعودی شده است. هدف بعدی، سطح ۱.۶۱ فیبوناچی در ۱۴ دلار است. این موج ۳ بود و تمام! با احترام، ایوان اسکای رکسیو ___________________________________________________________ لطفاً این مقاله را به اشتراک بگذارید و اگر تحلیل ما را دوست دارید، صفحه ما را دنبال کنید!

: English
إظهار الرسالة الأصلية
نوع الإشارة: شراء
الإطار الزمني:
1 أسبوع
السعر لحظة النشر:
‏0.78623 US$
شارك
إخلاء المسؤولية

أي محتوى ومواد مدرجة في موقع Sahmeto وقنوات الاتصال الرسمية هي عبارة عن تجميع للآراء والتحليلات الشخصية وغير ملزمة. لا تشكل أي توصية للشراء أو البيع أو الدخول أو الخروج من سوق الأوراق المالية وسوق العملات المشفرة. كما أن جميع الأخبار والتحليلات المدرجة في الموقع والقنوات هي مجرد معلومات منشورة من مصادر رسمية وغير رسمية محلية وأجنبية، ومن الواضح أن مستخدمي المحتوى المذكور مسؤولون عن متابعة وضمان أصالة ودقة المواد. لذلك، مع إخلاء المسؤولية، يُعلن أن المسؤولية عن أي اتخاذ قرار وإجراء وأي ربح وخسارة محتملة في سوق رأس المال وسوق العملات المشفرة تقع على عاتق المتداول.

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