📊 Risk-Reward Ratio Calculation 📉 Risk (SL Distance): $34.35 - $33.66 = $0.69 risk per share 📈 Reward to TP1: $35.42 - $34.35 = $1.07 (1:1.5 R/R) 📈 Reward to TP2: $36.60 - $34.35 = $2.25 (1:3.2 R/R) 🔍 Technical Analysis & Strategy 📌 Falling Wedge Breakout: Price breaking out of a downward wedge, signaling a bullish reversal. 📌 Support Rejection: Strong bounce from $33.66 support, indicating buying pressure. 📌 Volume Confirmation Needed: Ensure high buying volume when price holds above $34.35 to confirm breakout. 📌 Momentum Shift Expected: If price sustains above $34.35, potential rally toward $35.42, then $36.60. 📊 Key Support & Resistance Levels 🟢 $33.66 – Stop-Loss / Strong Support 🟡 $34.35 – Breakout Level / Long Entry 🔴 $35.42 – First Resistance / TP1 🔴 $36.60 – Final Target / TP2
📉 Trade Execution & Risk Management 📊 Volume Confirmation: Ensure strong buying volume above $34.35 before entering. 📉 Trailing Stop Strategy: Move SL to entry ($34.35) after TP1 ($35.42) is hit. 💰 Partial Profit Booking Strategy: ✔ Take 50% profits at $35.42, let the rest run toward $36.60. ✔ Adjust Stop-Loss to Break-even ($34.35) after TP1 is reached. ⚠️ Fake Breakout Risk ❌ If price fails to hold above $34.35 and drops back, exit early to avoid losses. ❌ Wait for a strong bullish candle close above $34.35 before entering aggressively.
🚀 Final Thoughts ✔ Bullish Setup – Breakout from falling wedge suggests a potential trend shift. ✔ Momentum Shift Possible – Watch for volume confirmation. ✔ Favorable Risk-Reward Ratio – 1:1.5 to TP1, 1:3.2 to TP2. 💡 Stick to the plan, manage risk, and trade smart! 🚀📈