At the moment, I see the following sequence of my actions:
1. On the moveBitcoin rateinarea 4800-5600 I begin to monitor the situation foractive actions. From there I expect growth to the region of 7500-8500. Stop in the area of 4200. Expected profit to risk = 3 to 1. The ratio will change because Direct entry into the transaction (if there is one) only after confirmation from my special advisers - models and indicators :).
2.After the price moves to the area of 7500-9000, I begin to monitor the situation for selling from these levels to the area of 4500-5000. Stop at 10,000. Expected profit to risk = 3 to 1. The ratio will change because Direct entry into the transaction (if there is one) only after confirmation from my special advisers - models and indicators :).
Something like this…..
On the chart.