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๐ฅ #ๅไบซๆ็ไบคๆ | #ShareMyTrade
BTCUSDT Futures โ Trend + Risk Management Trade Review
๐ Pair: BTCUSDT
๐ Direction: Long
๐ Leverage: 5x
๐ Timeframe Used: 1H / 4H
๐ Result: โ Profitable Trade
๐ Trade Background & Market Context
BTC was in a higher-high, higher-low structure on the 4H timeframe, with price holding above the 200 EMA. After a short consolidation, price pulled back into a key demand zone + previous breakout level, suggesting continuation rather than reversal.
Market sentiment was neutral-to-bullish, with no major bearish divergence on RSI.
๐ฏ Entry Logic
I entered a long position after confirmation of:
Price holding above 200 EMA (trend filter)
Bullish engulfing candle on 1H
RSI bouncing from 40โ45 zone (healthy trend pullback)
Increasing volume on breakout of consolidation
๐ Entry: 42,180
๐ Stop Loss: 41,600 (below demand + structure low)
๐ฏ Take Profit:
TP1: 42,800
TP2: 43,500
Risk-Reward โ 1 : 2.3
๐ฐ Position Management
Took partial profit at TP1 (secured profits & reduced emotional pressure)
Moved stop loss to break-even
Let remaining position run toward TP2
This helped protect capital while allowing upside exposure.
๐ Trade Result
โ TP1 Hit
โ TP2 Hit
๐ Overall PnL: +4.6% on margin
๐ Max Drawdown: Very limited (SL never close to hit)
๐ง Post-Trade Reflection
โ๏ธ What went well:
Followed trend instead of predicting tops
Clear invalidation point before entering
Proper position sizing (no over-leverage)
โ What to improve:
Could have entered slightly earlier on lower timeframe confirmation
Need to journal emotional state more consistently
๐งฉ Key Takeaway
Good trades are not about high leverage or guessing direction โ they are about structure, patience, and risk control.
Even a simple trend-following strategy works when executed with discipline.
๐ This is not financial advice, just a personal trade review.
๐ฅ Thanks for reading โ wishing everyone clean setups and controlled risk!
#ๅไบซๆ็ไบคๆ #ShareMyTrade #BTC