🚀 #ETH LONG - IVZ
💡 Powered by IVZ (Institutional Volatility Zones)
📊 #ETH. Pullback before the rise? Or sideways again? 🤔
📊 We've observed a bullish restructuring of the monthly and weekly IVZ zones, indicating increased activity from Large Players.
🔍 Price has already tested the IVZ resistance level, and the American session clearly showed: bearish sentiment is losing strength.
🎯 For a confident continuation of the uptrend, we're waiting for a clear reaction:
• Test of the support zone **2170–2070** (probable accumulation by Large Players)
• Return and consolidation above the **2370–2480** level
📈 The scenario remains active. We're monitoring the formation of daily/weekly zones and price behavior at key levels.
📍 Entry Points (on pullback):
• Entry 1: 2170
• Entry 2: 2085
⚠️ Risk Management:
🔴 Stop-Loss: 1926
💰 Risk per trade: 2-5% of deposit
🎯 Targets (Take Profit):
• TP1: 2616 50% of position. Upon reaching TP1 — move stop to breakeven
• TP2: 2930 Remaining position
📈 Trade Horizon: 2–4 weeks
🔄 Position Type: medium-term / swing
💡 Important:
This is not a "signal for today".
A position with clear logic, defined levels, and controlled risk.
Don't go "all in" — follow proper risk management.
🔍 Methodology:
Market Analysis and Trading are based on the professional IVZ indicator (Institutional Volatility Zones), which tracks accumulation by Large Players.
If you like the idea — please rate it 👇
💡 Powered by IVZ (Institutional Volatility Zones)
📊 #ETH. Pullback before the rise? Or sideways again? 🤔
📊 We've observed a bullish restructuring of the monthly and weekly IVZ zones, indicating increased activity from Large Players.
🔍 Price has already tested the IVZ resistance level, and the American session clearly showed: bearish sentiment is losing strength.
🎯 For a confident continuation of the uptrend, we're waiting for a clear reaction:
• Test of the support zone **2170–2070** (probable accumulation by Large Players)
• Return and consolidation above the **2370–2480** level
📈 The scenario remains active. We're monitoring the formation of daily/weekly zones and price behavior at key levels.
📍 Entry Points (on pullback):
• Entry 1: 2170
• Entry 2: 2085
⚠️ Risk Management:
🔴 Stop-Loss: 1926
💰 Risk per trade: 2-5% of deposit
🎯 Targets (Take Profit):
• TP1: 2616 50% of position. Upon reaching TP1 — move stop to breakeven
• TP2: 2930 Remaining position
📈 Trade Horizon: 2–4 weeks
🔄 Position Type: medium-term / swing
💡 Important:
This is not a "signal for today".
A position with clear logic, defined levels, and controlled risk.
Don't go "all in" — follow proper risk management.
🔍 Methodology:
Market Analysis and Trading are based on the professional IVZ indicator (Institutional Volatility Zones), which tracks accumulation by Large Players.
If you like the idea — please rate it 👇
İlgili yayınlar
Feragatname
Bilgiler ve yayınlar, TradingView tarafından sağlanan veya onaylanan finansal, yatırım, alım satım veya diğer türden tavsiye veya öneriler anlamına gelmez ve teşkil etmez. Kullanım Koşulları bölümünde daha fazlasını okuyun.
İlgili yayınlar
Feragatname
Bilgiler ve yayınlar, TradingView tarafından sağlanan veya onaylanan finansal, yatırım, alım satım veya diğer türden tavsiye veya öneriler anlamına gelmez ve teşkil etmez. Kullanım Koşulları bölümünde daha fazlasını okuyun.
