$zec Operation Strategy


Currently, small positions are being tested: enter at 508-510, stop loss at 498, target 518-520, risk-reward ratio ≈ 1:2.

Add position conditions: a 4-hour bullish close above 515, then add more, aiming for 530+.

- Exit rules: reduce positions if stop loss is hit or take profit at 1, avoid greed.
Note: Currently in a breakout window; if it stabilizes above 515, gradually add long positions, otherwise exit. Place a buy order at 480 for defense.
ZEC1,32%
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