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$PIPPIN Positioning Operations and Trend Analysis
1. Current Positioning Strategy (4x Long)
1. Stop-loss Adjustment: Move the stop-loss from the cost basis to 0.355 (key support level). If broken, immediately reduce position by 50%. If it further falls below 0.32, close all positions to avoid significant losses under 4x leverage.
2. Take-profit Rhythm: When rebounding to 0.397 (24-hour high), take profit on 30% of the position to lock in gains; if volume breaks through 0.40, hold the remaining position expecting a range of 0.45. If not broken, reduce another 40% within the 0.39-0.40 range.
3. Additional Entry Conditions: Only add to positions when the price stabilizes above 0.40 and volume increases (small position, not exceeding 10% of total funds). Heavy additional positions under 4x leverage are strictly prohibited.
2. Future Trading Trend Judgment
- Short-term: The 15-minute chart shows a weak rebound. The strong resistance is at 0.397-0.40. Most likely, the price will fluctuate between 0.355-0.40, requiring volume support to break through.
- Medium to Long-term: The main upward trend on the daily chart remains unchanged. After a pullback to the lower boundary of the upward channel, funds are expected to support. Once stabilized above 0.40, the price will continue to challenge the previous high of 0.526. The overall bullish logic remains unchanged.