I have closed all but 1/6th of my long-term long position in XLM for 38% profit after buying at .000035. We could still go higher but I'd rather take profits now than be caught out by a sudden drop once the real top is in like we saw recently with BAT (which I did not have a position in).
As per the chart above, I have set buy orders at .000040 & .000038. I consider XLM a strong long-term investment and would rather ensure I have a solid position than try to catch the absolute bottom, hence the fairly conservative targets.
As per the chart above, I have set buy orders at .000040 & .000038. I consider XLM a strong long-term investment and would rather ensure I have a solid position than try to catch the absolute bottom, hence the fairly conservative targets.
Nota
Happy with my decision so far. Sell price was at least a local top.Nota
Buy order 1 filled.Nota
Price reached a local low of 3825, just short of my second buy order. I expect another drop and we could see a Head & Shoulders form on XLM so now would be a good time to exit if you missed the boat first time around.Nota
Sold again at 4370 for 10% realised profit. Buy order 1 is back in place at .00004.Aviso legal
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Aviso legal
As informações e publicações não devem ser e não constituem conselhos ou recomendações financeiras, de investimento, de negociação ou de qualquer outro tipo, fornecidas ou endossadas pela TradingView. Leia mais em Termos de uso.