Pepe_NOSTRos on Nostr: https://m.primal.net/LLHA.png Followup on this call. the suggested entry was at red ...
Followup on this call. the suggested entry was at red arrow. looks like this thing is doing its job. still needs work but so far so good.
Not financial advice. purely an academic enterprise to prove that the market is non deterministic but also non random in pockets.
Be well. In the end there will be only bitcoin
quoting nevent1q…62d92024-10-03 Multi-Timeframe Price Action Analysis for BTC/USDC:USDC
Multi-Timeframe Price Action Analysis for BTC/USDC:USDC
1. Executive Summary
Recommendation: Weak Buy
The current market conditions for BTC/USDC:USDC suggest a weak buy signal, driven primarily by the alignment of the Macro (1d) and Big Swing (1h) timeframes. The price is positioned above the mid-channel in the Macro timeframe and above the lower channel in both the Big Swing and Swing timeframes. However, the recent volatility and lack of strong buy signals in the lower timeframes temper the overall recommendation.
2. Timeframe Alignment Analysis
The Macro (1d) timeframe sets the overall trend, indicating a weak buy signal with the price positioned above the mid-channel. The Big Swing (1h) timeframe supports this trend, with the price above the lower channel. The Swing (15m) timeframe also shows the price above the lower channel, but the lack of a strong buy signal in this timeframe suggests caution. Overall, the timeframes align in suggesting a buy signal, but the strength of the signal is tempered by the lower timeframes.
3. Price-Channel Dynamics
In the Macro (1d) timeframe, the price is above the mid-channel, indicating a bullish trend. In the Big Swing (1h) timeframe, the price is above the lower channel, supporting the bullish trend. In the Swing (15m) timeframe, the price is also above the lower channel, but the channel width is narrower, indicating a more neutral trend. The current price position in relation to the channel boundaries suggests a buy signal, but the strength of the signal varies across timeframes.
4. Volatility Impact
The recent volatility in the Macro (1d) timeframe is high, with a value of 1.9467883413112568. This high volatility suggests that the market is highly uncertain, and the price action may be more unpredictable. In contrast, the volatility in the Big Swing (1h) and Swing (15m) timeframes is lower, with values of 0.5122998201447708 and 0.33126913158091126, respectively. The lower volatility in the lower timeframes suggests that the market is less uncertain in the short term, but the high volatility in the Macro timeframe tempers this interpretation.
5. Risk Assessment
The high volatility in the Macro (1d) timeframe suggests that the market is highly uncertain, and the price action may be more unpredictable. This uncertainty increases the risk of trading in this market. Additionally, the lack of strong buy signals in the lower timeframes suggests that the market may be more neutral in the short term, increasing the risk of a false signal. To mitigate these risks, traders should consider scaling into positions and adjusting their stop loss strategies based on the current market volatility and trend strength.
6. Position Management Strategy
Based on this analysis, traders may consider scaling into long positions, starting with a small position size and increasing it as the price action confirms the buy signal. Traders should also consider adjusting their stop loss strategies based on the current market volatility and trend strength. For example, traders may use a trailing stop loss to adjust to the changing market conditions.
7. Performance Metric Interpretation
The Sharpe Ratio of 1.53 indicates that the strategy has generated returns that are 1.53 times the standard deviation of the returns, suggesting a relatively high return for the level of risk taken. The Sortino Ratio of 7.62 indicates that the strategy has generated returns that are 7.62 times the standard deviation of the downside returns, suggesting a high return for the level of downside risk taken. The Calmar Ratio of 8.39 indicates that the strategy has generated returns that are 8.39 times the maximum drawdown, suggesting a high return for the level of drawdown risk taken. These metrics suggest that the strategy has generated strong returns relative to the level of risk taken.
**8. Price Action Zones and Risk Management
Current price: $60559.00000000
Entry price: $59953.41000000
Partial TP: $64387.24439118
Target price: $66287.45913026
Stop loss: $56955.73950000
Recommendation: Wait for clearer signals before entering a trade.
Risks: Conflicting signals across timeframes, potential volatility in 15m timeframe.
If entering, consider using a scaled entry approach and taking partial profits at the specified Partial TP level.
Advice for existing positions:
- Long positions: Consider holding. You may add to your position if the price dips near the entry price. Set a trailing stop or move your stop loss up as the price approaches the partial TP level.
- Short positions: Be cautious as the signal suggests bullish momentum. Consider closing your position or tightening your stop loss. If holding, watch for potential reversal at the upper channel.