FINV (FinVolution Group) – 30-Min Short Trade Setup !

FINV (FinVolution Group) – 30-Min Short Trade Setup !

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? Asset: FINV – NYSE
? Timeframe: 30-Min Chart
? Setup Type: Bearish Breakdown (Rising Wedge Pattern)

? Trade Plan (Short Position)
✅ Entry Zone: Below $10.65 (Breakdown Confirmation)
✅ Stop-Loss (SL): Above $11.27 (Key Resistance Level)

? Take Profit Targets
? TP1: $10.05 (Support Level)
? TP2: $9.26 (Extended Bearish Move)

? Risk-Reward Ratio Calculation
? Risk (SL Distance):
$11.27 - $10.65 = $0.62 risk per share

? Reward to TP1:
$10.65 - $10.05 = $0.60 (1:0.97 R/R)

? Reward to TP2:
$10.65 - $9.26 = $1.39 (1:2.24 R/R)

✅ Favorable Risk-Reward Ratio toward TP2

? Technical Analysis & Strategy
? Rising Wedge Breakdown: Price is failing to break higher, signaling bearish momentum.
? Resistance at $11.27: A strong rejection level, confirming downward pressure.
? Volume Confirmation Needed: Look for above-average selling volume below $10.65 for validation.
? Support at $10.05: If this level is broken, expect further downside toward TP2.

? Trade Execution & Risk Management
? Volume Confirmation: Ensure strong selling volume below $10.65 before entering.
? Trailing Stop Strategy: Move SL to break-even ($10.65) after hitting TP1 ($10.05).

? Partial Profit Booking Strategy
✔ Take 50% profits at TP1 ($10.05), let the rest run toward TP2 ($9.26).
✔ Adjust Stop-Loss to Break-even ($10.65) after TP1 is reached.

⚠️ Risks & Considerations
❌ Fake Breakdown Risk: If the price reclaims $10.65, exit early.
❌ Confirmation Required: Wait for a 30-min candle close below $10.65 before entering.

? Final Thoughts
✔ Bearish Setup – Strong downside potential.
✔ Momentum Shift Possible – Watch for selling volume confirmation.
✔ Favorable Risk-Reward Ratio – 1:2.24 toward TP2.

? Stick to the plan, manage risk, and trade smart! ??
? #FINV #NYSE #ShortTrade #TradingView #ProfittoPath ??

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