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LEO Token

LEO | Market Cap: $9.46B
$10.2800
+1.22% (24h)
BUY Moderate 2/3 TF 2.5x R:R Breakout compression Suggested: 5x Leverage
Score: 67/100 Strategy: Breakout

Strategy Fit Scores

Each strategy re-weights the same indicators for its style (e.g. Momentum values RSI/volume more, Position values trend more). Fit score shows how well this coin matches each strategy — it is separate from the main signal score shown above. Stop/TP style: ATR + S/R + Fib. You can open using any strategy with fit ≥38.

Breakout Best Fit BUY fit 69
SL $10.2200 · TP1 $10.3700
Momentum BUY fit 66
SL $10.2200 · TP1 $10.3700
Swing BUY fit 62
SL $10.2000 · TP1 $10.4000
Trend Following BUY fit 60
SL $10.2000 · TP1 $10.4000
Scalping BUY fit 59
SL $10.2300 · TP1 $10.3300
Mean Reversion BUY fit 56
SL $10.2200 · TP1 $10.3700
Position HOLD fit 29
SL $9.9200 · TP1 $11.0000

Timeframe Analysis

1H STRONG BUY (70) RSI 61.79 ADX 12.87
4H STRONG BUY (83) RSI 61.03 ADX 44.04
1D LEAN BEAR (46) RSI 50

Score Breakdown

Every signal, filter, and market condition that contributed to the final score of 67. Green = adds to score, Red = reduces score.

1D Timeframe (35%)
46/100 raw · BEAR · Compression regime – 1D=35% / 4H=42% / 1H=23%
+16
→ 16
4H Timeframe (42%)
83/100 raw · BULL
+35
→ 51
1H Timeframe (23%)
70/100 raw · BULL
+16
→ 67
Final Score
67

Every Factor by Timeframe

Click any dimension row to expand every sub-factor that contributed to that score. Green = bullish points, Red = bearish points, Grey = neutral.

Trend /20 — EMA alignment, ADX strength, SMA stack
11 /1H
20 /4H
3 /1D
11 blend
Momentum /20 — RSI, MACD, Stochastic, momentum acceleration
12 /1H
11 /4H
6 /1D
9 blend
Volume /20 — Relative volume, VWAP position, volume trend
16 /1H
14 /4H
11 /1D
13 blend
Structure /20 — Market structure, S/R, BB position, OBs, FVGs, liquidity, patterns
20 /1H
20 /4H
13 /1D
17 blend
Volatility /10 — BB Squeeze, ATR volatility state, ADX trend quality
3 /1H
10 /4H
8 /1D
7 blend
Risk Quality /10 — S/R range tightness, ATR, ADX clarity, data length
8 /1H
8 /4H
5 /1D
7 blend

Trade Levels

Entry
$10.2800
Stop Loss
$10.2000
TP 1
$10.4000
TP 2
$10.4800
TP 3
$10.6000
Risk / Reward
2.5x

Why Take This Trade

2/3 timeframes agree - moderate confluence
Strategy: Breakout (best fit for compression regime)
1H: STRONG BUY (70/100) | 4H: STRONG BUY (83/100) | 1D: LEAN BEAR (46/100)
Momentum confirming on 1H
Volume supporting on 4H
Market structure favorable
1H: 1 bullish order block(s) in scope
1H: 1 bullish FVG zone(s) present
1H: Liquidity clusters (above/below) in view
4H: 1 bullish order block(s) in scope
4H: 1 bullish FVG zone(s) present
4H: Liquidity clusters (above/below) in view
1H: Bullish chart pattern: Inverse Head & Shoulders (with trend, breakout vol spike, close beyond boundary, near completion, high volume) [83% win rate] 100% complete
4H: Bullish chart pattern: Inverse Head & Shoulders (with trend) [83% win rate] 70% complete
Volume POC at $10.13
Fib 0.618 at $10.09

Why NOT Take This Trade

Signals arguing against this trade direction. Weigh these carefully.

1H: 1 bearish order block(s) in scope

Technical Indicators & Sentiment

Social Sentiment (Reddit + F&G + News)
NEUTRAL
Score: 50/100
Confidence: 0%
RSI (14)
61.79
ADX
12.87
Trend
UP
Structure
BULLISH
VWAP
$10.2100
MACD Hist
0.0113
Stoch K/D
87.97/82
ATR
$0.0403
BB Range
$10.0800 - $10.2900
Support
$10.1500
Resistance
$10.3000
Volume
SURGING
Rel Volume
2.73x
Vol POC
$10.1300
Fib 0.618
$10.0923