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Publicaciones del Canal
Looking back, it seemed so obvious... During the prolonged downtrend, when fear dominated sentiment and liquidity thinned out, I deliberately focused on strategic accumulation rather than emotional reaction. Cycles reward those who position at compression, not those who chase expansion. The following were the assets I systematically added to my portfolio at what I considered bottom-value zones: On Binance: $Pepe, $Jasmy, $Floki, $ICP, $NEIRO, $Bonk, $XEC, $LUNC, $Meme, $Shiba, $Spell, $Dogs, $Gala On KuCoin: $MOG, $CREDI, $X, $WEN, $COQ, $DC, $ELON, $TARA, $MEMEFI, $VINU On Bitget: $QUBIC, $PI, $SATS, $BABYDOGE, $SOL, $BNB, $RATS, $HMSTR, $SLP These selections were not impulsive entries but calculated allocations made during structural weakness, when valuations were deeply discounted and sentiment was overwhelmingly bearish. Accumulation during downturns requires conviction, liquidity management, and tolerance for short-term volatility. You may consider adding some or all to your portfolio depending on your equity strength, risk appetite, and long-term strategy. Capital preservation remains paramount; position sizing should always reflect your financial capacity and investment horizon.✍🏻✍🏻✍🏻✍🏻✍🏻

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Sin texto...
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Go and view my status from beginning to end and do the needful........if you can't see my status, save my contact (+2349090300091) with RAPHEAL A PRINCE and slide to my dm with your full name to save yours.✍🏻✍🏻✍🏻✍🏻✍🏻
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$X on Kucoin did 130% today; pay attention, please.✍🏻✍🏻✍🏻✍🏻✍🏻
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Low-key, $Lunc, and $Dogs have done more than 100%. Keep positioning yourself before it's too late because the bullrun will come like a view once😂, and it won't last forever.✍🏻✍🏻✍🏻✍🏻✍🏻
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Hold your positions. We are on a bullish ride.✍🏻✍🏻✍🏻✍🏻✍🏻
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FUTURE TRADE SIGNAL ⚔️ $PNUT/USDT – Long Setup 📈 After a prolonged downtrend, price printed a strong impulsive spike followe
FUTURE TRADE SIGNAL ⚔️ $PNUT/USDT – Long Setup 📈 After a prolonged downtrend, price printed a strong impulsive spike followed by a controlled pullback, this is a classic sign of early accumulation + momentum shift. Now holding above key support with MA alignment tightening i.e potential continuation move incoming. Leverage: 5x – 15x (stay conservative — volatile pair) Type: Cross Entry Zone: ➡️ $0.048 – $0.052 (current consolidation zone) ➡️ Add more on wick rejections near $0.047 Take Profit Targets: 🎯 TP1: $0.058 🎯 TP2: $0.065 🎯 TP3: $0.072 🎯 TP4: $0.085 🎯 TP5: $0.10 Stop Loss: 🛑 $0.043 (below structure support — invalidation zone) Trade based on your experience and don't over expose your portfolio.✍🏻✍🏻✍🏻✍🏻✍🏻
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Watch your trade guys, keep taking profits off the table. ✍🏻✍🏻✍🏻✍🏻✍🏻
Watch your trade guys, keep taking profits off the table. ✍🏻✍🏻✍🏻✍🏻✍🏻
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Take a few minutes to view my WhatsApp status from beginning to end. Don’t skim it. If it resonates, share it with your friends and family or repost it on your own status. We can’t keep normalising the kind of relationship culture that is clearly failing people. If you’re seeing this and you’re not in my contacts yet, save my number and send me a DM so I can save yours, too. ✍🏻✍🏻✍🏻✍🏻✍🏻
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Price is showing a strong breakout structure after a period of consolidation. Momentum is building, and buyers are stepping i
Price is showing a strong breakout structure after a period of consolidation. Momentum is building, and buyers are stepping in with increasing strength, indicating the start of a potential expansion phase. Entry Strategy: ➡️ Current Zone / Minor Pullbacks ➡️ Ideal re-entry on retest of breakout level Targets (Mid–Long Term): 🎯 $0.30 🎯 $0.40 🎯 $0.50 🎯 $0.60 Invalidation / Risk Control: 🛑 Breakdown below recent support zone (watch structure closely) Market Insight: This setup looks like an early-stage momentum play, typical of low-cap Solana tokens after breakout. If volume sustains, upside continuation is highly likely.✍🏻✍🏻✍🏻✍🏻✍🏻
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FUTURE TRADE 🔥 $PIPPIN/USDT – Long Setup 📈 The market is showing signs of bottom formation after a heavy correction. Price
FUTURE TRADE 🔥 $PIPPIN/USDT – Long Setup 📈 The market is showing signs of bottom formation after a heavy correction. Price is compressing near support with decreasing sell pressure and a potential reversal zone if momentum steps in. Setup Details: Leverage: 5x – 20x (manage risk properly) Type: Cross Entry Zone: ➡️ $0.021 – $0.025 Take Profit Targets: 🎯 TP1: $0.026 🎯 TP2: $0.028 🎯 TP3: $0.030 🎯 TP4: $0.035 Stop Loss: 🛑 $0.017 (below key support – invalidation zone) Bias: Short-term relief bounce / scalp-to-swing play. If volume increases, this could extend beyond TP4. Key Insight: After a parabolic move and sharp dump, assets like this often print a dead-cat bounce or early accumulation rally. This setup is targeting that window.✍🏻✍🏻✍🏻✍🏻✍🏻
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2026 FUTURES TRADE CHALLENGE ✅ Take a long position on LISTAUSDT on futures trade below the current market price on the above image...... With a leverage of 5X, use 20% of your futures portfolio ✅ With a leverage of 10X, use 15% of your futures portfolio ✅ With a leverage of 15X, use 10% of your futures portfolio ✅ With a Leverage of 20X, use 5% of your futures portfolio ✅ Your leverage should be as per your experience, but it should not be higher than 20X to minimise risk for a good portfolio management....... Do DCA when the market presents such an opportunity or give yourself Stoploss price when the trade becomes uncomfortable. when moving drastically, close position on incredible profit..... Your sell target should work with your leverage portfolio ✅ 20X Leverage should sell from 50% profit and above✅ 15X Leverage should sell at 40% profit and above ✅ 10X Leverage should sell at 30% profit and above ✅ 5X Leverage should sell at 20% profit and above ✅ Pay attention to the call details for efficient results ✍🏻✍🏻✍🏻✍🏻✍🏻
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Sin texto...
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Rapheal A Prince believes many trader loses not because the market is unfair but because their execution lacks structure and risk control. Let me share a practical approach that explains this clearly. Assume a trade setup is shared with an entry range of 1.00 to 1.10. A disciplined trader does not deploy full trading capital at once. Instead, you allocate only 30% of your intended margin at the upper confirmation zone around 1.10 while reserving the remaining 70% to be patiently deployed between 1.00 and 1.09 if price retraces into the zone. This approach allows you to average intelligently rather than chase price. However, structure also means knowing when not to trade. If price breaks above 1.11 without filling your planned entries, you do not force a position. You walk away and wait for the next opportunity. Capital preservation is also a position. Now, let us extend this discipline to portfolio-level risk management. Suppose your total wallet balance is $1,000, and you plan to run multiple trades simultaneously, say between five and ten positions. The rule is simple: never risk more than 10 to 20% of your total wallet across all open trades. For example, with a $1,000 wallet, your total deployed margin across five trades might look like this: First trade: $30 margin with 20x leverage Second trade: $30 margin with 15x leverage Third trade: $40 margin with 10x leverage Fourth trade: $50 margin with 10x leverage Fifth trade: $50 margin with 10x leverage Your total margin exposure across all five trades is $200, which is only 20% of your wallet balance. This structure ensures that even if the market behaves unexpectedly, your account remains protected and emotionally stable. This is how professional traders survive long enough to become profitable. Trading is not about going all in on one idea. It is about controlled exposure, patience, and repeatable execution. Losses may still occur, but they remain manageable. Profits, when they come, compound naturally. Consistency in trading is not built on excitement. It is built on discipline, position sizing, and knowing when to stay out of the market. When you trade this way, you stop gambling and start managing capital. That is the difference between losing repeatedly and trading with intention.✍🏻✍🏻✍🏻✍🏻✍🏻
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Sin texto...
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Looking back, it seemed so obvious... During the prolonged downtrend, when fear dominated sentiment and liquidity thinned out, I deliberately focused on strategic accumulation rather than emotional reaction. Cycles reward those who position at compression, not those who chase expansion. The following were the assets I systematically added to my portfolio at what I considered bottom-value zones: On Binance: $Pepe, $Jasmy, $Floki, $ICP, $NEIRO, $Bonk, $XEC, $LUNC, $Meme, $Shiba, $Spell, $Dogs, $Gala On KuCoin: $MOG, $CREDI, $X, $WEN, $COQ, $DC, $ELON, $TARA, $MEMEFI, $VINU On Bitget: $QUBIC, $PI, $SATS, $BABYDOGE, $SOL, $BNB, $RATS, $HMSTR, $SLP These selections were not impulsive entries but calculated allocations made during structural weakness, when valuations were deeply discounted and sentiment was overwhelmingly bearish. Accumulation during downturns requires conviction, liquidity management, and tolerance for short-term volatility. You may consider adding some or all to your portfolio depending on your equity strength, risk appetite, and long-term strategy. Capital preservation remains paramount; position sizing should always reflect your financial capacity and investment horizon.✍🏻✍🏻✍🏻✍🏻✍🏻
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🚨 $RAVE/USDT — FUTURES TRADE SETUP (HIGH RISK / HIGH VOLATILITY) 📉🔥 The current move on $RAVE is extremely aggressive, over +100% in a single leg, which typically signals blow-off top behaviour rather than sustainable growth. From available data, only ~24% of supply is circulating, meaning high dilution + volatility risk remains a key factor for traders. 🔴 TRADE SETUP: SHORT Bias: Bearish (post-pump exhaustion) ⚡ ENTRY ZONE $17.5 – $21.5 👉 This is the distribution / trap zone where late buyers enter 🎯 TARGETS TP1: $17 TP2: $16 TP3: $15 TP4: $14 Extended Targets (if dump accelerates): ⚠️ $10 → $5 → $1 🛑 STOP LOSS $25 👉 Above this = trend continuation / squeeze risk 💰 POSITION MANAGEMENT • Margin: Less than 10% of your portfolio. • Leverage: Low leverage 🧠 MARKET READ • Parabolic move = unsustainable • Likely liquidity grab at the top • Early buyers already in the profit → distribution phase • High chance of sharp pullback before continuation or full dump 🐋 SMART MONEY MOVE After a 90x+ pump: ✔ Retail chases green candles ✔ Smart money exits into liquidity ✔ Price retraces violently 👉 This is where shorts get paid (if timed well)✍🏻✍🏻✍🏻✍🏻✍🏻
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Sin texto...
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Position closed on lose. ✍🏻✍🏻✍🏻✍🏻✍🏻
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🚨 $RAVE/USDT — BEARISH SETUP ALERT 📉🔥 Market structure on $RAVE is showing clear weakness from this level. I expect a cont
🚨 $RAVE/USDT — BEARISH SETUP ALERT 📉🔥 Market structure on $RAVE is showing clear weakness from this level. I expect a continued downside move from here → $5 zone, and if that level fails to hold, we could see an extended drop towards $1 in the macro leg. 🔴 TRADE IDEA (FUTURES) Bias: Bearish Strategy: Short on weakness / rejection Targets: TP1: $5 TP2: $3 TP3: $1 Note: Take a short position on low leverage.✍🏻✍🏻✍🏻✍🏻✍🏻
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