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CryptoBullMaker
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CryptoBullMaker

| NEVER WILL DM U FIRST | Finding best low cap Gems for my future wales 😶‍🌫️ | DYOR | NFA ♥️ twitter @cryptobullmaker
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Tərcüməyə bax
Buying $GIGGLE here when everyone is afraid Will Be next $TUT I gave TUT too before 20x But few will be able to add with me like $Tut before fomo Most will miss and fomo at top ✍️
Buying $GIGGLE here when everyone is afraid

Will Be next $TUT I gave TUT too before 20x

But few will be able to add with me like $Tut before fomo

Most will miss and fomo at top ✍️
Tərcüməyə bax
Most traders don't lose because they picked the wrong coin. They lose because they bought the right coin at the wrong time. Here's what that looks like in practice. ** $WLFI ** I flagged it near support. Almost nobody wanted it. Two days later it was ~30% higher right at the area where I take first TP. That's when the FOMO showed up. Same asset. Different price. Opposite emotion. Early buyers were already managing profit. Late buyers were only starting to feel safe. Then price tagged the TP zone and the crowded late longs got flushed. ** $ETH at $1,600** Same script, bigger scale. People were calling for $800. I got cursed for being bullish. ETH runs toward $2,400 and suddenly it's "obviously bullish." The crowd gets confident *after* the asymmetric entry is gone. Every time. **Why this keeps happening** Whales don't need to know the future. They need to know where the liquidity is sitting. After a strong move, late longs build the map for them: - open interest expands - leverage climbs - liquidation clusters stack underneath - stops pile up at the same obvious support That's not a chart anymore. That's a menu. Price goes where the fuel is. And the fuel usually gets taken. **What to do with this** 1. **Buy fear, not excitement.** The good entries feel bad. 2. **Sell into FOMO, not panic.** When "it can't go down" becomes consensus, start reducing. 3. **Read positioning, not just candles.** OI, funding and liquidation clusters tell you who is trapped. 4. **Don't inherit anyone's bias — mine included.** When price invalidates the thesis, you update. 5. **You don't need to be right every time.** A repeatable process with real risk management beats a hot take. 6. **Respect leverage.** Spot gives you the one thing leveraged traders run out of: time. Scale in. Keep liquidation far away or don't carry one at all. And put your stop where your thesis breaks, not where everyone else parked theirs. Buy fear. Sell excitement. Manage risk. Repeat.
Most traders don't lose because they picked the wrong coin.

They lose because they bought the right coin at the wrong time.

Here's what that looks like in practice.

** $WLFI **

I flagged it near support. Almost nobody wanted it.

Two days later it was ~30% higher right at the area where I take first TP.

That's when the FOMO showed up.

Same asset. Different price. Opposite emotion.

Early buyers were already managing profit. Late buyers were only starting to feel safe.

Then price tagged the TP zone and the crowded late longs got flushed.

** $ETH at $1,600**

Same script, bigger scale.

People were calling for $800. I got cursed for being bullish.

ETH runs toward $2,400 and suddenly it's "obviously bullish."

The crowd gets confident *after* the asymmetric entry is gone. Every time.

**Why this keeps happening**

Whales don't need to know the future. They need to know where the liquidity is sitting.

After a strong move, late longs build the map for them:

- open interest expands
- leverage climbs
- liquidation clusters stack underneath
- stops pile up at the same obvious support

That's not a chart anymore. That's a menu.

Price goes where the fuel is. And the fuel usually gets taken.

**What to do with this**

1. **Buy fear, not excitement.** The good entries feel bad.

2. **Sell into FOMO, not panic.** When "it can't go down" becomes consensus, start reducing.

3. **Read positioning, not just candles.** OI, funding and liquidation clusters tell you who is trapped.

4. **Don't inherit anyone's bias — mine included.** When price invalidates the thesis, you update.

5. **You don't need to be right every time.** A repeatable process with real risk management beats a hot take.

6. **Respect leverage.** Spot gives you the one thing leveraged traders run out of: time.

Scale in. Keep liquidation far away or don't carry one at all.

And put your stop where your thesis breaks, not where everyone else parked theirs.

Buy fear.
Sell excitement.
Manage risk.
Repeat.
Tərcüməyə bax
$BERA shared before the pump
$BERA shared before the pump
Tərcüməyə bax
$GAS quick scalp
$GAS quick scalp
Məqalə
Tərcüməyə bax
The most interesting thing about $ETH right now isn't price.It's that Ethereum may be carrying unfinished inventory from the last cycle directly into the next Bitcoin cycle. A failed auction is not the same thing as a completed expansion. ETH broke its 2021 ATH in 2025. But there was no sustained value creation above $4.8K-$5K, no ETH/BTC expansion, no durable spot-led discovery. The market auctioned above the old high, found no acceptance, and returned into the prior multi-year balance. Inventory left unfinished. Not distributed. Parked. Positioning underneath it: Top Trader L/S - Positions 1.70 / Accounts 1.34. Size leaning longer than headcount. Net Shorts ~1.24M vs Net Longs ~936K CVD: -$48.47M Aggressive flow is still sell-dominant. But that blended CVD hides the only variable that decides this: futures or spot. Futures CVD at new lows while price holds = absorption. Spot CVD at new lows alongside it = distribution. Same headline number. Opposite outcomes. So the falsifiable version: Confirmed = futures CVD keeps making new lows while price refuses to, AND spot CVD turns up. Wrong = spot CVD makes new lows right with it. Now the size-class problem almost nobody applies to ETH. ~1.24M ETH short at ~$2.35K is ~$2.9B of coverable book against a ~$280B cap. Ratio ~0.01. A short book has to approach a quarter of market cap before positioning alone can produce a 3x. ETH's is one percent. So let me kill the lazy version myself: there is no short squeeze to $10K. There was never going to be one. Which is exactly why sequencing matters. At this size leverage can't be the source. Only an amplifier on a spot move that already exists. Futures/Spot Volume Ratio: 16.05. BTC's is ~7.5. ETH is still twice as derivatives-led as Bitcoin. A perp market with a spot market attached. The regime shift looks like: spot flow improves first, price responds, OI expands second, funding stays contained. And "spot improves" isn't a chart pattern. It's ETF net creations and the staked/illiquid share of supply. If 16 compresses toward BTC's 7-8 while price holds, the bid has changed composition. Then short inventory becomes reflexive fuel: the accelerant, not the engine. But the real macro signal is ETH/BTC. Ratio today ~0.031, and up ~20% against BTC over the past month. The relative-strength recovery I'm forecasting for 2027 has already started twitching. Reclaims to watch: 0.04 -> 0.05 -> 0.06+ Then the arithmetic, stated honestly. 0.08 at BTC $125K implies ~$10K ETH. But BTC is ~$77K and the ratio is 0.031. That's a compound bet: BTC +60% AND ETH/BTC +150%, to a level above its Aug 2025 high near 0.068. Not a base case. The upper bound. Independently, ETH/USD: Macro balance ~$880 -> ~$5K Width ~$4.12K Acceptance above $5K projects ~$9.1K, with the $10K liquidity cluster right above. Two frameworks, same neighborhood. But spot is ~$2.3K. $9.1K doesn't activate until acceptance above $5K, roughly +115% away. $5K is the trigger. $9.1K is what comes after the trigger. And the timeline may be the thing everyone gets wrong. 2026 = inventory transfer. 2027 = ETH/BTC relative-strength recovery. Then into the 2028 halving era after years compressed beneath the same ceiling. Not "ETH missed the cycle." But: ETH's expansion was delayed long enough to overlap with the next one. A thesis without invalidation is just hope, so: Wrong if spot and futures CVD both make new lows and price follows. Wrong if futures/spot stays above ~15 on any rally. The bid never changed. Wrong if ETH/BTC loses its base and makes fresh cycle lows. And if ETH is deep into 2028 still under $5K, "delayed expansion" stops being the explanation and "repriced asset" becomes it. That's the scenario I'm watching, and those are the conditions that take me out of it.

The most interesting thing about $ETH right now isn't price.

It's that Ethereum may be carrying unfinished inventory from the last cycle directly into the next Bitcoin cycle.
A failed auction is not the same thing as a completed expansion.
ETH broke its 2021 ATH in 2025. But there was no sustained value creation above $4.8K-$5K, no ETH/BTC expansion, no durable spot-led discovery. The market auctioned above the old high, found no acceptance, and returned into the prior multi-year balance.
Inventory left unfinished. Not distributed. Parked.
Positioning underneath it:
Top Trader L/S - Positions 1.70 / Accounts 1.34. Size leaning longer than headcount.
Net Shorts ~1.24M vs Net Longs ~936K
CVD: -$48.47M
Aggressive flow is still sell-dominant. But that blended CVD hides the only variable that decides this: futures or spot.
Futures CVD at new lows while price holds = absorption.
Spot CVD at new lows alongside it = distribution.
Same headline number. Opposite outcomes.
So the falsifiable version:
Confirmed = futures CVD keeps making new lows while price refuses to, AND spot CVD turns up.
Wrong = spot CVD makes new lows right with it.
Now the size-class problem almost nobody applies to ETH.
~1.24M ETH short at ~$2.35K is ~$2.9B of coverable book against a ~$280B cap. Ratio ~0.01.
A short book has to approach a quarter of market cap before positioning alone can produce a 3x. ETH's is one percent.
So let me kill the lazy version myself: there is no short squeeze to $10K. There was never going to be one.
Which is exactly why sequencing matters. At this size leverage can't be the source. Only an amplifier on a spot move that already exists.
Futures/Spot Volume Ratio: 16.05. BTC's is ~7.5.
ETH is still twice as derivatives-led as Bitcoin. A perp market with a spot market attached.
The regime shift looks like: spot flow improves first, price responds, OI expands second, funding stays contained.
And "spot improves" isn't a chart pattern. It's ETF net creations and the staked/illiquid share of supply. If 16 compresses toward BTC's 7-8 while price holds, the bid has changed composition. Then short inventory becomes reflexive fuel: the accelerant, not the engine.
But the real macro signal is ETH/BTC.
Ratio today ~0.031, and up ~20% against BTC over the past month. The relative-strength recovery I'm forecasting for 2027 has already started twitching.
Reclaims to watch: 0.04 -> 0.05 -> 0.06+
Then the arithmetic, stated honestly.
0.08 at BTC $125K implies ~$10K ETH. But BTC is ~$77K and the ratio is 0.031. That's a compound bet: BTC +60% AND ETH/BTC +150%, to a level above its Aug 2025 high near 0.068.
Not a base case. The upper bound.
Independently, ETH/USD:
Macro balance ~$880 -> ~$5K
Width ~$4.12K
Acceptance above $5K projects ~$9.1K, with the $10K liquidity cluster right above.
Two frameworks, same neighborhood.
But spot is ~$2.3K. $9.1K doesn't activate until acceptance above $5K, roughly +115% away. $5K is the trigger. $9.1K is what comes after the trigger.
And the timeline may be the thing everyone gets wrong.
2026 = inventory transfer.
2027 = ETH/BTC relative-strength recovery.
Then into the 2028 halving era after years compressed beneath the same ceiling.
Not "ETH missed the cycle."
But: ETH's expansion was delayed long enough to overlap with the next one.
A thesis without invalidation is just hope, so:
Wrong if spot and futures CVD both make new lows and price follows.
Wrong if futures/spot stays above ~15 on any rally. The bid never changed.
Wrong if ETH/BTC loses its base and makes fresh cycle lows.
And if ETH is deep into 2028 still under $5K, "delayed expansion" stops being the explanation and "repriced asset" becomes it.
That's the scenario I'm watching, and those are the conditions that take me out of it.
$ALT ən yaxşı qrafiklərdən biri tapdığım 1/2 hekayə qatının momentum qazanması Binancedə breakout olan ən təmiz qrafik Fomo olmadan ala bildiyin müddətcə almanı məsləhət görürəm
$ALT ən yaxşı qrafiklərdən biri tapdığım

1/2 hekayə qatının momentum qazanması
Binancedə breakout olan ən təmiz qrafik

Fomo olmadan ala bildiyin müddətcə almanı məsləhət görürəm
$FIGHT Breakout tam olaraq aşağıdan bağlanıb Buradan yalnız yuxarı başlayacaq
$FIGHT Breakout tam olaraq aşağıdan bağlanıb

Buradan yalnız yuxarı başlayacaq
$PRL 130% yalnız 15 gün ərzində mükəmməl breakout Biz 0.18 əlavə etdik Cari Qiymət 0.42 Növbəti $PLAY eyni qiymət hərəkəti ilə 2x + Məni dəstəkləyin və mənim ailəm ❤️
$PRL 130% yalnız 15 gün ərzində mükəmməl breakout

Biz 0.18 əlavə etdik
Cari Qiymət 0.42

Növbəti $PLAY eyni qiymət hərəkəti ilə 2x +

Məni dəstəkləyin və mənim ailəm ❤️
$BTC 2-3 ay ərzində 58-65k aralığında dəyişəcək Sonra dump 48k, dibə 48k-dan sonra bullrun başlayacaq Ez
$BTC 2-3 ay ərzində 58-65k aralığında dəyişəcək

Sonra dump 48k, dibə

48k-dan sonra bullrun başlayacaq

Ez
$TRADOOR Breakout geri yoxlama tamamlandı
$TRADOOR Breakout geri yoxlama tamamlandı
$4 Bull ilə yalnız
$4 Bull ilə yalnız
$XAN siz kimə əməl etməli olduğunuzu bilirsiniz; inamla uğurlu zənglər üçün ❤️ Növbəti $4
$XAN siz kimə əməl etməli olduğunuzu bilirsiniz; inamla uğurlu zənglər üçün ❤️

Növbəti $4
Sizə xoş gəlmisiniz $IN 2x Ən pis bazarda belə yalnız sizə xilas etmədik, mənfəətlər əldə etdik
Sizə xoş gəlmisiniz

$IN 2x Ən pis bazarda belə yalnız sizə xilas etmədik, mənfəətlər əldə etdik
CryptoBullMaker
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<br><br>Növbəti 10x sikkə olacaq

Tezliklə 1$-da olacaq
Dodo bir neçə xs üçün hazır görünür
Dodo bir neçə xs üçün hazır görünür
3 günə 2x. 📈 $MANTA : $0.08-dən al, hədəf $0.16. +100%. Leverage (leveraj) yoxdur, sadəcə məntiqli bir səviyyə Bu ay vuran ən yaxşı çağırışın hansıdır? Aşağıda yaz 👇 İndi $APR -ə də diqqət yetir: çox bənzər qrafik strukturu formalaşır.
3 günə 2x. 📈
$MANTA : $0.08-dən al, hədəf $0.16. +100%.
Leverage (leveraj) yoxdur, sadəcə məntiqli bir səviyyə
Bu ay vuran ən yaxşı çağırışın hansıdır? Aşağıda yaz 👇

İndi $APR -ə də diqqət yetir: çox bənzər qrafik strukturu formalaşır.
CryptoBullMaker
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$MANTA breaking out
<br><br>Növbəti 10x sikkə olacaq Tezliklə 1$-da olacaq
<br><br>Növbəti 10x sikkə olacaq

Tezliklə 1$-da olacaq
$MANTA 0.5 asanlıqla mümkündür
$MANTA 0.5 asanlıqla mümkündür
$APR breakout today Ez 0.4 hədəf
$APR breakout today

Ez 0.4 hədəf
Daha çox kontent araşdırmaq üçün daxil olun
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