Why is nobody talking about the volatility window opening after the 14th?

Most traders lose money here because they chase the first move instead of waiting for structure. A 6,8% swing on $BTC sounds clean, but if your entry is late, that same move becomes a trap.

My take: the move after the 14th matters less than the confirmation around it. If $BTC breaks cleanly and holds key structure, I’d look for continuation setups. If it wicks hard and fails to reclaim, that’s usually where impatient longs get punished.

Action plan is simple: mark the range before the volatility hits, wait for a breakout or breakdown with confirmation, and don’t force trades in the middle. $ETH and $SOL will likely react to the same liquidity shift, but $BTC structure should lead the decision.

Where do you think the 6,8% move goes from here? #Bitcoin #CryptoTrading #BinanceSquare