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岑夫子BTC
2.2k Posts

岑夫子BTC

主流币合约交易 X:@Rich36580
Open Trade
High-Frequency Trader
8.2 Years
56 Following
2.6K+ Followers
3.2K+ Liked
Posts
Portfolio
PINNED
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Bullish
Bitcoin starts a big bull market every 4 years. The next bull market will start next year, And every new bull market will refresh the high point of the previous bull market. In other words, the next bull market will Bitcoin starting price is at least 100,000, It is possible to reach 300,000 to 500,000. Do you still have the pie you bought for 2w? $BTC
Bitcoin starts a big bull market every 4 years.
The next bull market will start next year,
And every new bull market will refresh the high point of the previous bull market.
In other words, the next bull market will
Bitcoin starting price is at least 100,000,
It is possible to reach 300,000 to 500,000.
Do you still have the pie you bought for 2w? $BTC
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Bearish
The real culprit behind the $BCH dip—this coin is really suitable for swing trading {future}(BCHUSDT)
The real culprit behind the $BCH dip—this coin is really suitable for swing trading
The latest information has changed: In the oil market on September 10, the short-term trend has already shifted back into a “supply-shock trade,” rather than a simple demand-driven trade. If the Strait of Hormuz ultimately returns to normal, it will be difficult for oil prices above $100 to be sustained in the long term. So the three signals most worth watching right now are: ① The Strait of Hormuz’s actual daily transshipment volume ② The actual crude oil export volumes from Saudi Arabia/Iran ③ China’s crude oil imports + global inventories Once these three indicators simultaneously turn for the better, the logic for oil prices to fall back from above $100 to $90 or even $80 will become very strong$CL {future}(CLUSDT)
The latest information has changed:
In the oil market on September 10, the short-term trend has already shifted back into a “supply-shock trade,” rather than a simple demand-driven trade.

If the Strait of Hormuz ultimately returns to normal, it will be difficult for oil prices above $100 to be sustained in the long term.
So the three signals most worth watching right now are:
① The Strait of Hormuz’s actual daily transshipment volume
② The actual crude oil export volumes from Saudi Arabia/Iran
③ China’s crude oil imports + global inventories

Once these three indicators simultaneously turn for the better, the logic for oil prices to fall back from above $100 to $90 or even $80 will become very strong$CL
$BNB Let it drop, keep buying spot
$BNB Let it drop, keep buying spot
$SKHY long-term short positions; in terms of layout, using 3x is enough
$SKHY long-term short positions; in terms of layout, using 3x is enough
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Bearish
$CL Look at the funding rate—it's a bit lower. Open a short position directly; it will drop a lot {future}(CLUSDT)
$CL Look at the funding rate—it's a bit lower. Open a short position directly; it will drop a lot
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Bearish
Bearish but don't short; this funding rate is too outrageous $CL {future}(CLUSDT)
Bearish but don't short; this funding rate is too outrageous

$CL
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Bearish
$CL Crude oil issues must inevitably be resolved; just need low-multiple exposure.
$CL Crude oil issues must inevitably be resolved; just need low-multiple exposure.
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Bearish
See translation
岑夫子BTC
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$CL laid out a short position, low leverage low leverage
$CL laid out a short position, low leverage low leverage
$CL laid out a short position, low leverage low leverage
Professional trading performance analysis instructions to review and analyze my trading over the past few months [AI review]This is all the downloaded data packages, then handed over to DeepSeek [Please act as a professional trading performance analyst and, strictly using "complete position" (all batches merged in the same direction for the same instrument) as the statistical unit, conduct performance attribution on all provided historical positions, trade records, and current holdings. For closed positions, use the final profit and loss; for open positions, use "floating unrealized profit and loss + realized profit and loss within the position" and be sure to note "unlocked." If data is missing or there are conflicts in the definitions, state them clearly and never speculate. You need to calculate total profit and loss, win rate, average profit, average loss, profit-loss ratio, Profit Factor, expectancy, median profit and loss, maximum drawdown (state if data is insufficient), consecutive win/loss counts, and profit concentration (share of the top 3 profits), and perform cross-tabulation by long/short direction, instrument, holding period (grouped by days), and actual account leverage converted from "margin ratio × contract leverage." At the same time, inspect each trade for loss-averaging, overly rapid reversal within 24 hours, excessive profit concentration, and hidden position stacking behaviors, identify the top 3 best and worst performances, and distill the most replicable operating patterns; combined with a medium- to long-term style, evaluate profit-holding ability (whether profitable positions are held longer than losing ones) and stop-loss discipline (whether losses are delayed), and finally output conclusions in three parts: "strengths, weaknesses, and the top-priority improvement rules (1~3 specific and actionable items)." Please attach the data below and start the analysis immediately.]

Professional trading performance analysis instructions to review and analyze my trading over the past few months [AI review]

This is all the downloaded data packages, then handed over to DeepSeek
[Please act as a professional trading performance analyst and, strictly using "complete position" (all batches merged in the same direction for the same instrument) as the statistical unit, conduct performance attribution on all provided historical positions, trade records, and current holdings. For closed positions, use the final profit and loss; for open positions, use "floating unrealized profit and loss + realized profit and loss within the position" and be sure to note "unlocked." If data is missing or there are conflicts in the definitions, state them clearly and never speculate. You need to calculate total profit and loss, win rate, average profit, average loss, profit-loss ratio, Profit Factor, expectancy, median profit and loss, maximum drawdown (state if data is insufficient), consecutive win/loss counts, and profit concentration (share of the top 3 profits), and perform cross-tabulation by long/short direction, instrument, holding period (grouped by days), and actual account leverage converted from "margin ratio × contract leverage." At the same time, inspect each trade for loss-averaging, overly rapid reversal within 24 hours, excessive profit concentration, and hidden position stacking behaviors, identify the top 3 best and worst performances, and distill the most replicable operating patterns; combined with a medium- to long-term style, evaluate profit-holding ability (whether profitable positions are held longer than losing ones) and stop-loss discipline (whether losses are delayed), and finally output conclusions in three parts: "strengths, weaknesses, and the top-priority improvement rules (1~3 specific and actionable items)." Please attach the data below and start the analysis immediately.]
$ZEC is undoubtedly a fake coin
$ZEC is undoubtedly a fake coin
#挖矿算力 zec still has 20% left to be mined, the price has hit a new high, and half a year ago miners were still at a loss; now mining machines are basically money printers
#挖矿算力 zec still has 20% left to be mined, the price has hit a new high, and half a year ago miners were still at a loss; now mining machines are basically money printers
#1 on the popularity list, #1 on the liquidation list too $ZEC {future}(ZECUSDT) c
#1 on the popularity list, #1 on the liquidation list too

$ZEC
c
岑夫子BTC
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$ZEC is already the king of knockoffs. What would you do next to deal with it?
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