To be honest, the accumulation window doesn’t wait for anyone. I watched this rebound in $Q for a long time, but the volume just didn’t catch up at all. That’s the classic pattern of a sharp rise followed by a slow drift down coming back again. What the chart feels like to me is this—someone is distributing in batches overhead. Each time it’s pushed higher, it gives the trapped earlier holders a chance to get out and break even, not a trend reversal driven by fresh capital flowing in. Let’s look at the four-hour timeframe: the peak of this rebound is lower than the last time, and the lows are being confirmed one after another, which shows the bears haven’t lost control of the tempo. After that big-volume bearish candle dropped earlier, the subsequent rebounds have all been on shrinking volume. This kind of volume-price divergence shows up far too often in a downward range. And which time hasn’t it bounced and then continued to go look for support underneath?

The market never lies. Without sustained buying power to hold prices up, in the end everything has to return to where it’s supposed to go. I think $Q still needs to come back to test the dense trading area below. The risk-reward ratio is on the table: upward space is tightly suppressed by the moving averages, while the downside is basically open ground. For friends chasing longs at this level, let me ask you one question—what signal did you see that I might have missed? Anyway, based on the information my system reads, the bears haven’t finished yet, and talking about a reversal is still too early.

In terms of execution, we keep a bearish mindset. Don’t rush to take a big position. Wait for the rebound to lose steam, then look for a better entry point—it’s safer. If this drop can go through smoothly, the profit potential is much more comfortable than chasing a rally. Remember: in a sideways market, the biggest taboo is letting one green candle change your conviction. As long as the structure hasn’t broken, just follow the bigger direction.

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