INJ's move this time has a lot of character.
On the 15-minute chart, it directly surged with volume to break above the recent upper range. Trading volume reached 3.6 times the normal level, and volatility Z climbed to around 3 — volume and volatility resonating together, not some soft fake breakout. OI rose in sync as well; both the 15m and 1h readings showed incremental add-on positioning, with notional changes up 1.76% and 2.78% respectively. Most importantly, the abnormal OI percentile has already reached 98.4%, ranking third across the whole pool.
Do you know what this means?
This is not existing capital probing a resistance level; this is new leveraged longs entering with real money and pushing the move. Every step higher in price is being supported by open positions. Aggressive flow is -36%, and the buy-sell ratio is 2.13 — buy-side pressure is nearly twice that of sell-side. The capital stance is very clear.
I used to lose a lot chasing breakouts of this magnitude. Now I’ve gotten smarter: first look at the percentile, then the volume, and only then decide whether to get in. This indicator combination is pretty unusual even across the entire market. Data doesn't lie, but position management is on you.
On the 15-minute chart, it directly surged with volume to break above the recent upper range. Trading volume reached 3.6 times the normal level, and volatility Z climbed to around 3 — volume and volatility resonating together, not some soft fake breakout. OI rose in sync as well; both the 15m and 1h readings showed incremental add-on positioning, with notional changes up 1.76% and 2.78% respectively. Most importantly, the abnormal OI percentile has already reached 98.4%, ranking third across the whole pool.
Do you know what this means?
This is not existing capital probing a resistance level; this is new leveraged longs entering with real money and pushing the move. Every step higher in price is being supported by open positions. Aggressive flow is -36%, and the buy-sell ratio is 2.13 — buy-side pressure is nearly twice that of sell-side. The capital stance is very clear.
I used to lose a lot chasing breakouts of this magnitude. Now I’ve gotten smarter: first look at the percentile, then the volume, and only then decide whether to get in. This indicator combination is pretty unusual even across the entire market. Data doesn't lie, but position management is on you.
