🤣 What is the short side over there still performing with that high-level plunge? The active buy orders are more than half, buy volume presses down the sell volume, and the fee rates are steadily flashing red without taking a breath—this isn’t a sell-off chart. Even more ruthless: the big-holder accounts on the long side are still adding positions—longs make up 75%—with long exposure nearing 80%. They’re even borrowing money to go long. Can a retail investor pull off a setup like this? If you don’t believe it, keep shorting—big moves are still coming. Bottom-fishing and going long.