【Comparison of Long and Short Position Structure 2026-09-23 16:20】

1️⃣ $ARKM $0.134600 24h +5.73%
Retail long/short ratio 1.59 (retail slightly net-long)
Large-holder position ratio 2.83|Active buy/sell ratio 0.81

2️⃣ $PORTAL $0.018770 24h -7.31%
Retail long/short ratio 1.39 (retail slightly net-long)
Large-holder position ratio 2.12|Active buy/sell ratio 0.90

3️⃣ $LA $0.079200 24h +5.04%
Retail long/short ratio 1.17 (retail balanced between long and short)
Large-holder position ratio 2.18|Active buy/sell ratio 1.21

ARKM’s position structure shows a funding rate of 0.0100% annualized 11.0%. Longs have a slight edge; the position size is 2.83M, basically unchanged. Retail is net-long; active sell orders are dominant; the direction of large holders and retail is broadly consistent. PORTAL’s funding rate is 0.0050% annualized 5.5%. Longs have a slight edge; the position size is 2.74M, clearly reduced. Retail is net-long; active buying and selling is relatively balanced; the direction of large holders and retail is broadly consistent. LA’s funding rate is 0.0050% annualized 5.5%. Longs have a slight edge; the position size is 4.96M, slightly reduced. Retail is balanced between long and short; active buy orders are dominant; the direction of large holders and retail is broadly consistent. ARKM longs are relatively more crowded; PORTAL shows de-risking/reduction; active buy orders are dominant on LA. This is only an objective description of the current position structure and does not indicate future direction. In a high-leverage environment, there are risks of volatility.

⚠️ Data only describes the current structure and does not predict direction
⚠️ DYOR; not investment advice

$ARKM $PORTAL $LA #多空博弈 #Contract data