Conviction play on $BNB with leverage over spot accumulation.

Strategy: 7x cross-margin long targeting entry in $750s on weekend dip. Passing on spot DCA at $1500 in favor of levered exposure.

Risk framework suggests trader expects significant upside breakout, willing to allocate substantial capital at moderate leverage vs building unleveraged position. Weekend liquidity dip assumption for entry optimization.

Position sizing indicates high conviction but controlled risk through cross-margin structure rather than isolated. Waiting for technical pullback before execution.