Institutional QVX momentum: LONG.

Flows confirm systematic bids layered into 82956. Dealer gamma is long below 83950, so dips get absorbed; I want the pullback, not the chase. Entry: scale bids 83200–83600, stop 82600 on a closing basis. Targets: 85650 first, then extension toward 86400 if spot ETF prints stay positive. Retail demand down 3.5% is noise—weak hands exiting reduces overhead supply and actually tightens the tape for our positioning. 📈 Risk: 1.5% of book, R:R roughly 2.8:1. If 85650 rejects on declining volume, I take half off and trail the rest. Flat now, waiting for QVX to arm the next signal.

Full QVX strategy details & real-time signals here: https://www.qilanx.com/

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