$QUANT in six numbers: 280.80 / 24h -10.40% / 2h -3.11% / range pos 23.5% / funding 0.0047% / 24h vol 9M.

$QUANT last 280.80, 24h -10.40%, sitting at 23.5% of the 24h range 274.30 - 313.90.

On 15m, 1 of the last six candles closed green - sellers in control.

On 2H, range 274.30 - 313.90, price at 23.5%.

Levels, straight numbers:

$QUANT resistance 293.80 (last 8x 15m high).

Support 274.30 (last 8x 15m low).

Funding 0.0047%, flat — no leverage build-up on the perp side.

[$QUANT VIEW] CAUTIOUSLY BEARISH (12-24h)

[WHY] 1) 1 of last 6 15m candles green, momentum weak; 2) price at 23.5% of the 24h range, near the low — limited downside

[TRIGGER] reclaim 293.80 and hold two 15m candles -> view flips stronger; lose 274.30 -> view flips bullish or void

[INVALIDATION] A high-volume 15m candle closing back through the level = stop-run, this view is void.

This round: CAP +19.97%, MON +16.31%, HUMA +14.12%, QUANT -10.40%, 2Z -8.07%, MEW -7.57% — Given those six numbers, how would you size $QUANT?