Why is everyone panicking over a minor dip when the broader market is still printing solid fundamentals?
Most retail traders get completely shaken out the moment $SOL drops a few percent, panic selling their bags right before the actual liquidity sweep finishes. They end up buying back at local tops because they mistake routine market cool-offs for structural collapses.
When the Fear & Greed Index sits around 70, volatility like this is simply healthy redistribution. Instead of reacting emotionally, the smarter move is watching key support retests and laddering bids in high-volume demand zones. Pairing your positioning with stable liquidity like $USDT while keeping tabs on layer-1 rotation into names like $ICP gives you a clear edge over those trading purely on fear.
What is your strategy for navigating these shakeouts?
#SolanaFallsOver3 #USAugADPJobsSmallestGainSinceJan
Most retail traders get completely shaken out the moment $SOL drops a few percent, panic selling their bags right before the actual liquidity sweep finishes. They end up buying back at local tops because they mistake routine market cool-offs for structural collapses.
When the Fear & Greed Index sits around 70, volatility like this is simply healthy redistribution. Instead of reacting emotionally, the smarter move is watching key support retests and laddering bids in high-volume demand zones. Pairing your positioning with stable liquidity like $USDT while keeping tabs on layer-1 rotation into names like $ICP gives you a clear edge over those trading purely on fear.
What is your strategy for navigating these shakeouts?
#SolanaFallsOver3 #USAugADPJobsSmallestGainSinceJan
