LINK quietly builds a position — funding cold, OI climbing, yet the chart hasn't moved yet 👀
📌 Why it's on my radar: • Funding settled at 0.007% and drifting lower — shorts keep paying, squeeze fuel is building • Open interest +3.6% over 4h — new money, not closing — direction is being built • Taker buy/sell 1.34x — buyers lean on the tape while price stays quiet • RS +3.0 vs BTC over 24h — the tape is not fading while money flows in
⚠️ I wait for the position to show, I don't chase it: Flow tells me where money is quietly building. I enter only on a pullback into the zone — the setup, not the spike.
🧠 Signs I'm watching for: — Funding staying negative/cold through the retest (squeeze fuel intact) — OI holding or rising on the dip (no exit, just accumulation) — Taker leaning back my way on the re-test
🎯 My personal trade plan (Binance Futures · 10x — not a call): • Entry zone: 12.54 – 12.74 (price now: 12.727) — wait for the pullback • Stop-loss: 12.35 (-3% from entry) • Targets: TP1 13.11 (+3%) · TP2 13.49 (+6%) · TP3 14 (+10%) • Rule: once TP1 hits, SL moves to entry — a winning trade never becomes a losing one. 🔒 Gate: wait for the pullback into the zone, don't chase.
❓ Cold funding + rising OI + quiet price — is this the base before the squeeze, or are we early for a reason? Which metric matters most to you — funding, OI, or taker flow? Note: fiyat 90d high'a gore %-0.08 (high90=12.730) -> TEPEDE/tepeye yapisik veya ustune gecmis: kosan trene binme riski (TIA dersi). TP1 fiyatin altindaysa ELE
ADA спокойно наращивает позицию — финансирование холодное, OI растёт, но график пока не сдвинулся 👀
📌 Почему это в моём фокусе: • Финансирование закрепилось на 0.009% и дрейфует ниже — шорты продолжают платить, топливо для сжатия накапливается • Открытый интерес +4.2% за 4ч — заходит новая ликвидность, а не закрывается — формируется направление • Taker buy/sell 1.29x — покупатели давят на стакан, пока цена ведёт себя тихо • RS -1.1 к BTC за 24ч — лента не затухает, при том что деньги заходят
⚠️ Я жду, пока позиция проявится, а не догоняю: Flow подсказывает, где деньги тихо накапливаются. Я вхожу только на откате в зону — не на импульсе.
🧠 На что смотрю: — Финансирование остаётся отрицательным/холодным на ретесте (топливо для сжатия сохранено) — OI держится или растёт на падении (нет выхода, только накопление) — Taker разворачивается в мою сторону на ретесте
🎯 Мой личный торговый план (Binance Futures · 10x — не рекомендация): • Зона входа: 0.2384 – 0.2422 (цена сейчас: 0.242) — ждём откат • Стоп-лосс: 0.2347 (-3% от входа) • Цели: TP1 0.2493 (+3%) · TP2 0.2565 (+6%) · TP3 0.2662 (+10%) • Правило: как только TP1 достигнут, SL переносится во вход — выигрышная сделка не должна превращаться в убыточную. 🔒 Ворота: дождаться отката в зону, не гнаться.
❓ Холодное финансирование + растущий OI + спокойная цена — это база перед сжатием, или мы слишком рано и есть причина? Что для тебя важнее — funding, OI или поток taker? Примечание: fiyat 90d high'a gore %-0.82 (high90=0.24360) -> TEPEDE/tepeye yapisik veya ustune gecmis: kosan trene binme riski (TIA dersi). Если TP1 ниже цены, ELE
BZ quietly builds a position — funding cold, OI climbing, yet the chart hasn't moved yet 👀
📌 Why it's on my radar: • Funding settled at -0.007% and drifting lower — shorts keep paying, squeeze fuel is building • Open interest +5.2% over 4h — new money, not closing — direction is being built • Taker buy/sell 0.94x — buyers lean on the tape while price stays quiet • RS +6.8 vs BTC over 24h — the tape is not fading while money flows in
⚠️ I wait for the position to show, I don't chase it: Flow tells me where money is quietly building. I enter only on a pullback into the zone — the setup, not the spike.
🧠 Signs I'm watching for: — Funding staying negative/cold through the retest (squeeze fuel intact) — OI holding or rising on the dip (no exit, just accumulation) — Taker leaning back my way on the re-test
🎯 My personal trade plan (Binance Futures · 10x — not a call): • Entry zone: 97.96 – 99.55 (price now: 99.45) — wait for the pullback • Stop-loss: 96.47 (-3% from entry) • Targets: TP1 102.43 (+3%) · TP2 105.42 (+6%) · TP3 109.4 (+10%) • Rule: once TP1 hits, SL moves to entry — a winning trade never becomes a losing one. 🔒 Gate: wait for the pullback into the zone, don't chase.
❓ Cold funding + rising OI + quiet price — is this the base before the squeeze, or are we early for a reason? Which metric matters most to you — funding, OI, or taker flow? Note: fiyat 90d high'a gore %-1.35 (high90=100.80000) -> TEPEDE/tepeye yapisik veya ustune gecmis: kosan trene binme riski (TIA dersi). TP1 fiyatin altindaysa ELE
ETC тихо выстраивает позицию — финансирование холодное, OI растёт, но график пока не сдвинулся 👀
📌 Почему я держу это в поле зрения: • Финансирование стабилизировалось на 0.010% и продолжает снижаться — шорты продолжают платить, топливо для сжатия накапливается • Открытый интерес +3.0% за 4ч — заходит новая ликвидность, а не закрывается — формируется направление • Taker buy/sell 1.00x — покупатели давят в стакане, пока цена ведёт себя спокойно • RS +3.0 к BTC за 24ч — лента не затухает, пока деньги заходят
⚠️ Я жду, когда позиция проявится, и не гонюсь: Флоу говорит мне, где деньги тихо накапливаются. Я вхожу только на откате в зону — именно сетап, а не на пике.
🧠 На что я смотрю: — Финансирование остаётся отрицательным/холодным во время ретеста (топливо для сжатия сохранено) — OI удерживается или растёт на просадке (выхода нет, только накопление) — Taker снова склоняется в мою сторону на ретесте
🎯 Мой личный торговый план (Binance Futures · 10x — не рекомендация): • Зона входа: 9.368 – 9.521 (цена сейчас: 9.511) — дождаться отката • Стоп-лосс: 9.226 (-3% от входа) • Цели: TP1 9.796 (+3%) · TP2 10.082 (+6%) · TP3 10.462 (+10%) • Правило: как только TP1 достигнут, SL переносится в точку входа — прибыльная сделка никогда не должна превращаться в убыточную. 🔒 Ворота: дождаться отката в зону, не гнаться.
❓ Холодное финансирование + растущий OI + спокойная цена — это база перед сжатием, или мы зашли слишком рано по какой-то причине? Что для тебя важнее — финансирование, OI или taker flow?
ZEC замирает в коротких сделках, пока график держится — переполненные шорты, цена ровная 👀
📌 Почему это у меня на радаре: • Фандинг зафиксировался на 0.010% — лонги платят, шорты ждут слив • Открытый интерес -3.4% за 4ч — шорты накапливаются, а лонги сомневаются • Taker buy/sell 0.71x — доминируют продажи, но цена отказывается пробиваться • RS -7.1 vs BTC за 24ч — лента не “тухнет”, пока деньги заходят
⚠️ Я жду появления позиции, а не догоняю: Флоу показывает, где деньги тихо накапливаются. Вхожу только на откате в зону — сетап, а не всплеск.
🧠 На что я смотрю: — Фандинг остается отрицательным/холодным во время ретеста (топливо для сжатия сохранено) — OI удерживается или растет на падении (выхода нет, только накопление) — Taker отклоняется обратно в мою сторону на повторном тесте
🎯 Мой личный план сделки (Binance Futures · 10x — не призыв): • Зона входа: 1471.2 – 1491.8 (цена сейчас: 1469.77) — дождаться отката • Стоп-лосс: 1513.9 (+3% от входа) • Цели: TP1 1425.7 (-3%) · TP2 1381.6 (-6%) · TP3 1322.8 (-10%) • Правило: когда TP1 срабатывает, SL переносится на вход — выигрышная сделка не должна превращаться в проигрыш. 🔒 Ворота: дождаться отката в зону, не гнаться.
❓ Переполненные шорты при ровной цене — топливо для сжатия или спокойствие перед сливом? Фандинг или OI скажут больше? Примечание: SHORT: фандинг 0.0100% < 0.1% -> risk-on'da SHORT kirilgan · 24h -9.85% vs BTC -2.719% => RS_24h -7.13 < -1.5 GUCSUZ: dipte donen ama BTC'den zayif -> surunme riski (NEAR dersi)
INJ — монета, топовые счета тихо продолжают покупать — пока график отказывается сдвигаться 👀
📌 Почему это у меня на радаре: • Топ-трейдеры удерживают соотношение long/short 2.34x — рядом с самым сильным показателем сессии • Фандинг стабилизировался на уровне 0.010% — лонги не переплачивают за то, чтобы находиться здесь • RS +-1.5 к BTC за 24ч, пока BTC показал -3.2% — лента держится • Объём за 24ч $108M — достаточно ликвидно, чтобы любое движение могло разогнаться
⚠️ Я копирую позицию, а не импульс: Соотношение говорит мне, где уже размещены деньги, а не куда они сейчас бегут. Вхожу только при откате в зону — никакого FOMO на пробой.
🧠 На что я смотрю: — Поток тейкеров подтверждает направление топ-счёта при ретесте — Фандинг остаётся спокойным (без всплеска «переполненной» премии) — Объём сначала «сохнет» ① на просадке, а не растёт
🎯 Мой личный план сделки (Binance Futures · 10x — не призыв): • Зона входа: 7.61 – 7.734 (цена сейчас: 7.726) — дождаться отката • Стоп-лосс: 7.494 (-3% от входа) • Цели: TP1 7.958 (+3%) · TP2 8.19 (+6%) · TP3 8.499 (+10%) • Правило: как только срабатывает TP1, SL переносится в точку входа — выигрышная сделка не должна превращаться в убыточную. 🔒 Ворота: ждать откат в зону, не гнаться.
❓ Позиционирование топ-счётов ведёт розничную погоню, или это ловушка перед сливом? Что сломается первым — соотношение или цена?
BTC is the coin top accounts quietly keep buying — while the chart refuses to move 👀
📌 Why it's on my radar: • Top traders hold a 1.93x long/short position ratio — near the strongest print of the session • Funding settled at 0.005% — longs are not paying a premium to sit here • RS +0.0 vs BTC over 24h while BTC printed -2.8% — the tape is holding • 24h volume $17478M — liquid enough that any move can run
⚠️ I copy the position, not the momentum: The ratio tells me where money already sits, not where it's running now. I enter only on a pullback into the zone — no FOMO on the breakout.
🧠 Signs I'm watching for: — Taker flow confirming the top-account direction on the retest — Funding staying calm (no crowded-premium spike) — Volume drying up ① on the dip, not expanding
🎯 My personal trade plan (Binance Futures · 10x — not a call): • Entry zone: 82276.5 – 83612.9 (price now: 83529.4) — wait for the pullback • Stop-loss: 81023.5 (-3% from entry) • Targets: TP1 86035.3 (+3%) · TP2 88541.2 (+6%) · TP3 91882.3 (+10%) • Rule: once TP1 hits, SL moves to entry — a winning trade never becomes a losing one. 🔒 Gate: wait for the pullback into the zone, don't chase.
❓ Does top-account positioning lead the retail chase, or is this the trap before the flush? What breaks first — the ratio or the price? Note: fiyat 90d high'a gore %-1.21 (high90=84584.60) -> TEPEDE/tepeye yapisik veya ustune gecmis: kosan trene binme riski (TIA dersi). TP1 fiyatin altindaysa ELE
ETC is the coin top accounts quietly keep buying — while the chart refuses to move 👀
📌 Why it's on my radar: • Top traders hold a 3.66x long/short position ratio — near the strongest print of the session • Funding settled at 0.010% — longs are not paying a premium to sit here • RS +1.2 vs BTC over 24h while BTC printed -2.8% — the tape is holding • 24h volume $105M — liquid enough that any move can run
⚠️ I copy the position, not the momentum: The ratio tells me where money already sits, not where it's running now. I enter only on a pullback into the zone — no FOMO on the breakout.
🧠 Signs I'm watching for: — Taker flow confirming the top-account direction on the retest — Funding staying calm (no crowded-premium spike) — Volume drying up ① on the dip, not expanding
🎯 My personal trade plan (Binance Futures · 10x — not a call): • Entry zone: 9.272 – 9.422 (price now: 9.413) — wait for the pullback • Stop-loss: 9.131 (-3% from entry) • Targets: TP1 9.695 (+3%) · TP2 9.978 (+6%) · TP3 10.354 (+10%) • Rule: once TP1 hits, SL moves to entry — a winning trade never becomes a losing one. 🔒 Gate: wait for the pullback into the zone, don't chase.
❓ Does top-account positioning lead the retail chase, or is this the trap before the flush? What breaks first — the ratio or the price?
ASTER is the coin top accounts quietly keep buying — while the chart refuses to move 👀
📌 Why it's on my radar: • Top traders hold a 3.85x long/short position ratio — near the strongest print of the session • Funding settled at 0.004% — longs are not paying a premium to sit here • RS +-0.5 vs BTC over 24h while BTC printed -2.7% — the tape is holding • 24h volume $107M — liquid enough that any move can run
⚠️ I copy the position, not the momentum: The ratio tells me where money already sits, not where it's running now. I enter only on a pullback into the zone — no FOMO on the breakout.
🧠 Signs I'm watching for: — Taker flow confirming the top-account direction on the retest — Funding staying calm (no crowded-premium spike) — Volume drying up ① on the dip, not expanding
🎯 My personal trade plan (Binance Futures · 10x — not a call): • Entry zone: 0.6913 – 0.7025 (price now: 0.7018) — wait for the pullback • Stop-loss: 0.6807 (-3% from entry) • Targets: TP1 0.7229 (+3%) · TP2 0.7439 (+6%) · TP3 0.772 (+10%) • Rule: once TP1 hits, SL moves to entry — a winning trade never becomes a losing one. 🔒 Gate: wait for the pullback into the zone, don't chase.
❓ Does top-account positioning lead the retail chase, or is this the trap before the flush? What breaks first — the ratio or the price? Note: fiyat 90d high'a gore %-1.65 (high90=0.7136000) -> TEPEDE/tepeye yapisik veya ustune gecmis: kosan trene binme riski (TIA dersi). TP1 fiyatin altindaysa ELE
DASH is the coin top accounts quietly keep buying — while the chart refuses to move 👀
📌 Why it's on my radar: • Top traders hold a 2.45x long/short position ratio — near the strongest print of the session • Funding settled at 0.004% — longs are not paying a premium to sit here • RS +-0.5 vs BTC over 24h while BTC printed -2.8% — the tape is holding • 24h volume $126M — liquid enough that any move can run
⚠️ I copy the position, not the momentum: The ratio tells me where money already sits, not where it's running now. I enter only on a pullback into the zone — no FOMO on the breakout.
🧠 Signs I'm watching for: — Taker flow confirming the top-account direction on the retest — Funding staying calm (no crowded-premium spike) — Volume drying up ① on the dip, not expanding
🎯 My personal trade plan (Binance Futures · 10x — not a call): • Entry zone: 59.27 – 60.23 (price now: 60.17) — wait for the pullback • Stop-loss: 58.36 (-3% from entry) • Targets: TP1 61.98 (+3%) · TP2 63.78 (+6%) · TP3 66.19 (+10%) • Rule: once TP1 hits, SL moves to entry — a winning trade never becomes a losing one. 🔒 Gate: wait for the pullback into the zone, don't chase.
❓ Does top-account positioning lead the retail chase, or is this the trap before the flush? What breaks first — the ratio or the price?
SAGA is the coin top accounts quietly keep buying — while the chart refuses to move 👀
📌 Why it's on my radar: • Top traders hold a 4.49x long/short position ratio — near the strongest print of the session • Funding settled at 0.005% — longs are not paying a premium to sit here • RS +4.3 vs BTC over 24h while BTC printed -2.6% — the tape is holding • 24h volume $136M — liquid enough that any move can run
⚠️ I copy the position, not the momentum: The ratio tells me where money already sits, not where it's running now. I enter only on a pullback into the zone — no FOMO on the breakout.
🧠 Signs I'm watching for: — Taker flow confirming the top-account direction on the retest — Funding staying calm (no crowded-premium spike) — Volume drying up ① on the dip, not expanding
🎯 My personal trade plan (Binance Futures · 10x — not a call): • Entry zone: 0.0442 – 0.0449 (price now: 0.04488) — wait for the pullback • Stop-loss: 0.0435 (-3% from entry) • Targets: TP1 0.0462 (+3%) · TP2 0.0476 (+6%) · TP3 0.0494 (+10%) • Rule: once TP1 hits, SL moves to entry — a winning trade never becomes a losing one. 🔒 Gate: wait for the pullback into the zone, don't chase.
❓ Does top-account positioning lead the retail chase, or is this the trap before the flush? What breaks first — the ratio or the price?
ZRO — монета, топ-аккаунты которой тихо продолжают покупать — пока график отказывается сдвинуться 👀
📌 Почему я держу это в поле зрения: • Лучшие трейдеры удерживают соотношение long/short 3.92x — рядом с самым сильным показателем сессии • Фандинг зафиксировался на уровне 0.005% — лонги здесь не платят премию, чтобы просто сидеть • RS +6.9 к BTC за 24ч при том, что BTC показал -2.7% — стакан держится • Объём за 24ч $159M — достаточно ликвидно, чтобы любое движение могло продолжиться
⚠️ Я копирую позицию, а не импульс: Соотношение говорит мне, где уже лежат деньги, а не где они сейчас «бегут». Я вхожу только на откате в зону — без FOMO на пробой.
🧠 На какие сигналы смотрю: — Поток тейкеров подтверждает направление топ-аккаунта на ретесте — Фандинг остаётся спокойным (без всплеска «переполненной» премии) — Объём подсыхает ① на просадке, а не расширяется
🎯 Мой личный план сделки (Binance Futures · 10x — не рекомендация): • Зона входа: 1.487 – 1.511 (цена сейчас: 1.5095) — дождаться отката • Стоп-лосс: 1.464 (-3% от входа) • Цели: TP1 1.555 (+3%) · TP2 1.6 (+6%) · TP3 1.66 (+10%) • Правило: как только срабатывает TP1, SL переносится в точку входа — выигрышная сделка никогда не становится убыточной. 🔒 Ворота: ждать откат в зону, не гнаться.
❓ Позиционирование топ-аккаунтов ведёт за собой розничную погоню, или это ловушка перед сливом? Что сломается первым — соотношение или цена?
LTC is the coin top accounts quietly keep buying — while the chart refuses to move 👀
📌 Why it's on my radar: • Top traders hold a 3.19x long/short position ratio — near the strongest print of the session • Funding settled at 0.010% — longs are not paying a premium to sit here • RS +10.3 vs BTC over 24h while BTC printed -2.7% — the tape is holding • 24h volume $388M — liquid enough that any move can run
⚠️ I copy the position, not the momentum: The ratio tells me where money already sits, not where it's running now. I enter only on a pullback into the zone — no FOMO on the breakout.
🧠 Signs I'm watching for: — Taker flow confirming the top-account direction on the retest — Funding staying calm (no crowded-premium spike) — Volume drying up ① on the dip, not expanding
🎯 My personal trade plan (Binance Futures · 10x — not a call): • Entry zone: 67.05 – 68.14 (price now: 68.07) — wait for the pullback • Stop-loss: 66.03 (-3% from entry) • Targets: TP1 70.11 (+3%) · TP2 72.15 (+6%) · TP3 74.88 (+10%) • Rule: once TP1 hits, SL moves to entry — a winning trade never becomes a losing one. 🔒 Gate: wait for the pullback into the zone, don't chase.
❓ Does top-account positioning lead the retail chase, or is this the trap before the flush? What breaks first — the ratio or the price?
LIT is the coin top accounts quietly keep buying — while the chart refuses to move 👀
📌 Why it's on my radar: • Top traders hold a 4.24x long/short position ratio — near the strongest print of the session • Funding settled at 0.005% — longs are not paying a premium to sit here • RS +6.6 vs BTC over 24h while BTC printed -2.6% — the tape is holding • 24h volume $169M — liquid enough that any move can run
⚠️ I copy the position, not the momentum: The ratio tells me where money already sits, not where it's running now. I enter only on a pullback into the zone — no FOMO on the breakout.
🧠 Signs I'm watching for: — Taker flow confirming the top-account direction on the retest — Funding staying calm (no crowded-premium spike) — Volume drying up ① on the dip, not expanding
🎯 My personal trade plan (Binance Futures · 10x — not a call): • Entry zone: 5.337 – 5.423 (price now: 5.418) — wait for the pullback • Stop-loss: 5.255 (-3% from entry) • Targets: TP1 5.581 (+3%) · TP2 5.743 (+6%) · TP3 5.96 (+10%) • Rule: once TP1 hits, SL moves to entry — a winning trade never becomes a losing one. 🔒 Gate: wait for the pullback into the zone, don't chase.
❓ Does top-account positioning lead the retail chase, or is this the trap before the flush? What breaks first — the ratio or the price?
ONDO is the coin top accounts quietly keep buying — while the chart refuses to move 👀
📌 Why it's on my radar: • Top traders hold a 2.88x long/short position ratio — near the strongest print of the session • Funding settled at 0.005% — longs are not paying a premium to sit here • RS +1.4 vs BTC over 24h while BTC printed -2.5% — the tape is holding • 24h volume $173M — liquid enough that any move can run
⚠️ I copy the position, not the momentum: The ratio tells me where money already sits, not where it's running now. I enter only on a pullback into the zone — no FOMO on the breakout.
🧠 Signs I'm watching for: — Taker flow confirming the top-account direction on the retest — Funding staying calm (no crowded-premium spike) — Volume drying up ① on the dip, not expanding
🎯 My personal trade plan (Binance Futures · 10x — not a call): • Entry zone: 0.4255 – 0.4324 (price now: 0.432) — wait for the pullback • Stop-loss: 0.419 (-3% from entry) • Targets: TP1 0.445 (+3%) · TP2 0.4579 (+6%) · TP3 0.4752 (+10%) • Rule: once TP1 hits, SL moves to entry — a winning trade never becomes a losing one. 🔒 Gate: wait for the pullback into the zone, don't chase.
❓ Does top-account positioning lead the retail chase, or is this the trap before the flush? What breaks first — the ratio or the price?
QQQ is the coin top accounts quietly keep buying — while the chart refuses to move 👀
📌 Why it's on my radar: • Top traders hold a 1.78x long/short position ratio — near the strongest print of the session • Funding settled at 0.013% — longs are not paying a premium to sit here • RS +0.6 vs BTC over 24h while BTC printed -2.4% — the tape is holding • 24h volume $177M — liquid enough that any move can run
⚠️ I copy the position, not the momentum: The ratio tells me where money already sits, not where it's running now. I enter only on a pullback into the zone — no FOMO on the breakout.
🧠 Signs I'm watching for: — Taker flow confirming the top-account direction on the retest — Funding staying calm (no crowded-premium spike) — Volume drying up ① on the dip, not expanding
🎯 My personal trade plan (Binance Futures · 10x — not a call): • Entry zone: 723.9 – 735.7 (price now: 734.94) — wait for the pullback • Stop-loss: 712.9 (-3% from entry) • Targets: TP1 757 (+3%) · TP2 779 (+6%) · TP3 808.4 (+10%) • Rule: once TP1 hits, SL moves to entry — a winning trade never becomes a losing one. 🔒 Gate: wait for the pullback into the zone, don't chase.
❓ Does top-account positioning lead the retail chase, or is this the trap before the flush? What breaks first — the ratio or the price? Note: fiyat 90d high'a gore %-0.92 (high90=741.60000) -> TEPEDE/tepeye yapisik veya ustune gecmis: kosan trene binme riski (TIA dersi). TP1 fiyatin altindaysa ELE
SOXS is the coin top accounts quietly keep buying — while the chart refuses to move 👀
📌 Why it's on my radar: • Top traders hold a 1.86x long/short position ratio — near the strongest print of the session • Funding settled at 0.000% — longs are not paying a premium to sit here • RS +9.5 vs BTC over 24h while BTC printed -2.4% — the tape is holding • 24h volume $208M — liquid enough that any move can run
⚠️ I copy the position, not the momentum: The ratio tells me where money already sits, not where it's running now. I enter only on a pullback into the zone — no FOMO on the breakout.
🧠 Signs I'm watching for: — Taker flow confirming the top-account direction on the retest — Funding staying calm (no crowded-premium spike) — Volume drying up ① on the dip, not expanding
🎯 My personal trade plan (Binance Futures · 10x — not a call): • Entry zone: 34.77 – 35.34 (price now: 35.3) — wait for the pullback • Stop-loss: 34.24 (-3% from entry) • Targets: TP1 36.36 (+3%) · TP2 37.42 (+6%) · TP3 38.83 (+10%) • Rule: once TP1 hits, SL moves to entry — a winning trade never becomes a losing one. 🔒 Gate: wait for the pullback into the zone, don't chase.
❓ Does top-account positioning lead the retail chase, or is this the trap before the flush? What breaks first — the ratio or the price? Note: fiyat 90d high'a gore %-0.31 (high90=35.40000) -> TEPEDE/tepeye yapisik veya ustune gecmis: kosan trene binme riski (TIA dersi). TP1 fiyatin altindaysa ELE
SKHYNIX is the coin top accounts quietly keep buying — while the chart refuses to move 👀
📌 Why it's on my radar: • Top traders hold a 3.13x long/short position ratio — near the strongest print of the session • Funding settled at 0.000% — longs are not paying a premium to sit here • RS +-0.2 vs BTC over 24h while BTC printed -2.4% — the tape is holding • 24h volume $417M — liquid enough that any move can run
⚠️ I copy the position, not the momentum: The ratio tells me where money already sits, not where it's running now. I enter only on a pullback into the zone — no FOMO on the breakout.
🧠 Signs I'm watching for: — Taker flow confirming the top-account direction on the retest — Funding staying calm (no crowded-premium spike) — Volume drying up ① on the dip, not expanding
🎯 My personal trade plan (Binance Futures · 10x — not a call): • Entry zone: 1309.2 – 1330.5 (price now: 1329.16) — wait for the pullback • Stop-loss: 1289.3 (-3% from entry) • Targets: TP1 1369 (+3%) · TP2 1408.9 (+6%) · TP3 1462.1 (+10%) • Rule: once TP1 hits, SL moves to entry — a winning trade never becomes a losing one. 🔒 Gate: wait for the pullback into the zone, don't chase.
❓ Does top-account positioning lead the retail chase, or is this the trap before the flush? What breaks first — the ratio or the price? Note: fiyat 90d high'a gore %-1.23 (high90=1345.55000) -> TEPEDE/tepeye yapisik veya ustune gecmis: kosan trene binme riski (TIA dersi). TP1 fiyatin altindaysa ELE
HYPE is the coin top accounts quietly keep buying — while the chart refuses to move 👀
📌 Why it's on my radar: • Top traders hold a 1.98x long/short position ratio — near the strongest print of the session • Funding settled at 0.003% — longs are not paying a premium to sit here • RS +-1.0 vs BTC over 24h while BTC printed -2.2% — the tape is holding • 24h volume $963M — liquid enough that any move can run
⚠️ I copy the position, not the momentum: The ratio tells me where money already sits, not where it's running now. I enter only on a pullback into the zone — no FOMO on the breakout.
🧠 Signs I'm watching for: — Taker flow confirming the top-account direction on the retest — Funding staying calm (no crowded-premium spike) — Volume drying up ① on the dip, not expanding
🎯 My personal trade plan (Binance Futures · 10x — not a call): • Entry zone: 91.91 – 93.4 (price now: 93.305) — wait for the pullback • Stop-loss: 90.51 (-3% from entry) • Targets: TP1 96.1 (+3%) · TP2 98.9 (+6%) · TP3 102.64 (+10%) • Rule: once TP1 hits, SL moves to entry — a winning trade never becomes a losing one. 🔒 Gate: wait for the pullback into the zone, don't chase.
❓ Does top-account positioning lead the retail chase, or is this the trap before the flush? What breaks first — the ratio or the price? Note: fiyat 90d high'a gore %-1.68 (high90=94.90000) -> TEPEDE/tepeye yapisik veya ustune gecmis: kosan trene binme riski (TIA dersi). TP1 fiyatin altindaysa ELE
NEAR is the coin top accounts quietly keep buying — while the chart refuses to move 👀
📌 Why it's on my radar: • Top traders hold a 2.69x long/short position ratio — near the strongest print of the session • Funding settled at 0.010% — longs are not paying a premium to sit here • RS +0.6 vs BTC over 24h while BTC printed -1.8% — the tape is holding • 24h volume $1379M — liquid enough that any move can run
⚠️ I copy the position, not the momentum: The ratio tells me where money already sits, not where it's running now. I enter only on a pullback into the zone — no FOMO on the breakout.
🧠 Signs I'm watching for: — Taker flow confirming the top-account direction on the retest — Funding staying calm (no crowded-premium spike) — Volume drying up ① on the dip, not expanding
🎯 My personal trade plan (Binance Futures · 10x — not a call): • Entry zone: 4.257 – 4.326 (price now: 4.322) — wait for the pullback • Stop-loss: 4.192 (-3% from entry) • Targets: TP1 4.452 (+3%) · TP2 4.581 (+6%) · TP3 4.754 (+10%) • Rule: once TP1 hits, SL moves to entry — a winning trade never becomes a losing one. 🔒 Gate: wait for the pullback into the zone, don't chase.
❓ Does top-account positioning lead the retail chase, or is this the trap before the flush? What breaks first — the ratio or the price?