📊 $H (-0.287%), $HOME (-0.252%), $SAHARA (-0.215%) — most negative funding across the market right now. Shorts are paying longs; crowd leaning short.

The experiment: enter on this signal, then manage the exit 11 different ways — per-trade exits plus portfolio-level trailing. Same entries, only the exit logic changes. Live, still filling.

What the bot got (real = locked, open = still in play):

Exit Real Open N Win

Activ. trail +$4,311 −$78 384 70%

Port.L/S +$4,264 −$239 376 67%

Activ×10 +$3,289 −$137 265 72%

Cloud Diver +$1,775 −$1 55 81%

Hold 4h −$4,300 +$338 358 44%

Trail 1xATR −$4,150 +$144 494 31%

Hold 8h −$4,699 +$619 258 44%

Trail 2xATR −$5,960 +$233 309 30%

Tight TP −$6,097 +$103 330 35%

Hold 24h −$7,090 +$305 170 39%

Port.mix −$8,674 −$566 184 67%

A 'signal' with no exit plan is just a horoscope with candlesticks. 🔮

#Binance #Derivatives

Analytics, not investment advice.