Wednesday... the situation in the market looks suspiciously familiar, very reminiscent of 04.12.2025.
Yesterday's rise, as always, was neatly adjusted to fit the "good news".
Today, however, really important data is coming out that can actually impact the market.
As usual:
— if the forecast matches the fact → there will be no movements, at most a slight pullback;
— if the data is better than expected → a rise is possible (but I don't believe in this);
— the most likely scenario is that the fact is worse than expected, which means a noticeable pullback, possibly with a new low.
Overall, I am waiting for the development of events, but I am pessimistic and prepared for another correction. My $ADA $AVAX $DOT remains scraping the bottom...
Always DYOR and control risks before opening trades 😉



