Recently researching a project $Aif that hasn't launched its token yet, The interesting point is that it has already written into its mechanism the question of 'who will operate it later' — It has designed an AI to be responsible for promotion, traffic generation, and creating momentum from the start, and then uses the money from monetizing traffic for future buybacks and destruction.
For traders, at this stage, there are only two things they can do with such projects: 1) Understand the mechanism, clearly write down what they agree and disagree with; 2) Think in advance whether they want to create 'first-day sentiment' once it goes live, or just observe and not participate.
True preparation is not about rushing in early, but about understanding the rules in advance. #Aif
Cutting losses is difficult, but for me, taking profits is sometimes even harder.
In the past, it was either:
I would rush to sell after a small rise, only to look back and see it soar again; or it was:
I wanted to take a few more bites, only to give back all my profits on a pullback.
Now I have set two levels for taking profits:
First level: reduce part of the position when reaching 1R/2R, locking in some profits;
Second level: move the stop loss close to the cost, allowing the remaining position to play freely.
A hungry wolf doesn’t need to eat everything clean, keeping what has already reached the mouth is more important than fantasizing about the next bite. #ProfitTakingStrategy #LockInProfits
The most exhilarating moment of chasing the rise is right after placing the order, while the K line is still surging upward. However, many people overlook this: the vast majority of "high position relay" ultimately ends up catching the last baton.
My approach:
If you really want to ride the trend, lie in wait at the position where the previous pullback stabilizes, rather than jumping in during the final surge;
When the K line is running crazily, that's when I start looking for "pullback buy points/take profit positions."
A hungry wolf doesn't chase after the meat, A hungry wolf only looks for the most advantageous ambush point for itself.
我的思路很简单:先定方向,再定区域,再定仓位。日内如果是高空,就盯几档压力;激进入场者,可在第一压力先试 3% 轻仓,二压三压再看能否上破决定补空或减仓;稳健的等二压,更保守的直接三压,小止损即可。顶部在哪谁都算不准,只能借历史轨迹推演哪些位置可能再次受压,其余交给市场。技术和 K 线只是帮你少乱操作,遇到消息随时会失效。每天写行情,是让大家对哪些价位易回撤、哪些区间不宜乱空有个预判。观点只是参考,你要有自己的节奏。若看法一致,在控制仓位和风控前提下,你会更安心;看法不同,多数时候按自己的更好。还要看一个人能否长期更新、进出有据、止盈止损有提醒。每一单都是试错,别追求神单,只要稳、活久,机会自然会来。
$GIGGLE This token has just demonstrated the kind of trend that smart investors would notice. After dropping to around 161, it didn't crash—instead, it rebounded. This means that while most people felt scared and were selling off, some savvy buyers were quietly buying in. Now it is stabilizing around the 164 mark, showing steady buying rather than weakness. These slow and steady trends often signify the beginning of a recovery—not through hype, but through patience. Here is a simple truth: those tokens that experience a big drop but then remain strong are often the ones that will surge when momentum shifts. Experts recognized these signs long before others took notice.