Prediction for November 5, 2024: Trump's Campaign Success Three months of self-study led to countless liquidations, completing the first million on November 5, with a maximum profit of 4 million. Trump's speech ended with a heavy investment leading to a 75% profit drawdown.
From A7.4 falling back to A6, then from A6 back to A7, ultimately falling during the sprint to A8. Liquidated the last 400,000 on December 19, bankrupt by May 2025.
Main reasons for bankruptcy: intervening in others' destinies, wasting my own time, energy, and money to help friends, including repaying entrepreneurial debts (all paid back with extra!), business issues leading to compensation, and my own high consumption, continuously withdrawing money from my account, resulting in missing out on numerous opportunities and developing a sense of vengeance, with the principal constantly shrinking, leading to the final heavy investment liquidation. During peak times, continuously drained N ATMs, holding bundles of cash, totaling a million withdrawn. During peak times, asset growth surpassed 99.96% of users, top four out of ten thousand.
Give me some time, I want to reach the peak of crypto, Complete A10, crowned as the Crypto King.
Irregularly share trading-related knowledge. Follow me, help me reclaim my territory, devour them, awoo~
The first 500 followers will be considered spiritual shareholders, Providing a free trading signal once a week/month, with subsequent trades available for seating, forever free. 点击此处进群
Also welcome everyone to become my opponents, I need more fuel.
Wan001 ON TOP Wan001 > Other Wan001 🧢 Carry all the time STFU BETA
June 19, 2011 MT.GOX flash crash, drop of 99.9% (within minutes) Token: Bitcoin
Reason: The exchange was hacked, a large amount of BTC was stolen and sold at an extremely low price (1 cent), at that time the market was almost entirely concentrated on MT.GOX (about 90% of trading volume)
This is not market behavior, but a systemic failure of the exchange. Here, the 99% does not represent the real market price, but rather a localized exchange collapse.
May 19, 2021 (Classic 312 level) BTC ≈ -30% ETH ≈ -40% DOGE and other altcoins -45% or even higher (can be found on Wikipedia)
Reason: China's crackdown on mining + trading. Excessive leverage led to a chain liquidation panic in the market. Essentially: macro policies + leverage liquidation.
January 14, 2015 BTC -24% in one day Reason: Exchange hacked (similar to MT.Gox, but with less impact)
February 2026 (recent) BTC ≈ 14% in one day Reason: Large-scale fund stop-loss + ETF capital outflow
October 2025 The largest liquidation day in history Liquidation amount ≈ 19 billion USD (in one day) Reason: Sudden outbreak of the China-US trade war (tariff policy), overheated leveraged market, automatic reduction system triggered (ADL). Essentially, macro shocks + leverage chain liquidation.
Why do many people trade well but still don't make money? For example, everything that just happened, in a downtrend market, prices keep fluctuating and pushing upwards, essentially clearing out high-risk short positions. This is not random fluctuation; it is the liquidity clearing mechanism at work (Liquidity Sweep)
Its purpose 1) To clear out shorts that are too early or too heavy 2) To create the illusion that the trend is ending 3) To acquire liquidity at lower prices
A downtrend is advantageous for shorts, but shorts themselves are future buyers. Closing a short position is essentially buying, and a short squeeze is essentially forced buying.
Therefore, the market will first squeeze out the shorts before continuing to decline. The trend is downward, but the path is zigzagged. Getting the direction right is only the first step; the key point of the second step is how not to be washed out by the path. Many people don't fail because of the direction, but because of the volatility. Increasing positions, heavy positions, and high leverage essentially increase the probability of death (increasing the density of liquidation).
What the market loves most is this kind of behavior: the more it falls, the more shorts are added, and the more losses, the more they add; this is a typical liquidity target. Finally, let me leave you with one last saying: Position is 100 times more important than direction.
What is the difference between position take profit and stop loss and take profit and stop loss? Essentially, these two types of take profit and stop loss differ in execution level and triggering mechanism, not in concept.
We can understand it this way:
**1) Position Take Profit/Stop Loss (Position TP/SL) also known as overall position take profit/stop loss / position-level risk control**
The target is the entire position (characterized by needing to be set only once, not relying on multiple orders).
For example:
We go long 78K, going long BTC, we set the stop loss at 76K and the take profit at 80K.
When the market price reaches any of the take profit or stop loss prices: the entire position is liquidated directly.
**2) Take Profit/Stop Loss (Order-level TP/SL) also known as individual order take profit/stop loss / planned orders**
The target is a single order or batch positions; you can set different TP/SL for different positions. Alternatively, it can be batch take profit and segmented stop loss. Essentially, it is a combination of multiple trigger orders. The characteristic is greater flexibility, allowing for complex strategies (such as gradual exit) and partial take profit.
For example:
We opened 3 long positions when BTC was at 70K, 30% position TP 72K, 30% position TP 74K, 40% position TP 78K.
The result is not a one-size-fits-all but rather a layered profit harvesting.
**Core Differences**
Position take profit and stop loss means cutting off the entire position at once (risk control tool). Order take profit and stop loss means managing the position in batches (trading strategy tool).
Position TP/SL: Used for survival, preventing liquidation / uncontrolled drawdown, similar to a seatbelt.
Order TP/SL: Used for profit optimization, controlling the pace of profit realization, similar to a batch selling strategy.
**One is position-level control, the other is order-level execution.**
Wan001
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《Trade like Wan》 Tonight I will tell you what is Take profit/Stop loss and Position take profit/Stop loss
I have placed a short position near 78K, 150x 40% of total funds. If it drops to 60K, the expected return on a single trade is 34x, with principal at 13x, and liquidation around 79K. If there are any changes to the plan, I will notify separately. I may adjust my position during the process based on the situation; let's wait and see 😎 The Crypto King is not just a name.
I believe that I already have the ability to easily take away million-level Bull and Horse and ten million-level Divine Cars. 7000w might be a bit too much and not very rational, so I have been looking at cars recently.
In November 2026, RM Sotheby's will have a collector car auction in Munich. Do you think I will be there in person and take away my first car in life? In 2024, I will have achieved my million-level Dream Car, and I will be only 26 years old. Due to some reasons, I have stored my Ferrari in the futures market of the crypto world, and I will soon get my car keys back.
So, I am also learning how to spend money correctly. I can do nothing for a year, but without a doubt, I only need one day to achieve what others accomplish in a lifetime.
Welcome to watch the story of the Crypto King rising to the "New York Times". The Ferrari is just the beginning; I will customize a 1/1 that belongs to me.
Unfortunately, it did not break through 74K, but the actual error is 228 If you had listened to me and shorted at 73.3K, it would still have been a very beautiful trade, with a take profit near 71K-70.6K
This is due to liquidity being withdrawn, take profit near 71K and 70.6K, and feel free to go long
From this, we can see the importance of entering the market in batches
Historical experience tells us that infighting between exchanges can trigger a downturn. Furthermore, I can clearly tell you that the main players are controlling the market.
This wave can focus on $BNB because I believe CZ will win in this industry competition battle $BNB current market price 609 In addition, BNB's "subsidiaries" will also rise (for example 4USDT)
2020 Chiron Sport original price 3.3 million USD Second-hand/current vehicle 3.4 million USD (seems like a premium of 100,000 USD, you might think it’s still a profit, but in reality, the peak price in 2020 was 28,584 USD per unit, and in 2025 it even soared to a historic high of 126,208 USD. If calculated this way, how much have you actually lost?)
3.3 million USD can buy approximately 115.5 units🫓 If held until 2025 and sold at the peak, the expected income would be 14.58 million USD😮 (can purchase an additional 4.2 units) which roughly equates to a loss of 11.18 million USD or about 78 million RMB
In other words, on the surface, you bought a 3 million USD supercar, but in reality, you sold 115 units🫓 in 2020. And these 115 units🫓 in 2025 turned into a luxury mansion + a luxury car + a pile of cash
But buying a Bugatti would bring us more opportunities and resources in the short term, wouldn't it? How should we calculate this?🤔
The real question should not be whether it will bring more opportunities/resources, but whether these opportunities/resources can cover the opportunity cost of 78 million RMB over the next few years.