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Cryptohamid

Tranzacție deschisă
Trader de înaltă frecvență
2.4 Ani
276 Urmăriți
542 Urmăritori
2.5K+ Apreciate
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Bearish
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V
MYXUSDT
Închis
PNL
+128.09%
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Bearish
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$BTC If history repeats… October could be the turning point. I’m watching this structure very closely because Bitcoin has a habit of doing the same thing when the crowd feels the most pain. Look back at the cycles: • 2014–2015 → Bottom formed late year • 2018 → December capitulation • 2022 → November flush before reversal • Every time → Maximum fear before the real expansion And now? We’re sitting in that same psychological zone. Liquidity swept. Weak hands shaken. Narratives turning bearish again. This is exactly where smart money starts positioning quietly. October has historically been a pivot month. Not because of magic — but because market cycles compress into that late-year exhaustion phase. Sellers dry up. Volatility tightens. Then expansion follows. If we see: 1. A final liquidity sweep 2. Strong reclaim of key weekly support 3. Volume expansion on breakout That’s the ignition point. From there, momentum doesn’t walk — it explodes. Bitcoin doesn’t reward comfort. It rewards conviction during uncertainty. If history repeats, October won’t feel bullish. It will feel uncomfortable. And that’s usually where the real move begins. 🔥 I’m watching. Positioning carefully. Because when $BTC turns… it doesn’t look back. $RAVE {future}(RAVEUSDT) $币安人生 {future}(币安人生USDT) $MYX {future}(MYXUSDT) #TrumpNewTariffs #TokenizedRealEstate #WhenWillCLARITYActPass #PredictionMarketsCFTCBacking #WriteToEarnUpgrade
$BTC If history repeats… October could be the turning point.
I’m watching this structure very closely because Bitcoin has a habit of doing the same thing when the crowd feels the most pain.
Look back at the cycles:
• 2014–2015 → Bottom formed late year
• 2018 → December capitulation
• 2022 → November flush before reversal
• Every time → Maximum fear before the real expansion
And now?
We’re sitting in that same psychological zone.
Liquidity swept. Weak hands shaken. Narratives turning bearish again.
This is exactly where smart money starts positioning quietly.
October has historically been a pivot month. Not because of magic — but because market cycles compress into that late-year exhaustion phase. Sellers dry up. Volatility tightens. Then expansion follows.
If we see:
1. A final liquidity sweep
2. Strong reclaim of key weekly support
3. Volume expansion on breakout
That’s the ignition point.
From there, momentum doesn’t walk — it explodes.
Bitcoin doesn’t reward comfort.
It rewards conviction during uncertainty.
If history repeats, October won’t feel bullish.
It will feel uncomfortable.
And that’s usually where the real move begins. 🔥
I’m watching.
Positioning carefully.
Because when $BTC turns… it doesn’t look back.
$RAVE
$币安人生
$MYX
#TrumpNewTariffs
#TokenizedRealEstate
#WhenWillCLARITYActPass
#PredictionMarketsCFTCBacking
#WriteToEarnUpgrade
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Bullish
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🚨 Market Shock: Leverage Wiped, Fear Spikes $BTC just broke below $65K while nearly $990M in Open Interest vanished within 2 hours. That is not organic selling. That is forced deleveraging. Negative sentiment has surged to a 2 week high, showing clear panic behavior as positions get flushed. Open Interest collapsing alongside price confirms long liquidations dominated this move. From a structural view, this is a liquidity sweep event. If OI stabilizes while price builds support, reflex upside becomes probable. If OI continues to bleed, expect continuation toward deeper liquidity pockets. This is a leverage reset phase. Volatility expansion is loading. $IDOL $ESP $SPORTFUN {future}(SPORTFUNUSDT) {future}(ESPUSDT) {future}(IDOLUSDT) #TrumpNewTariffs #TokenizedRealEstate #BTCMiningDifficultyIncrease #WhenWillCLARITYActPass #PredictionMarketsCFTCBacking
🚨 Market Shock: Leverage Wiped, Fear Spikes
$BTC just broke below $65K while nearly $990M in Open Interest vanished within 2 hours. That is not organic selling. That is forced deleveraging.
Negative sentiment has surged to a 2 week high, showing clear panic behavior as positions get flushed. Open Interest collapsing alongside price confirms long liquidations dominated this move.
From a structural view, this is a liquidity sweep event. If OI stabilizes while price builds support, reflex upside becomes probable. If OI continues to bleed, expect continuation toward deeper liquidity pockets.
This is a leverage reset phase. Volatility expansion is loading.
$IDOL $ESP $SPORTFUN


#TrumpNewTariffs
#TokenizedRealEstate
#BTCMiningDifficultyIncrease
#WhenWillCLARITYActPass
#PredictionMarketsCFTCBacking
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666
666
见龙Jaron China
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冲刺22k粉丝,感谢大家一路的陪伴和支持
老规矩,红包继续给大家安排上!🧧
Atingem 22k de urmăritori! Vă mulțumim tuturor pentru sprijinul și compania voastră continuă.
Ca de obicei, vom continua să distribuim plicuri roșii pentru toată lumea! 🧧
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Bullish
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$BTR {future}(BTRUSDT) 📊 Current Situation Price: 0.217 24h High: 0.2188 +44% today Strong breakout candle just happened Near daily high resistance Order book shows more bids (bullish short term) This is a momentum breakout, but again extended. 🔎 What I See Strong impulse from 0.18 → 0.218 Small pullback candles after pump Price holding near high (bullish sign) But entering at top = risky 🎯 Best Trade Plan (Low Risk – 1%) ✅ Scenario 1 – Breakout Long (Safer Than Short) Only if: 15m closes clearly above 0.219 Volume remains strong Then: Entry: 0.219 – 0.221 Stop Loss: 0.208 Target 1: 0.235 Target 2: 0.25 Reason: Strong continuation structure. No major rejection yet. Risk/Reward ≈ 1:2 or better. ⚠️ Scenario 2 – Pullback Long (Even Better) Wait for retracement to: 0.200 – 0.205 zone Then: Entry: around 0.203 Stop: 0.193 Target: 0.225 – 0.24 This gives much better R:R and safer entry. ❌ I Would NOT Short Here Why? No clear rejection Strong momentum candle Higher lows forming Shorting strength = dangerous Short only if: Strong rejection wick above 0.22 Bearish engulfing 15m candle 📉 Position Sizing Formula (For 1% Risk) Let’s say: Capital = $1000 1% risk = $10 If stop distance = 5% Position size should be such that 5% move = $10 loss. At 5x leverage: Position size ≈ (Risk / Stop%) = 10 / 0.05 = $200 position size Not $1000 × 5 blindly. Always calculate from stop. If you tell me your exact capital, I’ll give exact contract size. 🧠 My Honest View Right Now This looks stronger than SPACE chart. If price holds above 0.215, bulls still in control. But do NOT enter randomly in middle candle. Best move: 👉 Wait breakout confirmation above 0.219 OR 👉 Wait pullback to 0.203 zone
$BTR
📊 Current Situation

Price: 0.217

24h High: 0.2188

+44% today

Strong breakout candle just happened

Near daily high resistance

Order book shows more bids (bullish short term)

This is a momentum breakout, but again extended.

🔎 What I See

Strong impulse from 0.18 → 0.218

Small pullback candles after pump

Price holding near high (bullish sign)

But entering at top = risky

🎯 Best Trade Plan (Low Risk – 1%)

✅ Scenario 1 – Breakout Long (Safer Than Short)

Only if:

15m closes clearly above 0.219

Volume remains strong

Then:

Entry: 0.219 – 0.221
Stop Loss: 0.208
Target 1: 0.235
Target 2: 0.25

Reason:
Strong continuation structure. No major rejection yet.

Risk/Reward ≈ 1:2 or better.

⚠️ Scenario 2 – Pullback Long (Even Better)

Wait for retracement to:

0.200 – 0.205 zone

Then:

Entry: around 0.203
Stop: 0.193
Target: 0.225 – 0.24

This gives much better R:R and safer entry.

❌ I Would NOT Short Here

Why?

No clear rejection

Strong momentum candle

Higher lows forming

Shorting strength = dangerous

Short only if:

Strong rejection wick above 0.22

Bearish engulfing 15m candle

📉 Position Sizing Formula (For 1% Risk)

Let’s say:

Capital = $1000
1% risk = $10

If stop distance = 5%
Position size should be such that 5% move = $10 loss.

At 5x leverage:

Position size ≈ (Risk / Stop%)
= 10 / 0.05
= $200 position size

Not $1000 × 5 blindly. Always calculate from stop.

If you tell me your exact capital, I’ll give exact contract size.

🧠 My Honest View Right Now

This looks stronger than SPACE chart.

If price holds above 0.215, bulls still in control.

But do NOT enter randomly in middle candle.

Best move:
👉 Wait breakout confirmation above 0.219
OR
👉 Wait pullback to 0.203 zone
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Bearish
📊 Contextul Actual ($SPACE USDT) Pompare masivă ~94% {future}(SPACEUSDT) Aproape de rezistența maximă de 24h (0.01323) Momentum puternic, dar extins Zonă de volatilitate ridicată După pompe mari, probabilitatea unei retrageri > continuare, cu excepția unei spargeri puternice. 🎯 Cea Mai Bună Strategie (Risc Mic – 1% Risc de Capital) ✅ Opțiunea 1: Configurare mai sigură (Așteaptă pentru Retragere – Recomandat) Ideea de configurare short Zona de intrare: 0.0129 – 0.0133 Stop loss: 0.0138 Obiectiv 1: 0.0115 Obiectiv 2: 0.0108 Motiv: Aproape de rezistență Mutare extinsă Risc/recompensă favorabilă ✅ Opțiunea 2: Spargere Long (Numai dacă este Confirmată) NUMAI dacă: Candle puternic de 15m se închide deasupra 0.0133 Volumul crește Atunci: Intrare: Retest al 0.0133 Stop: 0.0128 Obiectiv: 0.0145 – 0.015 Dacă nu există confirmare de spargere → evită long. 📉 Dimensiunea Poziției pentru 1% Risc Exemplu: Dacă capitalul tău = $1000 1% risc = $10 pierdere maximă Dacă distanța de stop = 4% La 5x levier, dimensiunea poziției ar trebui să fie calculată astfel încât lichidarea să fie departe și SL să lovească la -$10 doar. Dacă îmi spui capitalul tău exact, îți voi calcula dimensiunea exactă a contractului. 🚨 Importante Nu face: Intră aleatoriu la mijloc Urmărește candle verde Elimină stop loss După o pompă de 90%, emoțiile distrug conturile. Părerea mea sinceră acum: 👉 Mai bine așteaptă pentru configurarea short aproape de 0.0132 👉 Sau așteaptă o spargere confirmată 👉 Nu există intrare FOMO aici
📊 Contextul Actual ($SPACE USDT)

Pompare masivă ~94%
Aproape de rezistența maximă de 24h (0.01323)

Momentum puternic, dar extins

Zonă de volatilitate ridicată

După pompe mari, probabilitatea unei retrageri > continuare, cu excepția unei spargeri puternice.

🎯 Cea Mai Bună Strategie (Risc Mic – 1% Risc de Capital)
✅ Opțiunea 1: Configurare mai sigură (Așteaptă pentru Retragere – Recomandat)

Ideea de configurare short

Zona de intrare: 0.0129 – 0.0133
Stop loss: 0.0138
Obiectiv 1: 0.0115
Obiectiv 2: 0.0108

Motiv:

Aproape de rezistență

Mutare extinsă

Risc/recompensă favorabilă

✅ Opțiunea 2: Spargere Long (Numai dacă este Confirmată)

NUMAI dacă:

Candle puternic de 15m se închide deasupra 0.0133

Volumul crește

Atunci:

Intrare: Retest al 0.0133
Stop: 0.0128
Obiectiv: 0.0145 – 0.015

Dacă nu există confirmare de spargere → evită long.

📉 Dimensiunea Poziției pentru 1% Risc

Exemplu:

Dacă capitalul tău = $1000
1% risc = $10 pierdere maximă

Dacă distanța de stop = 4%
La 5x levier, dimensiunea poziției ar trebui să fie calculată astfel încât lichidarea să fie departe și SL să lovească la -$10 doar.

Dacă îmi spui capitalul tău exact, îți voi calcula dimensiunea exactă a contractului.

🚨 Importante

Nu face:

Intră aleatoriu la mijloc

Urmărește candle verde

Elimină stop loss

După o pompă de 90%, emoțiile distrug conturile.

Părerea mea sinceră acum:

👉 Mai bine așteaptă pentru configurarea short aproape de 0.0132
👉 Sau așteaptă o spargere confirmată
👉 Nu există intrare FOMO aici
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888
风 生 水 起
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$ETH
Sugestie de deschidere a unei poziții, profitul și pierderile sunt pe răspunderea proprie, cei care copiază tranzacțiile vă rugăm să controlați dimensiunea poziției și să nu păstrați ordinele, stop loss strict~
#非农意外强劲
{future}(ETHUSDT)
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CRYPTO HAMID
CRYPTO HAMID
Cryptohamid
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Bearish
U.S. GOVERNMENT SHUTDOWN CONFIRMED FOR FEBRUARY 14!
This could be the worst day of 2026 for the markets.
If you think it's “just politics,” remember what happened during the previous shutdown:
→ GDP fell 2.8%
→ Trillions erased from the stock market
→ Crypto dumped 16% in a single day
This is how “politics” turns into full-blown market collapse:
Political tensions are boiling over, and Democrats are using them to slow the DHS funding bill on the Senate floor.
Yes, again.
And that’s the whole story.
DHS funding is the trigger.
If the DHS bill stalls, the partial shutdown clock starts ticking straight toward the deadline.
And a shutdown isn’t just “everyone goes home.”
→ Paychecks get delayed
→ Government contracts freeze
→ Approvals grind to a standstill
→ Key economic data gets pushed back
Uncertainty drags the entire economy down.
And markets always react the same way:
1⃣ Bonds sell off first
2⃣ Stocks dump next
3⃣ Crypto and commodities dump even harder
And we’re already seeing markets dumping.
And this is only the start.
Right now, most people are ignoring the risk.
Markets think it doesn’t matter.
That kind of complacency always breaks before the headline hits.
I’ve studied markets for a decade and called every major top, including the October $BTC ATH.
Follow and turn on notifications if you want to survive what’s coming.
I’ll post the real warning before it makes the news.
$PIPPIN $RIVER
·
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Bearish
Vedeți traducerea
U.S. GOVERNMENT SHUTDOWN CONFIRMED FOR FEBRUARY 14! This could be the worst day of 2026 for the markets. If you think it's “just politics,” remember what happened during the previous shutdown: → GDP fell 2.8% → Trillions erased from the stock market → Crypto dumped 16% in a single day This is how “politics” turns into full-blown market collapse: Political tensions are boiling over, and Democrats are using them to slow the DHS funding bill on the Senate floor. Yes, again. And that’s the whole story. DHS funding is the trigger. If the DHS bill stalls, the partial shutdown clock starts ticking straight toward the deadline. And a shutdown isn’t just “everyone goes home.” → Paychecks get delayed → Government contracts freeze → Approvals grind to a standstill → Key economic data gets pushed back Uncertainty drags the entire economy down. And markets always react the same way: 1⃣ Bonds sell off first 2⃣ Stocks dump next 3⃣ Crypto and commodities dump even harder And we’re already seeing markets dumping. And this is only the start. Right now, most people are ignoring the risk. Markets think it doesn’t matter. That kind of complacency always breaks before the headline hits. I’ve studied markets for a decade and called every major top, including the October $BTC ATH. Follow and turn on notifications if you want to survive what’s coming. I’ll post the real warning before it makes the news. $PIPPIN $RIVER
U.S. GOVERNMENT SHUTDOWN CONFIRMED FOR FEBRUARY 14!
This could be the worst day of 2026 for the markets.
If you think it's “just politics,” remember what happened during the previous shutdown:
→ GDP fell 2.8%
→ Trillions erased from the stock market
→ Crypto dumped 16% in a single day
This is how “politics” turns into full-blown market collapse:
Political tensions are boiling over, and Democrats are using them to slow the DHS funding bill on the Senate floor.
Yes, again.
And that’s the whole story.
DHS funding is the trigger.
If the DHS bill stalls, the partial shutdown clock starts ticking straight toward the deadline.
And a shutdown isn’t just “everyone goes home.”
→ Paychecks get delayed
→ Government contracts freeze
→ Approvals grind to a standstill
→ Key economic data gets pushed back
Uncertainty drags the entire economy down.
And markets always react the same way:
1⃣ Bonds sell off first
2⃣ Stocks dump next
3⃣ Crypto and commodities dump even harder
And we’re already seeing markets dumping.
And this is only the start.
Right now, most people are ignoring the risk.
Markets think it doesn’t matter.
That kind of complacency always breaks before the headline hits.
I’ve studied markets for a decade and called every major top, including the October $BTC ATH.
Follow and turn on notifications if you want to survive what’s coming.
I’ll post the real warning before it makes the news.
$PIPPIN $RIVER
V
USD1/USDT
Preț
1,0004
·
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Bullish
Cryptohamid
·
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Bearish
Panica este peste tot, dar începi să faci DCA🫵 Când va atinge btc 76k până la 75k🗿
$BTC

{future}(BTCUSDT)
$ETH

{future}(ETHUSDT)
$BNB

{future}(BNBUSDT)
·
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Bearish
Panica este peste tot, dar începi să faci DCA🫵 Când va atinge btc 76k până la 75k🗿 $BTC {future}(BTCUSDT) $ETH {future}(ETHUSDT) $BNB {future}(BNBUSDT)
Panica este peste tot, dar începi să faci DCA🫵 Când va atinge btc 76k până la 75k🗿
$BTC

$ETH

$BNB
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