📊 $GUA (-0.251%), $CTR (-0.251%), $COS (-0.23%) — 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
Port.L/S +$323 +$1,735 224 50%
Activ. trail +$1,072 −$23 169 66%
Cloud Diver +$675 −$21 17 94%
Activ×10 −$76 −$83 65 60%
Trail 1xATR −$2,329 +$33 228 27%
Hold 8h −$2,156 −$317 116 44%
Hold 4h −$2,577 −$4 160 41%
Trail 2xATR −$3,217 +$36 157 26%
Tight TP −$3,441 +$7 159 30%
Hold 24h −$4,423 −$745 91 36%
Port.mix −$3,811 −$4,640 107 50%
One entry, exits −$8,452 … +$2,057 apart. Still think it's about the entry? 🧐
#Binance #Derivatives
Analytics, not investment advice.