Currently, any analysis is meaningless; no analysis can accurately tell you what will happen in the next second. This round of market conditions this year is very challenging, and the experience of holding positions is poor. Specifically, how poor is it?
99.5% of the holding time is in a loss state, with only 0.5% of the time seeing a price increase. In the end, only 0.1% of the time is left for retail investors to escape; if they don't escape, they are stuck in deep losses. A while ago, there was crazy price manipulation, and now looking back, those who didn't escape at that time now have to invest again.
After repeated testing and manipulation, many attempts to mislead have occurred; only the last attempt is genuine, and if you don't grasp it well, you won't be able to escape. The difficulty of this year's market lies here.
This year's market is challenging to operate in, and the pace is fast. We will discuss the characteristic of a fast pace later. Currently, the control rate of counterfeit markets is very high, and aside from waiting, there are no better options in the spot market.
2024 is about to end, and 2025 will surely be a year of a big bull market. Currently, we are in a short-term winter within the bull market; after enduring this, we will welcome the explosive growth of a super bull market. Still, the same advice: avoid contract leverage, hold spot assets steadily, and you will definitely become a winner in this bull market. Finally, I wish everyone great profits in 2025.