Guys, as per portfolio size divide your trade, some for long term and some for short-term trades, for quick profits. when our call hits 1st or 2nd target(10-20%) booked 40%, rest 60% hold with trailing stoploss. And strict SL at breakeven.
Don't put all Eggs in one basket.
No of call will be increase. As Sentiment and Narrative changing quickly
Fund for short term trades and longterm holding should be separate
Early Jan will be the time for a major correction. 1/ Early Jan - Trump inauguration 2/ March 25 There will be a major correction at Jan. After that, all shits will go parabolic Exit crypto market at range March-May.
Was liquidity harvesting - liquidation of leveraged positions. Today 780m positions have been liquidated. Why it happened - many publics will write because Israel and Turkey are going to attack Iran. But this is an attempt to explain why it happened. Gold is not moving. Oil - not moving. Cryptocurrencies are like jelly beans.
I think you realize by now that this is just an attempt to explain why the drop happened.
In fact, this is a market and such movements happen all the time. And this is a healthy correction. Bitcoin is still 97k