1. Trading volumes and order distribution:
Large orders: Buying predominates, with a volume of 571.65B FLOKI, while selling accounts for 564.56B $FLOKI
Medium and small orders: The dynamics are roughly balanced, indicating active participation from retail traders.
Overall balance: A positive net inflow of funds amounting to 21.11B FLOKI, which may indicate interest in the asset.
2. Margin activity dynamics:
Increase in margin debt: Minor changes indicate weak activity in borrowing funds to trade FLOKI. This may be related to overall market uncertainty.
Ratio of long to short positions: Long positions dominate, showing investor optimism regarding the asset's growth.
3. Loan-to-value ratio:
The ratio shows the volatility of demand for isolated margin loans. Fluctuations in the chart indicate periodic surges in interest in borrowing to trade FLOKI.
4. Changes over the last 24 hours:
Significant capital inflow of +27.11B, including positive net changes in large and medium orders.
This indicates growing interest in the asset from buyers.
Conclusion:
The FLOKI asset shows moderately bullish signals with a dominance of buying and capital inflow. The dominance of long positions indicates positive expectations from market participants, but weak dynamics in margin debt and volatility in the loan-to-value ratio suggest a cautious approach. To further confirm the trend, it is necessary to monitor trading volumes and price reactions to key levels.