Wait for the signal to enter the market, pull back below 25%, short-term, only trade mainstream. Last liquidation time: September 22, 2025, if I hold on again, I am a dog.
This pump has already missed the best entry opportunity at noon, so let's wait a bit longer. The longs moved too quickly at noon, so make sure to follow BTC.
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MoneyMoney:
Just now, another person got liquidated 😂😂 Heavy position and going all out, still couldn't hold on, from yesterday until now, finally got liquidated 😂😂
Weizi has also announced a rate cut, and the news front has basically stabilized. Starting today, I’m going to go all out and make back the losses from the past two weeks 😎
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ChiffonListeningToTheRain:
Are you addicted to holding positions, brother? Look at your own record. You were making profits when you were rational before, but then you started holding losing positions, one rekt and one profit. Why are you still obsessed with increasing the position and holding losing positions? Doesn't this contradict your motto?
Still losing 500u. If the interest rate is cut by 50bp on Thursday, it is estimated that there will be a surge and then a fall. My previous judgment was wrong, and I admit my mistake. Then I added 70% Margin in between, and the Position opened was too large, but I will just hold onto these two shorts. I will do some trades in between, and I don't want to lose money. In the future, I won't be a foolish market manipulator with altcoins, and frequent stop losses are quite annoying. I will try to open trades from afternoon to evening in the future, hoping to recoup investment this week.
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MoneyMoney:
Announced at two o'clock tonight, going long has a chance to reap big profits, bring a stop loss, take profit is not needed, just hold it tightly 😀😀
Today is not going well. Fortunately, myx just took a loss, and then I want to see if BTC can go up to 112500. If it can hold above, I will take a loss; otherwise, I will just hold on to it. If there are good opportunities in between, I will reduce position to lower the risk.