The liquidity landscape of the BSC ecosystem is indeed changing. If you didn't deploy at low prices during the absolute early stages (generally around the 100k price point), the probability of catching the later rebound is quite high, and the entry angles will become increasingly outrageous.



From the price pattern perspective, the 2 million level is basically a small top, and 10 million forms a major top. This judgment is very important for subsequent trading decisions.

Regarding my own trading approach, I have made many adjustments. The core principle is very clear: never chase after second-wave rallies, avoid gambling psychology, and never keep adding positions out of optimism. Take profits at the expected level and exit immediately, keeping only a small core position to seize potential opportunities.

The specific execution process is as follows:

First, continuously monitor the on-chain activity of multiple leading traders and institutional addresses. Once these addresses show abnormal fluctuations, immediately search for related storylines and market narratives on social media to quickly understand the underlying logic. This helps avoid blindly following the crowd and allows for earlier detection of genuine market signals.
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