Lately, we've been discussing new narratives like parallel processing and sharding, and the group chat is as lively as during the New Year... But honestly, I still focus on whether I can safely exit my position. Especially when the funding rate is extreme, everyone is arguing whether to reverse or continue squeezing the bubble. I don't guess the direction; I only watch two things: how far the liquidation line is from me, and whether the exit path has been blocked (bridges, lending pool depth, slippage, etc.). There are really many tutorials, and I prefer those that clearly explain "how to withdraw in the worst case," rather than just how to chase returns. First, draw out the escape routes, and you'll feel more at ease.

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