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My hands paused for a second.
Around 0.06827, the sell-pressure above $RECALL is very obvious—there’s no rebound volume. Once you push it down, the order book gets weak. I don’t want to fight this kind of market head-on.
I entered based on the short-selling (short) idea at 0.06827. I saw capital outflows and stalled movement at the high end. As soon as the signal came out, I notified to short—no hesitation on the direction.
Now the price is at 0.05864. The downside space for the shorts has already been realized, and the unrealized P&L is +345.89%. Saying I’m not excited about this profit would be a lie.
My plan is: take 75% first to secure a portion, and keep the remaining 25% to see whether there’s further continuation space. For those still holding positions, keep the protective level locked in—when volatility spikes, don’t let profits shrink. Don’t hard-chase what you missed. Wait for my next signal to act. $BTC $ETH