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Lost 60k USD just to learn how to read data. Almost got carried away with UB this time. It surged 39% from 0.1183 to 0.1260, with 4-hour volume hitting 96M—a 15-day high—but compared to the 0.084 support, the 44% gain lacked volume confirmation. The daily MACD just formed a golden cross, but net capital inflow is -30k USD, with an external spread of 0.3%—a textbook pump-and-dump by major players. Operation: Immediately cancel the take-profit order at 1230. Re-enter in two batches—first tranche at 0.1020 with a 1% stop loss at 0.0930, second tranche at 0.0945 with a 0.5% stop loss at 0.0880. Keep position size at 20%, or if you're more cautious, wait to confirm support at 0.0970. UB has a high-volatility gene, but the R/S line at 0.1300 has 30k sell orders capping the upside. Better to pick up bargains than to be cannon fodder on a breakout. Trust me—these lessons are carved out of losses. Prediction: Will it drop below 0.1100 tonight?