一只小蘑菇🍄

一只小蘑菇🍄

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一只小蘑菇🍄
一只小蘑菇🍄
$BICO It's empty, just choose a good position It's only a matter of time before it drops
一只小蘑菇🍄
一只小蘑菇🍄
$ZBT Current price 0.182, surged 75% intraday, short-term sentiment is fully charged, really not recommended to chase the high here. Such a strong rally is mostly driven by short-term funds speculating; after a sharp rise, a quick dump can happen at any time, causing extremely volatile market fluctuations. For those who haven't entered, control your impulses and don't rush in just because of the big rise; the cost of catching a high is often very high. For those already holding positions, be sure to set take-profit and stop-loss levels. The first resistance above is around 0.20-0.21; when it reaches this level, you can gradually take some profits instead of holding on stubbornly. Set your stop-loss defense near 0.15; if it breaks below this level effectively, it indicates the bulls are weakening, so exit decisively and don't hold onto losses. This kind of explosive rise has a very short market duration; don't expect it to keep going up unilaterally. Only realized profits count; unrealized gains don't belong to you until you close the position. A reminder: the above is just a personal market view and does not constitute investment advice. The crypto market is highly volatile, so control your position size carefully, avoid heavy speculation, and remember that missing a trade is not scary—preserving your capital is the top priority.
一只小蘑菇🍄
一只小蘑菇🍄
$YFI The current price of YFI is 2176, with strong bearish signals, you can prepare to short! Brothers, YFI has surged to 2176, and the increase from the low point is already extremely exaggerated, basically overdrawing all the positive factors for the next six months in advance. DeFi is generally recovering, but Yearn's TVL growth is weak, the protocol's actual revenue has not kept up with the price, vault competitiveness is being eroded by new projects, and the old narrative is clearly weakening. Technically, the daily RSI is severely overbought, repeatedly pressured in the strong resistance zone of 2100-2200, with volume clearly lagging, showing obvious divergence. On-chain whales are increasingly showing signs of selling, high-level distribution is underway, while retail investors are still chasing highs with high emotions. The 2176 level is already in a clearly overvalued range, and the bubble could burst at any time. It is recommended to gradually build short positions now, with a target to retrace to the 1600-1800 range, which has ample space. It has risen enough, don't be the last to hold. Realize profits where you should, short where you should! Stay calm, this YFI correction is very likely unavoidable.
一只小蘑菇🍄
一只小蘑菇🍄
$CAP Go long at CAP current price 0.027, to put it plainly: This level isn't really an ambush; it's about grabbing a rebound, not a trend. CAP just dropped from the listing high of 0.042 and is currently consolidating in the 0.024–0.028 range. At 0.027, it's like entering the middle line of a consolidating range—whether the direction is right depends on whether it can hold above 0.028. My approach: Spot or small leverage is bought in batches; don't go up to high multiples. New currency unlock + contract launch after listing is very aggressive. Stop loss below 0.023 (exit if the daily close breaks 0.024 support), giving some room for vulnerability. The targets are 0.032–0.035 (reduce positions in the previous high resistance zone), strong volume surpasses 0.035, then look to 0.04. If it pulls back to 0.024–0.025 and stabilizes, that would be a more comfortable point to add positions. Entering 0.027 directly is a more aggressive gamble on a breakout. In short: You can go long, but when rebounding or with a light position with losses, don't treat 0.027 as a solid bottom—if it really breaks below 0.024, don't hesitate; cut and wait for a lower or confirmed price before coming back. This coin is okay in the medium to medium with RWA + Franklin narrative, but in the short term, it's just a capital game.
一只小蘑菇🍄
一只小蘑菇🍄
$BASED This momentum still suggests a bullish breakout to new highs in the short term No major suggestions, but in the short term, you can get a lot more. Once it reaches 0.1, let's see how things develop At this stage, short selling is not recommended, but if you must short Then just shorten a small lever at low multiples and pay attention to the risks
一只小蘑菇🍄
一只小蘑菇🍄
#Vitalik公布"精简以太坊"路线图 My own view: This is the most drastic self-revolution since the Merge. The direction is absolutely right — the simpler the protocol, the less likely it is to have bugs; low node thresholds truly mean decentralization; and quantum resistance is something we will have to face sooner or later. But to be honest, this is a core-layer change of significant scale, and the implementation timeline will most likely be long, so don’t expect a short-term price pump. For ETH in the long term, this is a positive; for short-term traders, it’s basically noise. As for how the secondary market will react? In the current market, good news mainly helps spot holders to break even; contracts should not be chased recklessly. If you really want to position, wait for a pullback or dollar-cost average into spot. Don’t be fooled by grand narratives into standing guard at the peak. Remember this: ETH’s technical narrative has always been beautiful, but the market’s nature is always — good news realized is bad news, and once expectations are played out, it’s time to sell. $ETH $BTC $SOL
一只小蘑菇🍄
一只小蘑菇🍄
$LAB Where does LAB get so much technical analysis? All talk about support pressure, real or fake breakthroughs—they're all just bluffing. This pool is deep water, where you can go long or short at will. The key to victory isn't the location, but whether you can hold your ground or be timid enough. Many people lose money not because of the wrong direction, but because they are too greedy. Driving 3x feels stable, 10x feels impressive, 20x feels like a genius, but after a single needle drops, it instantly drops to zero. In places like LAB, volatility is a killing ground. The bookmakers set a precise needle specifically to explode contracts. No matter how accurate your calculations are, as long as you add leverage, your mindset will collapse sooner or later. My principle when playing LAB is: hold low multipliers and quit while you can. Wrong direction? As long as your position is light and you can hold onto unprofitable losses, you'll eventually break even or even turn the tables. Is the direction right? If you make 10%-20%, just quit immediately—never fantasize about major rally waves. Those who post their bills claiming to double overnight usually don't survive for three days; those who can survive half a year in this arena understand that "living is more important than making quick money." Don't blindly believe in the so-called "best short selling spot" or "golden entry position"—LAB has no holy grail. Position management is the real boss; a steady mindset is the key to winning. Remember, in this market, surviving long is the real form of huge profit.
一只小蘑菇🍄
一只小蘑菇🍄
$NES All the short signals for NES are aligned! Current price is 0.2790, going all in on the short this time. The logic is straightforward: volume is weakening day by day, funds are fleeing faster than anyone else, and the buying side can't hold at all; the technicals are completely broken, daily moving averages are all dead crossed, with basically no support below; sector heat has long dissipated, NES's hype is over, now it's just the tail end; chips scatter as soon as you try to grab them, and the top is full of trapped positions, any slight disturbance will cause a stampede. But a reminder, for the more aggressive, you can wait to short after it breaks 0.30—if it really holds above that level, it will probably surge up again, then after a bull trap, the drop will be even more brutal. Don't rush to go all in, timing the rhythm right is more important.
一只小蘑菇🍄
一只小蘑菇🍄
$RAVE Currently, the price of $RAVE is 0.40 (today's high reached 0.42), with intense short-term volatility! My suggested take-profit and stop-loss settings (for reference only): Stop-loss: 0.34 - 0.35 (exit decisively if it falls below today's low or about -10%, to protect principal) Take-profit: execute in batches First tier: 0.45 - 0.48 (20-26% gain, sell half first) Second tier: 0.55+ (keep the remaining position with break-even stop-loss and continue to push) Core discipline: Set TP/SL orders in advance, never soften or get greedy at the last minute! For those already in profit, it is recommended to take profit on at least part of the position to lock in gains, and use the remaining profit to aim for higher targets. The market moves fast and can reverse quickly; be cautious chasing highs and prioritize strict risk control first
一只小蘑菇🍄
一只小蘑菇🍄
$HOME After trading for so many years, I've always been at a loss, but it hasn't defeated me. Over the years, I've been trading with money earned from airdrops, sometimes making profits and sometimes losses. The trades in the past two days have completely crushed me. Although the losses weren't much, they broke my spirit. I won't do contracts anymore.