The washing is pretty clean, now it's just a matter of seeing how much the institutions can accumulate.
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There's something interesting with that gamma area, has volatility really bottomed out?
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Sounds good, but it's really just waiting for the next wave of bottom-fishers to get shaken out.
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The opening is solid, but we need to see if we can hold this momentum going forward.
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Spot ETF accumulation is real, and on-chain data confirms it too, this time might be different.
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Rebound level? I'm overthinking it, let's first see if we can hold the key support.
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That deleveraging wave definitely cleared out a lot of garbage positions, the market structure really feels improved.
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Institutions haven't bailed, but who knows what big move they're cooking up.
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The rhythm is steady, but I'm still timid, waiting for another dip before I get in.
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AlwaysMissingTops
· 21時間前
The washout is clean, so the rally will be fierce later. Much better looking than that junk chart from before.
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Spot ETFs are still accumulating, big money hasn't fled, this signal has some substance.
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Just worried about a reversal halfway through, are you guys mentally prepared?
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The gamma pressure here is interesting, shows smart money is setting up, but it also means volatility might explode.
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We'll know if the rhythm holds up in two weeks, it's too early to talk bullish now.
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Remember last time after the washout rebound, everyone who bought got trapped haha.
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I'm only half convinced that institutions haven't escaped, their "not escaping" sometimes just means they're cutting from a different angle.
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Clear upside imagination space? I only see volatility still has room to blow up, waiting to watch the show.
The washing-out finished, institutions are still accumulating, this really does seem a bit different.
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Betting on volatility expansion? Then let's wait and see, anyway going in now isn't a loss either.
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Stable as hell, I think it needs to shake up one more wave.
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Spot ETF accumulation on this piece is definitely a good signal, just afraid it's another fake-out.
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Options market sentiment turning optimistic, how come I don't feel it.
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Solid fundamentals, clear upside space, how come this line gets repeated every rally haha.
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Are the veterans really re-entering the market, I still feel like everyone's just watching and waiting.
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This bounce should test the previous high, don't overthink it.
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Toxic positions have been cleared out, whether the market is clean now I really have no idea.
The shakeout was brutal, but now is the real time to get on board.
Honestly, I don't think the fundamentals are that solid yet. We need to see what the institutions do next.
This volatility bottom thing feels like there's more to it than meets the eye.
Is this a stable start? I'm skeptical. Let's wait and see if we break new highs.
It's really just about betting on the Fed's next move. Don't overthink it.
#以太坊大户持仓变化 2026年の始まりに、ビットコインは静かに市場の洗盤を完了しました。
$BTC $ETH
昨年末のレバレッジ解消により、市場に蓄積された有害なポジションはほぼ取り除かれました。現在のチャート構造を見ると、以前よりもはるかに健全です。
特に注目すべきいくつかのシグナルは——
現物ETFが継続的に買い集めており、機関投資家が逃げ出す兆候はない;先物取引の活発度が回復し、ベテラン投資家たちが再び参入し始めている;オプション市場のセンチメントが保守的から楽観的に変わり、ボラティリティはすでに底を打っている;取引者たちは高値でGammaの空売りをしており、これは彼らがボラティリティの拡大を賭けていることを示唆しています。
要するに、マーケットは縮こまる防御状態から、積極的に攻める攻撃姿勢に切り替わったということです。蓄積のペースはまだ一定ですが、基盤はしっかりしており、年初よりも上昇の想像空間ははるかに明確です。
このスタートは全体的にリズムが非常に安定しています。皆さんはどう思いますか?この波動はどこまで反発すると思いますか?