Looking at SOL's daily chart, the downward trend is obvious. The recent rhythm has been continuous declines, with occasional rebound candles, followed by further declines. From a trading perspective, setting a stop loss of 3-5 points can prevent being swept out by intraday volatility. When encountering a daily-level rebound, if your stop is hit, you can wait for the price to rise further before resuming short positions. Being more conservative and holding positions below 100 is also not a big problem. Recently, SOL's trading approach has been very clear—shorting on rallies. This strategy is still quite applicable in the current market environment.

SOL0.05%
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Deconstructionistvip
· 7h ago
Shorting on rallies sounds simple, but when it comes to the market, aren't you just knocked out by the rebound? The decline of SOL was obvious early on.
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SybilSlayervip
· 7h ago
Shorting at the high is indeed a clear strategy, but what I worry about more is a sudden wave of reverse sell-offs...
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RektHuntervip
· 7h ago
Shorting SOL on the rise was indeed clear this time; just worried that the mindset might collapse during the rebound...
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PriceOracleFairyvip
· 7h ago
sol shorting feels like printing money rn ngl, that mean reversion trap is *chef's kiss*
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AirdropGrandpavip
· 7h ago
Short on rallies, it sounds simple, but how many actually execute it properly... I'm also watching below 100, but I have a feeling that SOL's rebound this time might be a trap for more longs.
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ThatsNotARugPullvip
· 7h ago
Going short at the high sounds simple, but the psychological pressure of holding through the rebound... SOL's rhythm this time is indeed clear, just worried about setting stops too tight and being swept repeatedly, is there anyone like me who keeps sleepwalking at critical points
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