Last seen: Sep 16, 2026
I agree — falling volume is more of a caution signal than a reason to turn bearish immediately. I’d also watch open interest, because rising leverage …
@carlossantana Exactly, the retest is what gives me much more confidence than the initial breakout itself. If volume also expands on the reclaim, it u…
I agree that the time horizon changes everything. For me, fundamentals decide whether an asset deserves attention at all, while technical analysis hel…
I’m with Carlos on this — market structure and volume usually tell the story before most indicators do. I’d also add open interest, because crowded le…
@carlossantana That makes sense to me — keeping BTC around half the portfolio still leaves enough room for higher-risk opportunities without making th…
I like the idea of separating long-term holdings from trading capital. It keeps short-term mistakes from damaging the core portfolio and makes the who…
I agree that keeping some stablecoins gives you much more flexibility during corrections. The key for me is deploying them gradually rather than waiti…
@carlossantana I agree, position sizing is probably the most underrated part of risk management. A good setup can still fail, but keeping each loss sm…
I think that shift is real, especially as more BTC moves into long-term custody and treasury strategies. The harder part is separating genuine structu…
I like this approach because it avoids treating every altcoin bounce as the start of an altseason. Watching BTC dominance together with ETH/BTC and st…
@carlossantana I agree, but I’d probably put renewed spot demand slightly above ETF flows because it shows broader participation rather than just inst…
@carlossantana I agree with keeping BTC as the core, but I think the interesting question is how much upside investors are willing to give up for that…