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(浩泽)
The market didn’t just take my $160. It taught me a lesson worth far more than $160.
I stared at the -1027% loss rate on $SPCX for three seconds, then just smiled.
75x leverage.
18.4U margin.
160U floating loss.
Yeah… that number hurts.
I shorted $SPCX at 116.94 the moment the unlocking news came out.
In my head, it made perfect sense.
Unlocking = bearish.
Easy short, right?
Wrong.
Instead of dropping, $SPCX ripped straight up to 134.48.
A roughly 15% move against a 75x short is basically a slap in the face.
And honestly, the funniest part is that I kept thinking:
"It has to pull back."
"This move is too strong."
"Musk's planet story is just hype."
"The unlock should eventually pressure the price."
The market didn't care about any of it.
The market doesn't trade my opinion. It trades money.
People can laugh at Musk's planet plans, call it hype, or say the valuation makes no sense.
It doesn't matter.
The price went from 116 to 134.
That's the fact.
My short lost 160U.
That's another fact.
And that's probably the most important lesson here:
The market doesn't care what I think should happen.
On the chart, the 1H MACD red bars are starting to shrink, with price hovering around 132–134. Bulls may finally be losing some momentum.
My plan now is simple:
If it drops toward 130, I'll cut some of the loss.
If it breaks 135, I'm out.
No revenge trade.
No adding to the short.
No "I'll show the market who's right."
I've already learned the lesson.
Meanwhile, $BEAT is up around 26%, from 1.608 to 2.598. That's serious momentum, and it's exactly the kind of chart you don't want to blindly short.
$RE is interesting too.
It bottomed around 0.371, bounced sharply in a V-shaped reversal, and the MACD has turned bullish. If it pulls back toward 0.40 and holds, I may look for a long.
But the biggest takeaway today isn't $SPCX, $BEAT, or $RE.
It's 75x leverage.
A tiny move against you can turn a trade into a disaster.
At 75x, you don't need to be very wrong.
#DailyOrbit
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