
Post

rainiee
I've said it before: if an asset were truly preparing to rise, it wouldn't keep crashing again and again for years, giving retail investors the illusion of "cheap bottoms" before another pump.
The more realistic risk is continued distribution. If you think 0.03 or 0.02 is the bottom, don't rule out 0.003 or 0.002.
In both stocks and crypto, selling pressure can hit quickly, while sustained upside requires real capital and demand. In a weak market, hoping that insiders will simply give back wha
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