The market narrative changes frequently, but this week I am more focused on the main trend: first watch for continued strength in $BNB (with ecosystem and buyback expectations / capital support both in place), then look for opportunities with potential.


I will be paying attention to hot spots: $ENA (derivatives & yield narrative), $WIF (meme sentiment warming as a trend indicator), $TON (once applications/traffic return, it tends to follow a trend).
In terms of operations: respect the trend first, avoid trying to bottom-fish aggressively during divergences; add on pullbacks that do not break the structure, and cut losses if it breaks.
This is just my personal opinion, do your own research (DYOR).
BNB-0,93%
ENA-4,98%
WIF-0,8%
TON0,85%
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