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JUST IN: Over $110,000,000,000 added to the crypto market cap in the past 24 hours.
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There’s a new trend that entered the market this year… Trump projects.
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Your list is already solid—AVAX, ARB, DOGE, FET all sit in the high-beta sweet-spot. Here’s how I’d weight them plus two bonus plays that have the strongest risk / reward right now: -$AVAX. Why it works this cycle: Enterprise partnerships firing, TVL climbing, still < 50 % of old ATH; analysts eye $150 if alt-season kicks . Allocation 25 %. -$ARB. Why it works this cycle: Leading L2 fee burner; 90-day performance already +68 % and lagging ETH rally usually catches up fast .Allocation: 20 % -$FET. Why it works this cycle:AI narrative + merger with OCEAN & AGIX = biggest AI utility token; beta to AI hype is unmatched. Allocation:15 % -$DOGE. Why it works this cycle:OG memecoin, +63 % in 90 d; when retail FOMO returns it’s the first lever institutions pull for quick beta .Allocation:10 % -$RNDR. Why it works this cycle:Decentralized GPU render, fee burn > token inflation; AI+ metaverse twin catalyst.Allocation:15 % -$DYDX v4Why it works this cycle: Perp DEX, 100 % of fees flow to stakers; if derivative volume explodes, token gets scarce quick.Allocation:15 % How to enter DCA 50 % of your stables across the six names starting this week. Place bid ladders 10 % lower (in case of a leverage flush). Keep 10 % dry for new narrative coins that always pop mid-alt-season. Exit rule (so you don’t give it back): Sell 25 % when Alt-season Index > 90 for 3 weekly closes. Sell another 25 % when BTC.D < 30 % + funding > 0.05 % for 5 days. NFA, size to your sleep.
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Split the stack, don’t try to nail the bottom. Deploy 30 % right now (market-buy strong alts or ETH). BTC is consolidating above its old ATH; if we grind sideways you still catch the rotation when BTC.D drops. Stash the other 70 % in bid-ladders below: BTC ≈ $110,000–111,000 (CME gap zone)) ETH ≈ $4,500–4,600 demand zone / support (prev resistance = support) Optional “nuclear” stink bids at BTC 54 k in case of a leverage-flush. Set GTC limit orders and walk away—if they fill, great; if not, you’re already 30 % in. Timeline: any dip usually shows up within 7–14 days after a CPI/Fed week (next one is 18 Sep). If no fill by early Oct, convert the remaining bids to DCA buys, time > timing. Keep 10 % in USDT for the “black-swan” day; park it in flexible earn (≈ 3 % APY) so it’s still spendable . Risk of missing the move up > risk of a 5-8 % draw-down. Split entry kills the FOMO and keeps you liquid. NFA, size for your sleep.
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BTC.D = Bitcoin Dominance, the percentage of the total crypto market cap that belongs to Bitcoin. Think of the whole crypto market as a pie: If BTC.D = 60 %, Bitcoin owns 60 % of that pie; the other 40 % is every other coin combined. When the number drops, money is rotating out of BTC and into altcoins, that’s the start of alt-season. When it rises, traders are rushing back into BTC for safety. Formula: BTC.D = (Bitcoin Market Cap ÷ Total Crypto Market Cap) × 100 You can chart it on TradingView with the ticker BTC.D.
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You’re right, history rhymes, it doesn’t photocopy. The timing will never be identical, but liquidity still rotates the same way: BTC ➜ ETH ➜ alts. Whether it started last week or starts in October, the on-chain footprints (BTC.D falling while stables rise) are already flashing. I’m not waiting for a flag, I’m following the flows, same script, new actors.
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