BTCUSD: Strategic Long Positioning | 3-Week Balance & Order Flow

Market Context: Deep Absorption Phase
We are currently navigating a prolonged three-week balance. The recent tape data provides a high-conviction context for the upcoming period. We are observing a significant passive absorption phase: large spot sell-side clips are being blocked by heavy limit-side support (limit buy walls), effectively halting downward momentum.
Order Flow & Structural Nuances
My outlook is supported by a confluence of non-lagging data:
-Passive Absorption & Delta Shifts: Aggressive market sellers are being consistently intercepted. This "sell-side lock" suggests the market is being primed for a liquidity-seeking manipulation.
-Volume Distribution (MP): Analysis of the Value Area and High Volume Nodes (HVN) confirms that the current auction is building energy for a breakout.
-Footprint & Clusters: Cluster analysis reveals aggressive absorption at the lows and localized Delta Divergences, indicating that supply is being exhausted.
Execution & Position Sizing
A "starter" long position has already been established. I am looking to pyramid (increase size) into this trade upon the formation of localized confirmation setups (e.g., proactive buy-side initiation) on the lower timeframe footprint.
-Target 1: $67,900 (Liquidity tap & partial de-risking)
-Target 2: $71,300 (Primary objective / Range expansion)
Invalidation Criteria
The long bias will be completely invalidated if the price achieves a sustained close below $64,200.
Execution should always follow your internal risk-management framework. Trade the plan.
We are currently navigating a prolonged three-week balance. The recent tape data provides a high-conviction context for the upcoming period. We are observing a significant passive absorption phase: large spot sell-side clips are being blocked by heavy limit-side support (limit buy walls), effectively halting downward momentum.
Order Flow & Structural Nuances
My outlook is supported by a confluence of non-lagging data:
-Passive Absorption & Delta Shifts: Aggressive market sellers are being consistently intercepted. This "sell-side lock" suggests the market is being primed for a liquidity-seeking manipulation.
-Volume Distribution (MP): Analysis of the Value Area and High Volume Nodes (HVN) confirms that the current auction is building energy for a breakout.
-Footprint & Clusters: Cluster analysis reveals aggressive absorption at the lows and localized Delta Divergences, indicating that supply is being exhausted.
Execution & Position Sizing
A "starter" long position has already been established. I am looking to pyramid (increase size) into this trade upon the formation of localized confirmation setups (e.g., proactive buy-side initiation) on the lower timeframe footprint.
-Target 1: $67,900 (Liquidity tap & partial de-risking)
-Target 2: $71,300 (Primary objective / Range expansion)
Invalidation Criteria
The long bias will be completely invalidated if the price achieves a sustained close below $64,200.
Execution should always follow your internal risk-management framework. Trade the plan.
Operación cerrada manualmente
Position Closed at Breakeven (BE)Market Observation:
After the initial move, the price has returned to the entry point. The aggressive buying pressure we anticipated didn't sustain its momentum, and the order flow shifted toward a more neutral/uncertain state.
Current Action:
Position Status: Closed at Breakeven.
Reasoning: In line with my risk management rules, I do not hold positions when the immediate thesis is challenged by a return to entry. Preserving capital is the priority.
Looking Forward:
I am now moving to the sidelines. I’ll be waiting for a clearer picture and a fresh shift in the Footprint or Delta data before considering a new entry. Patience is key in this current balance.
Stay disciplined and wait for the right tape.
Exención de responsabilidad
La información y las publicaciones no constituyen, ni deben considerarse como, asesoramiento o recomendaciones financieras, de inversión, de trading u otro tipo, proporcionadas o respaldadas por TradingView. Obtenga más información en Condiciones de uso.
Exención de responsabilidad
La información y las publicaciones no constituyen, ni deben considerarse como, asesoramiento o recomendaciones financieras, de inversión, de trading u otro tipo, proporcionadas o respaldadas por TradingView. Obtenga más información en Condiciones de uso.