In a long term investing vision, I am trying to identifie looking at (the small) history of BTC how long can be this correction-consolidation. I think that it won't crash to 0, this is my believe, and i think that a 5th cycle will soon or later start, with new ath in perspective. and i hope that something will be done to make btc more usefull for everyday and small payments, because actually it is not, and it is not really the best store of value of the world too. It is purely speculative even if the tech is really good. Concurrence is already here.. i don't want to be in if it is the aol of the blockchain.. But i still think that nothing bigger will emerge so soon, and i believe to this next big wave cycle.
When i am investing, i don't want to be in a risky, incertain long market, and i prefer have my money on markets that show a clear and strong signal. Why should i wait or loose. I can stay in cash and get in later with less risk and a similar reward, i will sleep bettter! I still can trade it like i did at 6000 level and accumulate if it goes higher, or daytrade it on new lows and reversal pattern (wich can be trappy in this type of configuration of market when no new money is coming, new lows are in perspective, people are scared to get in (stop loss are your friends in this configuration)... and long term holders and investors can think that it is the time to cash out at every new low (if they didn't already, we are not sure about this), and we are under 10000 (psychological aspect). The regulation can make some big old whales cash out too if they were in btc to avoid taxes.. i don't even talk about black market..
As we see in history, and as i told you, i don't want a big part of my money in a one year market that is either going down or accumulating with lots of turbulence. My money management tells me that i'd rather wait and maybe miss 1000 or 2000 or 3000 $ on the way up to a new ATH if i get (potentially) a huge return on few months even if i enter later with more money.. during this time my money is working on other markets.
First, we check a monthly chart:
182 D average was the most frequent correction time from the ATH to the safe rebuy zone.
but btc had a bigger one.. 710 D.. My thought tell me that this is not going to happen, but who knows.. And we are actually at this K decision point. We see it on the month chart.. the indicator tell us that too.
We will tcheck it in weekly after..