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SOLUSD long — 22 Aug 2026 (stopped out)

This long on SOLUSD entered at 94.17 and stopped out at 91.85 after 1.1 hours, closing at -2.46%.

AssetSOLUSD
Directionlong
Issued (UTC)2026-08-22 09:12
Entry94.17
Stop-loss91.85
Take-profit 195.778
Take-profit 2 (stretch)96.85
Reward:risk at entry1.16
Outcomestopped out
Close price91.85
Realized P&L-2.46%
Time open1.1 hours

What the model saw at issue time

AI-generated analysis, written before the outcome was known. Quoted verbatim, never edited after the close.

1. REGIME READ: 1h/15m/4h EMA bull-aligned but 5m mixed (alignment 2/4), 1h ADX 41.3 strong but slope -9.26 (fading hard), ER10 0.03 (dead-noisy/stalled), choppiness 35.8 (trending edge), Hurst 0.49 neutral, HMM volatile conf 1.0 — a strong bull trend that has stalled into a session pullback/consolidation. 2. LEAN CHECK: HTF EMA stack still bull, +2.95% 24h and top-traders heavily long (pos ratio 2.02) favor the long side, but 4h RSI 76 overbought + rolling z +2.19 + RV 98th pctile flag a stretched tape; net lean is cautious long with the trend. 3. DIRECTIONAL THESIS: trend-alignment cluster — 15m/1h/4h all bull-aligned with top-trader pos ratio 2.02 and OI +2.4% 24h supports dip continuation off the pullback. 4. PRE-MORTEM: fading ADX (-9.26), taker ratio 0.84 (persistent sell pressure), and accelerating_down OI momentum with net -0.1% 4h say the pullback could deepen and roll the overbought 4h into a real reversal. 5. LEVEL PLACEMENT: entry 94.17; stop below the recent consolidation shelf at 91.85 (~2.46% ≈ 1x atr_pct_1h, structural invalidation); stretch TP 96.85 (~2.85%, R:R ~1.15, inside clamps) at prior 5d-high resistance zone. 6. EXPECTATION: stalling trend + heavy sell-side takers cap upside; meaningful chop/expire risk given ER10 0.03.

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