HERE IS EXACTLY HOW THE REST OF 2026 PLAYS OUT
June - bear trap, last chance to accumulate
July - $BTC breaks out, structure shifts
August - altcoins wake up, everything moves
September - new ATH around $250K
October - bull trap, smart money starts exiting
November - liquidation cascade, leverage gets destroyed
December - bear market begins
Been mapping cycles like this for over 10 years
Called the October top when everyone was screaming $200K
Called every major bottom before the crowd understood what was happening
This is not a guess, this is a roadmap
Bookmark this post and come back in December
Follow me - every stage gets called before it prints
Breakdown on $VVV trade :
- Area demand di test dan reaksinya berupa Bullish Engulfing 4H TF
- Entry on 50% body or any POI di LTF
- SL placement just below the body candle
- Expect 2.5RR - 3RR
- Decide close early karena weekend dan testing Supply
- Still got 2R+ in this trade
Ada impact psychology juga karena hold cukup lama di moment $BTC yang super flat.
Plus jelang closing candle Monthly which can trigger extra volatility with extreme manipulation di opening candle monthly.
I’ve been trading for 9 years.
146 days into 2026 I’ve released 18 of the most comprehensive trading articles I’ve ever written.
They will help you make it as a trader.
(1/19)
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I gave Claude $20 and let it trade BTC overnight.
Woke up to a finished script and $95 profit from 5 trades.
Didn't touch a thing.
Then I found wallet 0xb27b...b82:
→ $384,858 total profit
→ 13,070 predictions made
→ $18.5K biggest single win
→ Active since March 2026
Almost nobody is tracking it.
I copytraded it while testing my script.
Started with $80.
Got to $4,218 in a few weeks.
Every position follows the same structure.
Not manual trading. One equation. Runs while you sleep.
Real results:
$17,839 → $36,318 (103% gain)
$3,112 → $15,011 (382% gain)
$10,676 → $22,178 (107% gain)
The exact framework I gave Claude:
1. Temporal bias
Find BTC time windows with 65%+ edge. Skip the rest.
2. Kelly sizing
Size based on confidence, not fixed amounts.
f* = (p × b − q) / b
3. Volatility filter
Only trade clean conditions. Skip high volatility.
4. Bayesian updates
Update probabilities after each trade. System learns over time.
Claude built the entire thing overnight.
I funded it with $20. First trade executed minutes later.
You're seeing this early. This window closes fast.
You only need: Claude + a device + 1 hour per day.
Giving this free for 24 hours.
To get it:
1. Comment CLAUDE
2. Like and retweet this
3. Follow me @codewithimanshu so I can DM you
Seberapa Bullish Q4 2025 berdasarkan kondisi Makro terakhir dan sentiment yang ada :
1. Fed Pivot Imminent
Rate cut 25 bps di 29 Oktober hampir pasti. QT juga akan segera diakhiri → likuiditas naik, tekanan yield turun. Ini jadi katalis utama buat risk assets.
2. Earnings Season Solid
Earnings US — terutama sektor teknologi — outperform besar ( EPS Intel naik +1.191% diatas estimasi ). S&P500 & Nasdaq udah new ATH → menandakan market masih dalam bull phase, bukan resesi.
3. CPI
Inflation report dirilis lebih rendah dari perkiraan, jelas good for risk assets, karena artinya The Fed tetap bisa fokus rate cut untuk support dari sisi Maximum Employment. [ Tenaga kerja ]
4. Tariff Risk Mereda
Trump bilang tarif 100% ke China “tidak sustainable” → sinyal negosiasi, bukan eskalasi. Sentimen global membaik seiring peluang de-eskalasi dagang AS–China. Meeting di akhir Oktober untuk penentuan. [ Tetap uncertain ]
5. Gold Overbought → Rotasi ke Risk Assets
Gold sudah rally 9 minggu berturut-turut dan mulai koreksi di minggu ke 10 ( Saat ini ). Jika profit taking berlanjut, potensi money rotation ke Bitcoin & equities makin besar.
6. Leverage Udah Dibersihin
Data derivatif menunjukkan long sudah washout → market uda ga dalam keadaan leverage extreme. Artinya, ada ruang bagi buyer baru untuk dorong harga tanpa tekanan likuidasi besar.
7. Seasonality Factor
Secara historis, Q4 identik dengan Halloween effect & Santa Rally. Kombinasi data makro + psikologi pasar bisa dorong euforia jangka pendek sebelum 2026 masuk fase risiko baru.
8. Presidential First-Year Effect : Market Historically Bullish
Secara historis, tahun pertama masa jabatan presiden AS yang baru terpilih cenderung diiringi dengan kenaikan signifikan di pasar saham — dari awal hingga akhir tahun.
Terbukti hingga saat ini, US Equities masih mencetak all-time high, sejalan dengan pola historis tersebut. [ Masih ada sisa waktu 2 bulan terakhir untuk BTC printing new ATH ]
Kesimpulan :
Q4 masih punya peluang untuk BTC printing new ATH, tapi bukan waktu yang tepat untuk FOMO. Gunakan momentum ini buat take profit, rebalancing, dan siapkan cash untuk 2026 nanti yang perlu di antisipasi sebagai Bear Cycle.
Bisa jadi bahan referensi buat yang lagi proses jual atau beli properti.
2025-2026: cycle peak property
2027-2030 deep recession. Notice, sama kaya 1974 (waktu itu bunga KPR mungkin diatas 40%, asumsi inflasi mencapai 40%)
Action:
- Refinancing KPR biar dpt bunga fix sampai 2032
- Lepas properti sekarang kalau memang niat dijual
- Hedging dg emas / Bitcoin
- Yang mau borong properti, tunda sampai 2028.
Bisa Arbitrase gold -> properti atau Bitcoin -> Properti.
- Seberapa parah potensi resesi nya, tidak tahu.
Data ini dr US. Tp klo US resesi, akan di ekspor ke seluruh dunia termasuk Indonesia.
JUST IN: 🇺🇸 US Congressman Nick Begich to introduce Strategic Bitcoin Reserve legislation in the House today to buy 1 million BTC.
The bill already has six co-sponsors 👀