The narrative on the market changes every moment, but this week I'm more focused on the main trend:
$BNB first check for continued strength (ecosystem + buyback expectations/capital flow are all there), then pick for elasticity.
Within hot spots I'll watch:
$ENA (derivatives & yield narrative),
$WIF (sentiment barometer when meme recovery kicks in),
$TON (once application/traffic returns, it tends to move in trends).
Operationally: respect the trend first, don't force bottom fishing in disagreements; add on pullbacks without breaking structure, exit if it breaks. Personal view only, DYOR.