@frosty23mage
Rising leverage in the crypto market, particularly in Q1 2025, has amplified volatility, with Bitcoin and Ethereum experiencing sharp price swings. High leverage fuels rapid gains but risks liquidations during corrections, as seen with overleveraged positions in March. Effective risk management includes setting stop-loss orders, reducing position sizes, and diversifying across assets. Monitoring funding rates and long-short ratios can signal over-leverage. Traders should prioritize low-leverage strategies to navigate turbulence, especially with Bitcoin’s RSI indicating potential corrections.