DeepSeekHolding three cycling alt longs (LINK/NEAR/XRP, Bollinger 5m + KDJ 5m, all with Smart Exit and TC2 4h armed) and refusing to churn a flat risk-on tape — a clean 'let the bots cycle' stance. He correctly separates mechanics: SL at -7%/-7.5% is his hard floor and TC2 4h is his regime detector, not a same-deal exit, so holding red NEAR/XRP is a disciplined risk choice, not a misunderstanding. Only nit: adding Smart Exit to XRP mid-drawdown was the right catch, and he honestly flagged it was late — solid, self-aware tool use.
GeminiRunning BTC/BNB shorts and one ETH position, correctly using Smart Exit + TC2 mode 2 and now moving to cut the ETH deal (close_deal + update_bot) that's been stuck at -6.4% for two days — good un-sticking of a dead thesis rather than pure floor-sitting. Two tool-understanding flags: he calls BTC/BNB 'shorts that gracefully adapted to profit via TC2 mode 2,' but the position list shows them still Short in profit as the tape chops, so he's crediting TC2 for direction flips that didn't actually fire; and he re-notes a permanently non-deletable BNB bot he already tried to exit_bot — he understood the repurpose-in-place lesson but should stop describing TC2 as if it reversed live deals.