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    3. AMF Confirms: Investors React More to Noise Than to Information

    AMF Confirms: Investors React More to Noise Than to Information

    By: rootdata|2026/08/11 14:42:01
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    You open X and a cryptocurrency that no one was talking about just a few days ago suddenly seems omnipresent.

    Bullish charts are multiplying, investors are showcasing their performances, and some accounts are already announcing ever-higher targets. After seeing the same asset appear in your news feed, you start to wonder if you might be missing out on an opportunity.

    This mechanism has just been measured by the Autorité des marchés financiers (AMF). In a study focused on retail investors in CAC 40 stocks, the AMF found that their activity reacts more to the number of messages posted on social media than to their positive or negative tone.

    In other words, it is not always the quality of the information that drives investors to act, but sometimes simply its repetition.

    When Noise Ends Up Driving Your Decisions

    On social media, every market movement leads to radically opposing interpretations. When an asset rises, some announce the beginning of a historic uptrend, while others warn that a reversal is imminent. When it falls, some speak of an exceptional opportunity, while others talk about a collapse that is just beginning.

    For the retail investor, this accumulation of contradictory opinions can quickly become anxiety-inducing. They consult more content in an attempt to get a clear answer, but mostly discover new scenarios that are incompatible with what they just read.

    Their strategy then evolves at the pace of their news feed. They consider buying after an optimistic post, hesitate after a more cautious analysis, and sometimes sell a few hours later after discovering a particularly alarming prediction.

    The problem is not necessarily that all this information is false. It stems from the fact that the investor no longer knows which ones should truly influence their decision.

    In constantly seeking an opinion that can reassure them, they end up reacting to the market rather than following a pre-established plan. This instability can lead to multiplying transactions, intervening after the most significant movements, and cycling through doubt, enthusiasm, fear, and regret.

    Understanding your own reaction to this pressure is therefore an essential first step.

    Not All Information Should Alter Your Strategy

    When an investor does not have their own analytical framework, every new publication can seem significant enough to question their position.

    However, information does not hold the same value depending on the investment horizon, level of exposure, or strategy followed. A short-term drop can be problematic for a trader with high exposure, while remaining secondary for an investor building a position over several years.

    Similarly, a macroeconomic statistic, a technical level, or an on-chain data point should not be interpreted in isolation. Its relevance depends on the overall context and how it integrates with other observed elements.

    The challenge is to determine in advance what truly deserves your attention. What is the underlying trend? What levels could provoke a market reaction? What elements would confirm your scenario, and which ones would lead you to abandon it? What exposure remains consistent with the current risk?

    When these criteria are defined, not all publications are viewed at the same level. Some provide information capable of altering the analysis, while others represent merely an additional opinion amid the surrounding noise.

    This prioritization allows for a form of stability. You no longer seek to know who is right between two accounts defending opposing scenarios, but rather to determine whether the observed data truly alters your own reading of the market.

    A Strategy Brings Back Serenity

    A solid strategy does not allow you to predict every market movement. It enables you to know how to react when different scenarios arise.

    It is around this need that we built Crypto Stratège.

    Our goal is not to add another opinion to the flood of content already present on social media. We combine technical analysis, macroeconomic context, institutional flows, and on-chain data to provide a comprehensive market reading.

    These various pieces of information are used to build concrete scenarios, identify important levels, and understand under what conditions an intervention may become relevant.

    The support also includes regular meetings with the team and a space to ask your questions when the context becomes more uncertain. You can thus confront your market reading, take a step back, and avoid letting a fleeting emotion decide the future of your portfolio.

    The real advantage, therefore, is no longer to consume more and more information, but to have a sufficiently solid framework to know which ones truly deserve your attention.

    Source: AMF

    -- Price

    --

    This content is provided for general informational purposes only and doesn't constitute financial, investment, legal, or tax advice. Any events, rewards, online promotions, or related information mentioned herein should not be considered a recommendation, solicitation, or invitation to purchase, sell, trade, or otherwise deal in any crypto assets. Crypto assets are highly volatile and may result in loss. The availability of WEEX services, products, and related events may vary by region. You are responsible for ensuring that your participation is in accordance with applicable local laws and regulations.

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    Contents

    When Noise Ends Up Driving Your Decisions
    Not All Information Should Alter Your Strategy
    A Strategy Brings Back Serenity
    SPACE

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