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[New Streamer] Market Prediction
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$PUMP is Living Up to Its Name!
The bulls are back in full force! PUMP/USDT is flexing some serious upward momentum, currently trading at $0.002228 (+4.35% today) after brushing against a peak of 0.002256.
Check out that steady climb on the 15-minute chart!
The long-term trend looks just as healthy, boasting an impressive +36.68% gain over the last 30 days with massive 24-hour volume reaching 3.06B PUMP.
Are we looking at the start of another major breakout, or are we just warming up for the next leg up?#GateReserveRatio117% #StrategySells1637BTCAndBuysBackSTRC #GateRanksTop6GlobalCEX
PUMP7.35%
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MemeArchaeologist:
Over 30 points on the daily chart and 4–5 points in the short term—this pace is indeed a bit outrageous, but don’t rush to chase; first see whether it can hold 0.00225.
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Robinhood now has more RWAs than Ondo, Dinari, and every other tokenization platform.
That’s crazy, considering it only launched stock tokens last summer.
Here's a list of the top 10:
1. @RobinhoodApp: 1,912
2. @alpha_ledger: 1,425
3. @MercadoBitcoin: 847
4. @xStocksFi: 644
5. @Ondo: 441
6. @DinariGlobal: 103
7. @Reental_co: 58
8. @ bStocks: 57
9. @SwarmMarkets: 48
10. @opentrade_io: 35
Robinhood's total RWA value is up 130%+ in the last 30 days.
I'm fairly confident the value leaderboard will look very different by year-end.
HOOD0.46%
ONDO-1.12%
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#GateReserveRatio117% 🔒
Gate continues to demonstrate its commitment to user security with a 117% Reserve Ratio, ensuring that customer assets are backed with reserves exceeding liabilities.
A strong Proof of Reserves reflects financial strength, transparency, and confidence—giving users greater peace of mind in every market condition.
✅ 117% Reserve Ratio
✅ Strong asset backing
✅ Transparent Proof of Reserves
✅ Security you can verify
In crypto, trust isn't just claimed—it's proven.
#GateReserveRatio117% #ProofOfReserves #CryptoSecurity #Blockchain
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Dear copy-trading followers, since my principal is currently relatively small, my orders will mainly be between 0.01 and 0.03. It would be best if your principal came from the same source as mine; otherwise, when I place the minimum 0.01 order, you may not be able to follow. I will not withdraw a single cent of my principal before it reaches 1,000 USDT. I will not place too many orders each day and will only act when the win rate is high. For any order I consider risky, I will fully close the position and exit unconditionally, whether it is profitable or not. So, copy-trading followers, don't
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TheLeavesHaveFallen.:
Keep pushing and stay steady—I believe you can grow bigger and stronger 🤗
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Why is Mastercard willing to spend $1.8 billion to buy a stablecoin company?
Many people may find Mastercard’s acquisition of BVNK a little confusing.
Why would a traditional payments company be willing to spend up to approximately $1.8 billion to acquire a stablecoin infrastructure company?
The reason is actually not complicated. BVNK is not a company that issues some popular token. It mainly helps banks, fintech companies, and enterprises use stablecoins for receiving payments, making payments, and cross-border settlement.
For example, if a European company needs to pay an Asian supplier, th
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The inflated tide will eventually recede, and once the glitz fades, prices will ultimately return to their true value.
This $TAIKO short position was opened at an average price of 0.1751.
By holding to the directional view and waiting for the decline, the latest price has reached 0.0686, with returns reaching +2929.08%.
Rebounds during an upward move can easily disrupt your thinking. Only by sticking to your established judgment can you capture the full downward trend.
You can take partial profits first, while continuing to observe the remaining position for further downside.
Do not let short
TAIKO-0.29%
BTC1.66%
ETH0.82%
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Another reason to buy $FEFER
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$AKT Signal】Go long + 4H momentum continuation
$AKT RSI 71.76, the 4H MACD histogram at 0.0073 is still expanding. 1H RSI 70.94, bullish momentum has not faded. The order book shows slightly heavier sell pressure; Bid/Ask is 0.85, and the price is holding firmly. Funding rate is 0.005%, OI is stable. Sniping zone is 0.535887-0.537500, stop loss 0.532125, risk-reward ratio 1.5, worth a shot.
🎯 Direction: Long
⚡ Entry/Orders: 0.535887 - 0.537500
🛑 Stop loss: 0.532125
🚀 Target 1: 0.545562
🚀 Target 2: 0.549594
🛡️ Trade management:
- Execution strategy: After reaching Target 1, cut 50%, and
AKT11.33%
BTC1.67%
ETH0.76%
SOL1.28%
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CASHCAT’s market cap breaks $75M after a 71% 24h rally, ~$17.6M in volume. Meme coin volatility remains a risk factor for holders. $CASHCAT
MEME1.15%
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$HEI is brewing and is ready to blow up now, this has been trading with insane volumes over the past few days and it indicates the amount of accumulation happening
I won't be surprised if it pumps 2-3x in a single candle
HEI4.59%
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8.4 Solana $SOL Midday Strategy
Entry: Short at 73.80 - 74.20
Set a protective stop-loss
First target: 73.30 - 72.90
Second target: 72.40 - 72.00
After SOL surged in the morning session to reach an interim high of 74.14, it began to fluctuate downward. Following the surge, bullish momentum quickly weakened, and the willingness to chase the rise was insufficient. It dipped as low as 72.99 intraday before seeing a slight rebound. The current recovery is merely a weak corrective rebound after the decline and has not formed a strong reversal structure. The 73.80-74.20 range has faced resistance m
SOL1.25%
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$GIGGLE 34.3 is still falling, plunging from 46 over the past 24 hours to now be down 24.67%; $118 million in trading volume is no small move. I entered at 40.5 yesterday and am now sitting on a 14.7% unrealized loss, but I haven't cut the position—the volume on this deep pullback doesn't look right.
Full plan: add 10% at 33.0–33.5 (bringing the total position to 30%), set the stop-loss at 31.8 on a daily candle body breakdown, with the first take-profit at 38.5 and the second at 42.0. No leverage; slowly grind it out with spot.
Two scenarios: If it holds above 33.5 before the U.S. stock marke
GIGGLE-20.97%
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Many traders pursue a steadily rising equity curve, but only after making it work do they understand that this curve is never created by luck.
Since going live in December 2025, the entire gold quantitative strategy has continued running, with the complete account performance curve laid out before us. The initial principal was 142000, cumulative withdrawals totaled 188000, and the current account balance continues to grow steadily, with overall returns exceeding 150%. The long-term performance reports show periods of sustained profitability, while also recording periods of drawdown and losses.
GLDX0.01%
PAXG0.07%
XAU0.10%
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$VANRY exit pump?
VANRY2.31%
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Looking back from August 2026, the air narrative has essentially faded away. The market is straightforward now—whoever can consistently generate real returns can retain capital.
The Perp DEX sector has seen the most obvious changes. Average monthly trading volume in the first half of the year remained steadily above the $600 billion level, while the on-chain OI share gradually climbed to around 13%. With its self-built L1 and low latency, Hyperliquid has consistently held a share of around 30%, and institutions have become quite comfortable using it for hedging. However, during the volatility
HYPE4.42%
SOL1.28%
ZK1.92%
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The CZ bought last time is still being held
Today I’m opening a new position again, #币有 at a cost basis of 13M
Continuing to add to U.S. stocks #SKHynix, and taking the opportunity to play around with meme coins in crypto
MEME1.15%
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$btc
After moving sideways for nearly 2 months, just like last time from February to April, I think a direction will emerge soon. Whether long or short, it will definitely trigger liquidations involving a large amount of capital. Of course, I still think it will replicate the previous move.
BTC1.66%
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Crypto Prediction CXMT
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Only future bitcoinaires will see this post
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