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#TradFi交易分享挑战 TSMC (TSM) Market Analysis
1 Market Position and Share
TSMC is the absolute leader in the global wafer foundry market, with an expected market share of 64%-72% by 2025, far surpassing competitors like Samsung (8%-10%) and UMC (5%-6%).
In the advanced process (7 nanometers and below) sector, TSMC accounts for about 90% of the global capacity, serving as the core foundry partner for top chip designers like NVIDIA, Apple, and AMD.
2 Financial Performance and Profitability
In Q3 2025, gross margin reached 59.5%, well above market expectations, with an operating profit m
TSM-0.93%
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Ryakpanda
#TradFi交易分享挑战 TSMC (TSM) Market Analysis
1 Market Position and Share
TSMC is the absolute leader in the global wafer foundry market, with an expected market share of 64%-72% by 2025, far surpassing competitors like Samsung (8%-10%) and UMC (5%-6%).
In the advanced process (7 nanometers and below) sector, TSMC accounts for about 90% of the global capacity and is the core foundry partner for top chip designers like NVIDIA, Apple, and AMD.
2 Financial Performance and Profitability
In Q3 2025, gross margin reached 59.5%, well above market expectations, with an operating profit margin over 50% and a net profit margin of about 45%, demonstrating strong cost control and pricing power.
Benefiting from AI demand, the full-year revenue growth guidance for 2025 was raised from 30% to 35%, and it is expected that revenue will continue to grow double-digits in 2026.
3 Demand Drivers
AI and High-Performance Computing (HPC): HPC business accounts for over 60%, becoming the core growth engine for revenue. Cloud providers like NVIDIA, Google, and Meta have sustained high demand for AI chips, driving TSMC’s advanced process capacity to operate at full load.
Consumer Electronics and IoT: Although smartphone market growth has slowed, clients like Apple and Qualcomm still have stable demand for high-end chips. The demand for advanced process chips in IoT and automotive electronics is also gradually increasing.
4 Technological Advantages and Moats
Leading in Advanced Processes: N2 (2nm) process has entered mass production in the second half of 2025, and A16 (1.6nm) process is planned for 2026. The technological gap advantage is clear, making it difficult for competitors to catch up in yield and performance.
Advanced Packaging Monopoly: Cowos (Chip-on-Wafer-on-Substrate) technology is an exclusive solution for AI accelerator chip packaging, with capacity in high demand, further consolidating market position.
5 Risks and Challenges
Geopolitical Risks: US-China tech disputes and tensions in the Taiwan Strait could impact supply chain stability. The US CHIPS Act promotes domestic manufacturing, while TSMC’s overseas fabs (such as in Arizona and Kumamoto, Japan) face cost and policy uncertainties.
Competitive Pressure: Intel (18A process) and Samsung (2nm process) are accelerating their efforts. If yield breakthroughs or capacity expansions succeed, price competition may intensify.
Macroeconomic Fluctuations: A global recession could lead cloud providers to cut data center capital expenditures, affecting AI chip demand.
Overall, TSMC leverages its technological, ecological, and capacity advantages to remain central in the AI era. The market outlook is optimistic, but attention should be paid to geopolitical, competitive, and macroeconomic risks.
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HighAmbition:
To The Moon 🌕
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NIO is actually the only new car-making force that is profitable.
I've always thought that battery swapping would definitely be a dead end, but I didn't expect their cars to be so popular—selling nearly 100k units in a quarter...
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#WTI原油失守90美元 May 28, 2026, Thursday, marks a watershed moment in the global oil market and shipping industry—WTI crude oil futures settlement prices plummeted 5.55%, breaking below the $90 mark for the first time in nearly a month. However, behind the retreat in oil prices driven by "peace signals," container spot freight rates have continued to rise for four consecutive weeks with a "seasonally strong" stance. Even more concerning is the simultaneous pressure on the supply chain from the repeated negotiations between the US and Iran, severe congestion at ports in India and Pakistan, and labo
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Predict has scored, continuing the critical hits. Usually, I run more than three strategies because with more people using a single strategy, the rewards decrease. If it fails, I might be confused for two weeks before getting an answer.
The rewards are getting fewer and fewer, and recently Predict has been quite aggressive in clearing points from violating accounts. This is commendable; otherwise, it's all technology providing fake liquidity, and the risk is not at all worth it. You can't even unload your holdings.
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🚨 🇺🇸Trump just dropped IRAN DEAL details - Hormuz reopens, uranium DESTROYED, no money to Iran!
Per Trump’s official statement on Truth Social, the key terms are:
•Hormuz Strait reopens immediately, no tolls, both directions.
•Iran commits to NEVER have nuclear weapons.
•Naval blockade lifted, trapped ships heading home.
•Underwater mines being removed by US and Iran.
🔥 Iran’s enriched uranium (“Nuclear Dust”) buried after B2 bombing 11 months ago will be excavated and DESTROYED.
• US, Iran, China, and IAEA coordinating uranium destruction.
• NO money exchanged at this stage.
•Trump meetin
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$LAB (1h) - Breakout Pullback Long
Bias: Long
Entry (Zone): 5.58 - 5.74
Targets:
TP1: 6.05
TP2: 6.38
TP3: 6.82
Stop Loss: 5.18
Why this Setup:
I see a strong impulsive breakout with heavy volume, and I want to buy a controlled pullback into the breakout area instead of chasing the spike. I expect continuation as long as price holds above the recent consolidation and the reclaimed 5.5 area.
LAB25.3%
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$SOFI DOUBLE BOTTOM AT THE POC 🥳
IT DOESN'T GET CLEANER THAN THIS. I GAVE YOU ENTRY AT 16 USD. ITS NOW AT 18... STILL EARLY.
#SOFY
SOFI8.37%
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GateUser-85fe1308:
.
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Mentioned buying $DE during yesterday's live stream
Solid looking chart with nice R:R from here
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$APE (1h) - Bullish Reversal
Bias: Long
Entry (Zone): 0.1272 - 0.1284
Targets:
TP1: 0.1305
TP2: 0.1328
TP3: 0.1358
Stop Loss: 0.1248
Why this Setup:
I see buyers defending the recent base after the selloff, and price is holding above the short-term support area. I want to trade the recovery continuation if momentum pushes back through the nearby resistance zone and confirms strength.
APE8.07%
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🔥 Both long and short positions made big money this month‼️ Unknowingly, I have been subscribed for 4 years, with over a thousand subscribers. 7.5gT half-price remaining for 2 days‼️ Friends who subscribe are not fools; if you don’t make money, then you’re 👇 definitely 😄 You can click on the link or copy it to the web browser to subscribe:
https://www.gate.com/zh/profile/ Wave King K God
🔥 Saturday 74,300/2010 perfect bottoming Sunday 77,500/2145 overnight massive profit of 380,000
🔥 Monday 76,000/2070, Tuesday 78,050/2140, eating meat
🔥 Reversal at 78,000/2140 short yesterday at 72,700/
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LoveDudu,LoveHealth:
Buy the dip 😎
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$BCH Dropped from 348.88 to 299.21, take profit on 80% first to secure gains. Keep the remaining 20% for key levels later, and execute stop-loss as planned. The volatile meme coin, don’t give back the profits. Those not in the market yet, don’t chase now, wait for my next signal.
$BTC $ETH
BCH4.26%
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$GRASS As expected, it fell back to 0.4574, and all short positions set at 0.5041 were closed for profit, doubling the gains. 📊Congratulations to the brothers who followed, and don't be discouraged if you didn't. The market is always there every day; the key is who can seize it. Stay tuned to my instructions, as the next opportunity is brewing and ready to launch at any time. 🚀
$BTC $ETH
GRASS-5.12%
BTC1.67%
ETH2.63%
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The recent crude oil market has shown wide fluctuations: on May 27, WTI futures settlement price briefly fell below the $90 mark to $88.68 per barrel, while Brent also dropped to $94.29 per barrel, hitting the lowest settlement price since April 17; however, the next day, stimulated by renewed US-Iran clashes, oil prices quickly rebounded, with WTI briefly recovering to $95 during trading. In terms of market pricing mechanisms, a noteworthy phenomenon is unfolding—the market’s desire for a deal has overshadowed the scrutiny of information authenticity.
US-Iran Situation: The anticipation of an
GAS0.91%
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#TradFi交易分享挑战 A 200-day moving average, allowing him to make $100 million in one day!
Imagine this: if you could make $100 million in a single day, how would it feel? According to reports, Paul Tudor Jones, one of Wall Street's top traders and one of the world's most famous macro traders, achieved such astonishing results during the 1987 US stock market crash. But the truly interesting part isn't just how much he made, but that his trading logic is actually very simple. The tool he used was the 200-day moving average. In his trading system, the 200-day moving average isn't just an ordinary ind
NAS1000.46%
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Breaking : Trump Reveals Key Terms Of Potential Iran Agreement
According to a new statement from Donald Trump, several major conditions have reportedly been discussed:
• Iran must agree to never possess a nuclear weapon
• The Strait of Hormuz must remain fully open to global shipping
• Any remaining sea mines in the region must be removed or destroyed
• Naval restrictions affecting shipping traffic would be lifted
• Iran's enriched nuclear material would be located and destroyed under international oversight
• No financial payments would be exchanged as part of the arrangement
Your take ?
#Win
BTC1.62%
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#TradeCFDWinGold
In periods when risks are redefined in the global financial markets, and macroeconomic data and geopolitical developments set the direction, the strategic importance of safe haven assets becomes much more prominent. For professionals seeking to benefit from price movements instantly by stepping outside traditional investment patterns, forward contracts offer unique solutions in terms of liquidity and flexibility. Especially, precious metals, which are recognized globally as the most durable store of value, play a leading role in capital growth and portfolio balancing moves by
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GateUser-8f00c4bd:
2026 GOGOGO 👊
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BREAKING: XLM rallies after DTCC partners with Stellar Network; potential near-term upside but looming downside risk ahead. $XLM
XLM7.72%
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$INJ (1h) - Bullish Continuation
Bias: Long
Entry (Zone): 6.10 - 6.28
Targets:
TP1: 6.38
TP2: 6.55
TP3: 6.80
Stop Loss: 5.92
Why this Setup:
I see price holding above the breakout area and building a higher low after a strong push, which tells me buyers are still defending control. I want to stay with the trend as long as momentum holds above support, with room for continuation into the next resistance levels.
INJ23.5%
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$EDEN This move was quite decisive this time, and it should be more comfortable now that it caught up earlier.
Earlier, it was repeatedly hovering around 0.05514, and after the price stabilized at a key level, it started to strengthen, with the bullish momentum gradually opening up. My approach was to go long.
Now looking at it, it has already reached 0.05583, with a +24.65% potential. Taking most of the profit off the table is not a problem.
Next, stay steady, take 75% first, and keep the remaining 25% to see if there is a second wave.
Trade cautiously in urgent situations; don’t rep
EDEN-2.74%
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This wave of $IO didn't give much time to hesitate, the long position profit has already been realized.
Earlier, the price was stuck around 0.17157, I saw the price stabilize at a key level and then start to strengthen, the bullish momentum gradually opened up, so I directly recommended going long.
Now the price has reached 0.18881, and the profit and loss percentage has reached +733.77%, this segment of profit space has been realized.
Getting the profit here is already quite a lot, take 75% first, and use the remaining 25% of unrealized gains to gamble on the follow-up.
Secure the pr
IO19.54%
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