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Everyone is missing the SYMBOL move that is already printing

$BNB /USDT - SHORT

Trade Plan:
Entry: 739 – 741
SL: 749
TP1: 733
TP2: 729
TP3: 722

Why this setup?
Why now? The 1h price is holding exactly at the entry reference of 740, which sits inside the tight entry zone between 739 and 741, giving us a clean trigger for the SHORT bias. The 15m RSI reading of 51.89 shows the asset is barely above neutral, meaning there is room for the 1h ATR of 3.708587 to push the price down toward TP1 at 733 and then TP2 at 729 without a fight. The daily trend being range-bound confirms that 740 is a lo
BNB-1.40%
What happens when yesterday’s market conditions closely matched expectations?
The Lao Xu community has harvested profits four times in a row this month.
#Gate上线打金狗限时免Gas费 $BTC $ETH $XAU
BTC-1.21%
ETH-1.06%
XAU+0.63%
Precise entry levels (current price ~79,410, near the upper boundary of Central Zone 4)
① Long・pullback second-buy setup (main strategy)
Trigger: Pullback to 78,900 ~ 79,150 (lower-middle section of Central Zone 4), holding above 78,781, with a bottom fractal forming on the 30m chart
- Entry: 78,950 ~ 79,150 (in two batches, first around 79,100)
- Stop-loss: 78,600 (80 below 78,680; exit immediately on a breakdown)
- Targets: T1 79,763 (upper boundary of Central Zone 3) → T2 80,020 → T3 80,560
- Position: 50% starter position, increase to 80% upon breaking above 79,419
② Long・breakout confirma
BTC-1.20%
My hand trembled slightly as I set the stop-loss a few days ago, only to find this morning that the extra caution was unnecessary. During the repeated intraday swings, $PIPPIN /PIPPIN kept fake-dumping and scaring me each time, but it always held firmly after the pullback, so I went long with my eyes closed.
I checked the chart this morning and saw that staying up late had paid off. My cost was 0.01960, and it’s now at 0.01987, +27.14%. This move has climbed step by step from the bottom—steady and reassuring.
I’ve locked in 80%, raised the protection on the remaining 20%, and will let the rest
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PIPPIN+2.67%
SOL-2.14%
BNB-1.40%
$XAUT Day 2, second play: 4440 faced resistance, so I entered to catch the short. In this range-bound market, don’t hold out for a bigger move—booked the 12-point profit directly, making $2,400 in under 20 minutes! ​​​
XAUT+0.63%
Insiders are watching SYMBOL collapse below 0.06979 right now.

$LAB /USDT - SHORT

Trade Plan:
Entry: 0.06945 – 0.06979
SL: 0.07129
TP1: 0.06837
TP2: 0.06753
TP3: 0.06628

Why this setup?
Why now? The 1h price sits at 0.06962 inside the entry zone, the daily trend is bearish, the 15m RSI reads 54.43 showing room to drop, and the 1h ATR of 0.000695 confirms enough volatility to push toward TP1 at 0.06837 and TP2 at 0.06753. The invalidation level at 0.07326 is the hard line that would wipe out the setup. Every tick closer to entry without a break above 0.07326 increases the probability of a
LAB-1.40%
I wasn’t watching the market or using my brain; it was jumping around on its own, as if working overtime for me. When the market was just getting dumped in the early session, $SCRT made a token rebound. I took one look and saw that the overhead resistance was crushingly strong. Almost everyone who rushed in to catch the falling knife was destined to get trapped. After placing a short at 0.02694, I went off to deal with other things.

When I came back, the current price was already 0.00778, with a return of +1739.46%. This short trade feels really good. Don’t be greedy for the last bite—close
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SCRT+3.48%
DOGE+0.13%
XRP-1.24%
OpenAI’s Chief Scientist Warns AI Is Moving Too Fast! Calling for “extreme caution,” is it time to h
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LIVE1,553
🚨BREAKING: $CBRS A failed breakdown is ULTRA BULLISH!!
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CBRS+10.26%
I have three chances to refresh the demon's power.
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$ETH Place a precise limit order before going to sleep, get filled directly, and enjoy the gains.
ETH-1.06%
Bonk Guy’s portfolio has fallen over $6M from its high, now valued at $21.08M as meme-coins pull back; top bag is 10.9M PONS (~$8.21M) with 12k% ROI, plus sizable MARSCOIN and USELESS positions. $PONS $MARSCOIN $USELESS
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PONS-10.85%
MARSCOIN-9.96%
USELESS+2.27%
$XLM /USDT is about to break range and nobody sees it coming.

$XLM /USDT - SHORT

Trade Plan:
Entry: 0.19249 – 0.19385
SL: 0.19972
TP1: 0.18826
TP2: 0.18498
TP3: 0.18007

Why this setup?
Why now? The daily trend is range, but the 1h price is sitting at 0.19316, the 15m RSI is 52.99, and the 1h ATR is 0.00273, which means the tape is quiet enough for a sharp move once it starts. The entry zone between 0.19249 and 0.19385 aligns perfectly with the 1h level, giving a precise trigger for the short bias. TP1 at 0.18826 and TP2 at 0.18498 offer stacked targets that fit the range structure, while
XLM+0.80%
No fancy tricks, no complex analysis—just pure luck. Even I feel embarrassed saying this result out loud.

A few days ago in the early hours, $NBIS held firmly at 177.09 without moving. It was forming a base without making a new low, and I saw trading volume gradually recovering, so I figured money was quietly entering. I went long with one position at the time. The logic was simple: if it refuses to fall when it should, you have to think the other way around.

I just opened the chart, and the price had already surged to 230.76, with unrealized gains of +598.06%. This run was purely the mark
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NBIS+3.39%
DOGE+0.13%
BTC-1.21%
#BTCMarket Volatility in Action!
Taking a close look at the recent price movement on the chart:
Low Point: Reached a local bottom around 79,259.7 before a strong bullish push.
Peak: Bulls drove the price up to a high of 79,477.7.
Current Status: Facing some selling pressure and retracing slightly as the market tests key levels.
What are your moves for this setup? Are you waiting for a retest or looking to short the pullback? Let’s discuss in the comments!
#Trading #Crypto #PriceAction #MarketAnalysis
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Over the year as a whole, the Yes probability curve has generally fluctuated downward; it was at a high level at the beginning of the year, continued to decline after midyear, and has recently fluctuated within a low range, with bullish expectations continuing to fade.
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Market update
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LIVE2,216
27x! One position held for a month and a half—the Hynix trade was insanely lucrative!
The July 29 call is still documented in black and white:
Entry: 888 (aggressive)–792 (conservative)
Short-term target 914–974 ✅ was hit long ago
Medium-term target 1074–1944 ✅ The first target, 1,074, has also been hit
Today's price is 1,387, with a 50x position showing +2,769% unrealized profit!
Now look at today's broader market: South Korea's KOSPI Index surged 1.9% to 7,128 points, a new all-time high. Why? The global AI arms race has made HBM memory extremely scarce, and even Hynix's production lines run
SKHYNIX+7.17%
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Recently, I’ve been systematically studying blockchain and Web3, and the more I learn, the more I realize this industry has been held back by “hype.” Setting aside price volatility, what’s truly interesting about blockchain is that it redefines trust through code. It doesn’t need banks or intermediaries; it can establish trust through mathematics and algorithms alone—an idea that would have been simply unimaginable 10 years ago. Starting today, I’m going to keep study notes, recording what I learn in plain language. I’m not aiming to sound highly professional, just to speak in a way people can
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How to Understand “Buybacks” by Launchpad Tokens: Using $PONS , $STONK , and $PUMP as Examples
There has been much discussion recently about launchpad platform tokens. A common disagreement is that some say a project’s “buybacks are very aggressive,” while others look at the data and feel they are not particularly impressive.
Neither side is necessarily right or wrong. Generally, they are using different metrics for comparison, and conclusions may also differ between short and long timeframes.
I. First, distinguish between two concepts
1) Buyback ratio: The share of revenue used to buy back an
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PONS-10.85%
RAY-1.15%
PUMP+10.31%
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