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I was just about to go rant on the forum, but then I looked at my balance. Never mind—the market is always right. A few days ago, I glanced at the chart before bed. The rebound was weak, every push upward fell just short, volume failed to follow, and the resistance above was obvious. With this structure, I felt zero hesitation shorting.

The early session gave the answer directly: shorted at 0.0750, down to 0.0729, +52.5%. Feels so good. I said it was dragging, and it really was; but once it played out, it was truly sweet. The wait wasn’t in vain.

Position management is simple: take 80% off
LAB1.47%
SNDK6.15%
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#Gate事件合约积分榜
Practical Guide to Take-Profit and Stop-Loss Strategies for Gate Event Contracts: Say Goodbye to Small Wins and Big Losses, and Lock In Your Gains
Gate event contracts, with their features of “short-cycle speculation, automatic settlement at expiration, and no traditional liquidation,” have become the preferred way for many crypto beginners to test out derivatives. However, many people discover a strange pattern after trading for a while: even if they win six or seven out of ten trades, they end up losing money overall—the core problem lies in take-profit and stop-loss management
BTC1.28%
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Sakura_3434:
2026 GOGOGO 👊
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#英伟达财报周 NVIDIA earnings +106%, stock up just 4%: What is the market afraid of?
NVIDIA's latest earnings report showed earnings up 106%, but its after-hours stock price rose only 4%.
The conclusion first: this contrast itself is the answer. It is not that the market does not recognize this report's performance; the performance had already been priced into the stock. What is truly being repriced is next year's figures, along with a business model shift that most people have overlooked.
I. The numbers themselves: Above expectations, but not above "expectations within expectations"
F2Q revenue was
NVDA-1.42%
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LittleGodOfWealthPlutus:
Wishing you prosperity and good luck! 😘
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New market update bitcoin next move today ☺️
gate liveLIVE
1,964
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This morning, look for a move higher on the long side, targeting 803. After reaching the target in the afternoon, the long position banked 1,530 points. As noted, a short entry could then target 500–800 points. On the pullback to 796, the short position banked 700 points. Both long and short trades paid off intraday; the timing was spot-on. Another pullback would allow us to go long again.
ETH1.61%
BTC1.26%
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$TAC @Signal】Long + 1H breakout/short-squeeze structure
$TAC @1H breakout above the previous high on increased volume, while 4H MACD bullish momentum continues to expand. The price is running along the upper Bollinger Band, with RSI at 76.82 on 1H and 91.92 on 4H, continuing to strengthen in overbought territory. Order-book depth is -22.87%, indicating selling pressure, while the negative funding rate of -0.1275% is accumulating costs for shorts. OI is stable, and the conditions for a short squeeze are taking shape.
🎯@Direction: Long
⚡@Entry/Limit order: 0.0078165 - 0.0078400, enter directly
TAC-29.30%
NVDA-1.42%
BTC1.26%
ETH1.61%
SOL7.10%
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Venture capitalist Jason Calacanis says Tesla Optimus will eclipse Apple’s iPhone, predicts 1 billion robots by 2036.
"I can tell you now, nobody will remember that Tesla ever made a car, they will only remember the Optimus."
- Jason Caliacanis
TSLA-1.21%
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⚽ Pre-Match Prediction · Issue 09 | Barcelona vs Athletic Bilbao
Barcelona finally begin their delayed La Liga campaign at home against a hard-nosed Athletic Bilbao side.
Can the defending champions secure all three points at home, or will the visitors withstand the pressure and pull off an upset?
Come post your original prediction and win rewards!
⏰ The match will officially begin at 03:00 on August 28 (UTC+8). Be sure to post your original prediction before kickoff.
👉 Event details: https://www.gate.com/campaigns/5901
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GateSquare
⚽ Pre-Match Prediction · Issue 09 | Barcelona vs Athletic Bilbao
Barcelona finally begin their delayed La Liga campaign at home against a hard-nosed Athletic Bilbao side.
Can the defending champions secure all three points at home, or will the visitors withstand the pressure and pull off an upset?
Come post your original prediction and win rewards!
⏰ The match will officially begin at 03:00 on August 28 (UTC+8). Be sure to post your original prediction before kickoff.
👉 Event details: https://www.gate.com/campaigns/5901
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Yusfirah:
2026 GOGOGO 👊
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HYPE quietly closed its 4-hour candle—dare you follow this LONG signal?

$HYPE /USDT - LONG

Trading plan:
Entry: 82.575 – 83.163
SL: 80.046
TP1: 84.986
TP2: 86.398
TP3: 88.516

Why watch this structure?
- The current price is 82.869, right at a key 4H level, while the 1D trend is clearly bullish.
- The 15-minute RSI is 72.72, overheated in the short term but not at an extreme, making a pullback an opportunity to get in.
- ATR is 1.176, with moderate volatility. The 80.046 stop-loss leaves sufficient room, offering a favorable risk-reward ratio.
- Why now? The EMA structure remains intact,
HYPE-0.49%
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🇬🇧BREAKING: UK government to formally direct Bank of England to advance stablecoin and digital money innovation, marking the first time a G7 central bank has received an official government mandate to develop the infrastructure.
The order signals that the UK is done deliberating and is now competing. With the US moving aggressively on stablecoin legislation and the EU's MiCA framework already live, Britain cannot afford to let its financial system sit out the next decade of monetary infrastructure.
A government order to the Bank of England is not a suggestion. It binds the institution to act
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WLD 4-hour chart hides a potential trap—are bears lying in wait at 0.40?

$WLD /USDT - SHORT

Trading plan:
Entry: 0.4000 – 0.4036
SL: 0.4193
TP1: 0.3887
TP2: 0.3800
TP3: 0.3669

Why watch this setup?
- The current price is 0.4018, hugging the 4-hour EMA, but the 1D trend is ranging, suggesting that bulls are losing momentum.
- The 15-minute RSI is only 47.35, neither oversold nor overbought, so the direction is unclear, but the bearish signal is already “Armed.”
- Key level: a break below 0.4000 targets TP1 at 0.3887 directly. If 0.38 is decisively broken on increased volume, TP2 at 0.3800
WLD1.31%
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My hand trembled slightly as I set the stop-loss a few days ago, only to discover this morning that the concern was unnecessary. During the repeated intraday swings, while everyone else was panic-selling, I saw $SOL hold firmly at 81.16, with pullbacks never breaking support and funds quietly flowing in. I said at the time that this level was worth a try. As a result, it surged straight to 104.15 today, delivering +2631.6%—what a thrill. This run was definitely worth enduring. I’m taking profit on 80% first and putting the gains safely in the bowl; I’ll move the stop-loss on the remaining 20%
SOL7.09%
DOGE1.72%
XRP0.11%
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Light oil is back in the spotlight: the government is seeking investment to increase its production, which could shift the flow of dollars fueling the P2P market.
Summary:
- More light crude = more foreign currency entering the country.
- This could reduce pressure on the BCV dollar and USDT premiums.
- Digital banking and P2P would feel the direct impact.
Why does it matter today? Because any oil-related signal changes exchange-rate expectations and demand for crypto assets in Venezuela.
🔗 Full analysis:
#SpreadP2P #USDTpremium #DolarBCV #LightOil
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Opening phase: The win-rate curves for both teams remained steady, with a very small margin, as the early game was tightly contested.
Midgame turning point: A period of intense two-way volatility emerged midway through, with the win rates switching rapidly back and forth several times, indicating key offensive and defensive exchanges on the field and a highly tense situation.
Current outlook: After the volatility, the red Warriors’ curve stabilized at the top, widening the win-rate gap, and market expectations began to favor the Warriors holding on to their lead.
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With this trend, I don’t even need to think—the account is dancing on its own. When I saw $CAP bottoming out intraday and holding after the pullback, with buying pressure gradually strengthening, I went ahead and opened a long at 0.02038. I didn’t dare say anything at the time, because positions like this are the easiest to get fooled by, but I knew deep down that quantitative change was already building toward qualitative change. Now it’s at 0.06925, with +4725% right in my face—I nailed this move. In terms of execution, take profit on 80% first, and let the stop-loss on the remaining 20% exe
CAP-0.70%
XRP0.11%
LAB1.47%
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@NVIDIA earnings released! $96.2 billion in revenue + 70 growth expected—can the AI market keep char
gate liveLIVE
2,875
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A few days ago, my hand trembled slightly as I set the stop-loss. This morning, I realized that filial devotion had been unnecessary.
During the intraday plunge, the overhead resistance on $SUI was obvious, and every rebound was capped. So I entered a short at 1.0030. I was still worried about a wick, but now it’s at 0.7609, with a return of +1161.93%. Those who were on board should be laughing themselves awake.
The sleepless nights weren’t in vain—I got the rhythm right.
Position management: close 70% first and protect the remaining 30% at the entry price. Even if it rebounds, don’t give the
SUI0.14%
BTC1.28%
ADA0.66%
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This move didn’t even require me to think—the account was dancing on its own. A few days ago, the rebound in the early morning hours was weak, overhead resistance was obvious, and every push upward fell just short. The intraday upper wick was ridiculously long, so I immediately locked in a short on $PIPPIN . Entered at 0.01950 and held it all the way to 0.01925, +29.28%. Feels good, brothers. I took 80% off the table first and set the remaining 20% at breakeven, letting the profits run on their own. Even if a rebound stops me out, I won’t feel bad. I’d rather miss a limit-up move than catch a f
PIPPIN2.56%
SNDK6.15%
ADA0.66%
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#晒出我的持仓收益 Continues to rise$ADA ‌~
ADA0.66%
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ADA_USDT
Long
Cross 75X
Return %
+33.18%
Entry Price(USDT)
0.2140
Mark Price(USDT)
0.2150
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I’d like to apologize to the two big brothers who followed my trades. 🙏
Originally, today’s profit was nearly 20% even after fees. I had been bullish all along, and since the returns looked good, I went to eat. While eating, I noticed the market had started pumping. Unwilling to accept missing the move, I started shorting at the top, then exited at breakeven and went long, completely losing my rhythm and ultimately taking a loss.
However, you can check the trade statements—most of the loss was from fees. After factoring in rebates, I may still have made a small profit, but the problem was sti
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