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Crypto Loop / 256D Candle Closing
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LIVE23
$SOL Signal】1H oversold dip buying / Bollinger lower-band rebound / Risk-reward ratio 1.5
$SOL 1H RSI 42.03, with the price falling below EMA20 (100.8220) and EMA50 (101.0097); the Bollinger lower band at 99.2435 is close to the current price.
The 22:00 1H candle saw volume surge to 512198, with a buy/sell ratio of 0.43. Selling pressure was concentrated, driving the price down, while the lower shadow closed at 100.14. Dip buying was active in the 99.24-99.59 range. The MACD histogram is at 0.0817, with bearish momentum contracting. Order book depth imbalance is -4.68%, the buy/sell ratio is
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SOL-1.61%
BTC-0.53%
ETH-1.74%
I trust this coin no matter what happens, and I am 100% confident that what is happening is nothing more than a test.
When you see it soaring into space, you will all know why I waited and did not sell a single coin 👍
Do your own research
EGY
EGYEgypt
Gate.Fun
MC:$120.4KHolders:1260
100%
  • 3
I switched to the background to reply to a message, and when I came back, it had already done the job. When I opened the chart this morning, resistance above $HOME was obvious. Nobody was taking it higher, so I told everyone to cash out their short positions. From 0.00899 short to 0.00546, +2786.12%—a huge profit. Nailed the timing.

Take 80% off the table first, and protect the remaining 20% at breakeven. Don’t let a pullback make your profits painful; if the sell-off continues, let the profits run. For those who haven’t entered yet, take my advice: now is not the time to chase. Wait for a
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HOME-2.73%
DOGE-2.74%
ETH-1.78%
Layout for Bitcoin, Ethereum, and Dogecoin
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LIVE1,793
I don't remember making this chart for $eth but it's painting
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ETH-1.74%
Just you listen to some fine music and those troubles of yours will melt away quicker than butter on a biscuit, GN 🥱
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Gate Breaks into the Top Three, RWA Perpetuals May Become the Next Trump Card
The market never lacks hot topics; what truly deserves attention are sectors capable of sustained growth. CoinDesk data shows that RWA perpetual contract trading volume reached $602 billion in August, hitting a record high; Gate’s monthly trading volume reached $64.7 billion, surging 158% month-on-month, with its market share reaching 12.6%, successfully placing it among the global top three.
Gate’s stock perpetual trading volume also achieved monthly growth of over 300% for the third consecutive month, and this grow
BTC-0.56%
ETH-1.78%
PAXG-0.33%
XAU-0.34%
  • 48
$BTW I missed the first half of this 28% surge, but thanks to a contrarian move, I ended up catching the fattest part of it.
Yesterday afternoon, I placed a buy order at 0.512 because the 24h low of 0.4979 had just been swept once and volume had not expanded—a textbook false breakdown. Half an hour after it filled, the price dumped straight to 0.50, leaving me down 2 percentage points, while the group chat was full of “it’s going to zero.” I made a decision then: instead of cutting my losses, I doubled my position at 0.503. Not because of faith, but because of the trading volume—the 24h volume
BTW+31.25%
Most traders are about to get blindsided by SYMBOL right now.

$FIL /USDT - SHORT

Trade Plan:
Entry: 0.9810 – 0.9938
SL: 1.0676
TP1: 0.9272
TP2: 0.8871
TP3: 0.8269

Why this setup?
Why now? The daily trend is range, so the market is coiling for a directional move and the 1h ATR of 0.025719 shows enough recent volatility to fuel a sharp breakdown. The 15m RSI at 61.67 still has room to roll lower before overbought exhaustion, and the 1h price sitting at 0.9874 places us exactly inside the entry zone between 0.9810 and 0.9938. With a SHORT bias at 77% confidence, the first target is TP1 at 0
FIL+18.11%
A hand that set the stop-loss a few days ago trembled slightly; this morning, I realized that was unnecessary filial piety😂. During the intraday plunge, $AVA struggled to rebound. Every push upward fell just short, volume failed to follow, while selling pressure was undeniably heavy—the bull-trap vibe was strong. I know this kind of market all too well.

Going long in this kind of market is just giving money away, so I followed the trend and flipped short, entering at 0.1955. Just checked again, and the current price has slipped to 0.1702, with floating profit at +252.79%. Those already on b
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AVA+4.32%
SNDK-3.56%
ADA-1.94%
Avalanche’s largest DEX changes hands, but AVAX rises only 0.31%: An ecosystem bullish catalyst the market has yet to price in
An hour ago, Avalanche’s largest on-chain DEX became Pharaoh, but $AVAX rose only 0.31%—I’m bullish, but only buying dips; I won’t chase highs.
In one sentence—the event: Pharaoh is using EVM compatibility to draw developers and trading volume to C-Chain, securing its position as the top DEX.
I buy the transmission chain—first, EVM compatibility enables frictionless migration, applications and users are converging on C-Chain, and liquidity is translating into AVAX usag
AVAX-1.12%
Tropical storm time. PV, Mexico.
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Why is $SKYAI /USDT catching fire while the daily trend screams bearish?

$SKYAI /USDT - LONG

Trade Plan:
Entry: 0.04854 – 0.04880
SL: 0.04699
TP1: 0.04993
TP2: 0.05077
TP3: 0.05203

Why this setup?
Why now? The daily trend is bearish, yet the 1h price is coiling at 0.04867 with a 15m RSI of 46.39, suggesting the selling pressure is exhausting itself right inside the entry zone between 0.04854 and 0.04880. The 1h ATR of 0.000538 confirms that the next explosive move could easily push the asset from the entry point to the first target at 0.04993, with a clean run toward 0.05077 if momentum
SKYAI-5.40%
$WIF ‌WIF/USDT
Why did dogwifhat stay so calm? Because it was too busy chasing its own tail.
📉 Short
Entry: 0.1925 – 0.1930
TP1: 0.1890
TP2: 0.1870
TP3: 0.1850
SL: 0.1950
📈 Long
Entry: 0.1850 – 0.1860
TP1: 0.1900
TP2: 0.1920
TP3: 0.1950
SL: 0.1830
🔑 Key Levels
Resistance: 0.1926 / 0.1950
Support: 0.1890 / 0.1852 / 0.1830
⚠️ Not financial advice. DYOR & manage risk.
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WIF-1.73%
Smart money is quietly loading SYMBOL while the crowd still sleeps.

$HYPE /USDT - LONG

Trade Plan:
Entry: 77.583 – 77.907
SL: 76.190
TP1: 78.911
TP2: 79.689
TP3: 80.855

Why this setup?
Why now? The 1D trend is firmly bullish, giving us a macro tailwind. The 1h price sits at 77.745, right inside the entry zone, which keeps risk tight. The 15m RSI at 53.67 shows room to run before overbought, while the 1h ATR of 0.647904 tells us volatility is manageable for a clean move. We target TP1 at 78.911 and TP2 at 79.689, but the line in the sand is the invalidation level at 80.780, which would co
HYPE-2.64%
Let's have breakfast, my loves.
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ETH long above 2470, take profit at 2510; short at 2495, profiting on both the long and short sides.
ETH-1.74%
Most traders are sleeping on SYMBOL while the 1d trend turns bullish right now.

$SOL /USDT - LONG

Trade Plan:
Entry: 99.56 – 99.82
SL: 98.42
TP1: 100.64
TP2: 101.28
TP3: 102.23

Why this setup?
Why now? The 1d trend is firmly bullish, giving the higher-timeframe setup a strong tilt for upside. The 15m RSI sits at 31.16, showing the short-term pullback is still far from overbought and room to re-accelerate. The 1h ATR is 0.530061, meaning this entry zone around 99.69 is hugging realistic volatility, not an exaggerated range. We target TP1 at 100.64 and TP2 at 101.28, with the trade invalid
SOL-1.61%
LTC is range-bound but smart money is positioning for a sharp move down.

$LTC /USDT - SHORT

Trade Plan:
Entry: 54.62 – 54.82
SL: 55.70
TP1: 53.98
TP2: 53.49
TP3: 52.76

Why this setup?
Why now? The 1h price is stuck at 54.72 inside a tight entry zone between 54.62 and 54.82, while the 1h ATR of 0.409218 shows volatility is compressing before a breakout. The 15m RSI at 56.55 is neutral, not overbought, so the short bias has room to work. The daily trend is range, which means a break of 53.75 invalidates the entire setup. Target TP1 at 53.98, then TP2 at 53.49, with TP3 at 52.76 as the ulti
LTC+0.22%
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