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SoftBank is going deeper into OpenAI while leaning harder on debt.
The company is discussing a $10–$20B bond deal to refinance financing tied to its OpenAI investment.
By October, its total OpenAI investment could be close to $65B.
Meanwhile, $410B+ has already been raised through bond markets this year for AI and data-center expansion.
AI demand is real.
The money keeps flowing because the opportunity looks massive.
Now the market has to prove the returns can keep up with the capital being deployed.
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[Rose]【ANKE Supercomputing Strategy | ETH Live Execution Log】
[Rose] Automated trading: leave the decisions to the strategy and give your time back to yourself
[Rose] Long-term, stable trading wins through execution and prevails through discipline
🕒Signal Processing
🕒2026/08/23 23:00:01— Received
the signal and placed an order for ETH-USDT-SWAP ✅
🕒Signal Processing
🕒2026/08/24 06:00:10— Received an exit signal and placed an order for ETH-USDT-SWAP ✅
[Rose] AI is trading, and the market is validating it!
ETH-0.97%
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🔥 NVIDIA EARNINGS WEEK: A MAJOR TEST FOR $NVDA AND THE AI MARKET
The spotlight is firmly on NVIDIA as its latest earnings report approaches, and this could become one of the most closely watched events for technology and AI-focused investors. 📊⚡
NVIDIA has become a key indicator of the strength of the AI infrastructure cycle. Its earnings are no longer viewed in isolation — traders often look at the company’s results for clues about semiconductor demand, data-center spending, AI infrastructure growth, and the broader direction of technology stocks.
That makes this earnings event particularly
NVDA2.15%
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CryptoSpecto:
To The Moon 🌕
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A “Public Toilet” road sign was photographed from the side, pointing directly at the HUAWEI logo across the street. The image went viral that evening, and the sign had been removed by the next morning.
This is Huawei speed👍
#HUAWEI
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JUST IN: Former Huawei Pangu head Wang Yunhe’s startup secures fresh funding, aiming to train its own large language model. Core product Routing Harness automates model selection; OpenSquilla project gains traction. Market implication: AI infrastructure moves accelerate; watch...
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$EDEN Signal】1H spikes and retreats, target the pullback for a long
$EDEN 1H spikes and retreats, current price 0.05558, with the upper wick piercing 0.05911 before rapidly pulling back. The MACD 4H red histogram is expanding, while the 1H red histogram is contracting, indicating a momentum shift. RSI 1H is flattening at a high level of 70.91, while 4H remains relatively strong at 65.33. Order book depth imbalance is -17.77%, with thin orders; the funding rate is -0.2171%, meaning shorts are paying, while OI remains flat.
🎯Direction: long
⚡Entry/limit order: 0.0554133-0.0555800
🛑Stop-loss:
EDEN23.08%
BTC-1.23%
ETH-0.98%
SOL-3.25%
NVDA2.15%
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ADA’s short-term structure has improved, but I would still treat the recent surge as a corrective rally within the broader downtrend until stronger resistance is reclaimed.
At roughly $0.211:
Holding $0.20–$0.205 keeps the immediate recovery alive.
A break above $0.23 would target the spike region around $0.255–$0.26.
Sustained acceptance above $0.26 would be the first persuasive evidence of a larger trend reversal, potentially opening $0.28–$0.30.
Losing $0.20 would expose $0.185, followed by the important $0.17–$0.175 support zone.
A break beneath $0.17 would make a retest of $0.15–$0.14 inc
ADA-4.74%
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#Gate股票观点挑战
$SNDKG + $SNDK ‌
SNDK at $1,470: The Dip Is Deep, but Is the Recovery Starting?
SanDisk ($SNDK) is now trading around $1,470, and this level makes the technical picture far more interesting than it was during the initial panic. After a violent selloff from the recent $1,600+ area, the stock is sitting near an important decision zone.
My view is simple: SNDK is still a high-risk, high-reward buy-the-dip candidate, but $1,470 is not a level where traders should become overconfident.
The stock has already shown extraordinary volatility. Recent market data showed SNDK trading with a
SNDKG-3.16%
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CryptoPanda:
To The Moon 🌕
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♦️ ETH PRICE MOVEMENT: THE RALLY IS PAUSING AT A CRITICAL LEVEL
Ethereum is trading around $2.46K, up about 1.2% today and roughly 11% over the past week.
🔥 WHAT’S BEHIND THE MOVE?
ETH's recent strength has been supported by favorable liquidity conditions and renewed spot ETF demand. Institutional interest has helped push ETH back above important psychological levels.
📊 THE $2.5K BATTLE
ETH has been testing the $2,500 area, but this zone is proving difficult to clear decisively.
A sustained move above $2,500 could strengthen the current recovery and bring higher resistance levels into focus.
ETH-0.98%
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Live trading - Analysis Crypto market
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$CBRS SHORT
Entry: 184.29 – 184.49
Stop Loss: 188.08
TP: 182.91 - 178.85 - 176.27
CBRS-2.54%
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$SPCX looks interesting for a long setup here 👀
Price is holding around the short-term moving averages after the recent recovery, while momentum is starting to stabilize.
🟢 Long Setup
Preferred entry: $135–$130
🛑 SL: $127
If the $131–$135 zone holds and buyers regain momentum, Targets would be $140, $150, $160, $175 & $200
The key is holding the $130 area. If that level breaks, the setup needs to be reassessed.
SPCX2.16%
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FenerliBaba:
LFG 🔥
The violent pump before btr’s unlock is tempting. Is no one shorting with low leverage? It’s at 0.086 now. High-leverage contracts can easily get taken out by a wick, but low leverage is playable; you can enter when the hourly chart stops continuing to pump.
BTR155.70%
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BlackRoseExecutive:
Boss
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$NVDA Earnings Could Be Bigger Than Just One Stock
NVIDIA earnings are finally here, and in my view, this is not simply another quarterly report.
This could be one of the most important earnings events for the entire AI and semiconductor market.
NVIDIA is scheduled to report its Q2 FY2027 results on August 26 after the U.S. market close. Current analyst estimates are pointing toward roughly $92.2 billion in quarterly revenue, with adjusted EPS around $2.09. Even more interesting is the Data Center business, where expectations are sitting around $85.7 billion in revenue.
Think about that for a
NVDA-0.08%
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GranvilleLaw:
Compared with AMD and in-house chips, I care more about management’s comments on gross margins in the earnings report—the moat isn’t built by talking about it.
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JUST IN: Anthropic orders SF office remote for Mon–Tue amid security guard strike chatter; union says no strike notice issued. If this shifts on-site risk, pleases risk-averse teams in AI equities. $AI?
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This move is so clear I don't even need to think—the account is dancing on its own. When the market was just being dumped in the early session, the overhead resistance on $ZEST was too obvious, with selling pressure like a mountain every time it bounced, so I gave a short signal directly at 0.17390. Now at 0.14038, with +377.83% in the bag—is it fair to say I nailed it?

Putting risk control in place beforehand is called rationality; cutting after taking a loss is called making a decisive sacrifice. First pocket the +377.83% profit, then move the stop loss on the remaining 20% back to breakev
ZEST0.51%
SNDK-3.14%
BTC-1.24%
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SOL: Focus on the 98 level today. This pullback will only be considered over if the 4-hour closing price holds above this level. If SOL fails to hold above 98 on the 4-hour timeframe, the pullback will continue.
For short positions, watch 100.5-103-106 above.
For long positions, watch 95-92.5-90 below$SOL #美国M2货币供应增速创四年新高
SOL-3.24%
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BTC Pullback to $79000
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#GateStockInsightsChallenge
🚀 $SPCX Rebounds After Unlock — Can It Return to $150?
After a major unlock, SPCX has started to strengthen again. Is this the start of a new rally, or just a short-term rebound? 👀
Share your view on Gate Square 👇
Post your original insight with #GateStockInsightsChallenge + $SPCX to join today’s challenge!
🎁 First post gets a 10 USDT reward
🔥 Post daily to win USDT, Gate merch, and exposure boosts
🌟 Keep participating to share a 10,000 USDT prize pool + VIP5 trial access
👉 Join now:
https://www.gate.com/zh/campaigns/5935
📄 Event details:
https://www.gate.c
SPCX7.60%
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ThisIsTranslateContent::
Full send, 👊
This isn’t a rebound; it’s a lifeline for an account that was about to break. When the early-session sell-off had just begun, what I saw wasn’t panic, but a weak rebound—every upward push fell just short, and volume failed to follow, a classic sign of pressure at elevated levels. I placed the short order at 1.3889 and watched it wither all the way down to 0.7126. The current floating profit of +958.76% says it all.
First secure 70% of the gains, leave 30% with the stop-loss moved to the entry price, and let the rest ride with the market.
Managing risk in advance is called rationality; cutting
DOGE-4.83%
SOL-3.24%
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