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BREAKING: Aave has proposed a new risk framework covering asset, bridging, and chain risk, with automated risk management.
Founder Stani Kulechov says assets that don't meet the new standard will be "off-boarded" once it passes.
AAVE-1.88%
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$TIA This wave of decline is completely in line with expectations, dropping from 0.4302 all the way down to 0.317, friends who followed should have already taken a big profit.
It was obvious at the time that the fake pull was caused by insufficient funds, so I decisively told everyone to short, and now the judgment has been validated.
Next, I will gradually take profits:
- First close 80% to lock in gains
- The remaining 20% will be observed further
- Set the stop loss at the cost price to protect the principal
Friends who didn't follow along don't need to rush, the market never lacks opportu
TIA0.19%
BTC-0.33%
ETH0.29%
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Ethereum Traders Watch ETH/USDT Pair as Key Support Level Wobbles - - #eth #stablecoin #usdt
ETH0.35%
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Yesterday, this coin crashed by 95%. I entered my first position at 0.3, and there were many chances to profit but I didn’t exit!!! After the crash, the “guaranteed profit” I talked about yesterday was about 15 points. The lowest was 0.05—I was also only using a 0.6x position size, which was extremely cautious. I placed orders at 0.04, 0.83, and 0.025 but didn’t get filled. Even if I had gotten filled, with the volatility I could have pushed the price even lower. Going long with 1x leverage is easy—there’s no liquidation risk; at worst, you’d just get trapped. Going short with 0.1x leverage co
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DarkHorseInTheCryptocurrency:
It’s been another full day and night without sleep, and after I took 15 points, I’ve calmed down—it didn’t crash this morning at 0.12. Even if I miss out now, it’s fine.
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$ENA – The price has formed a bearish engulfing pattern, indicating a potential continuation of the downtrend.
Trading Plan 🔴 Short $ENA
Entry: 0.080149 – 0.080631
SL: 0.083176
TP1: 0.076211
TP2: 0.074817
TP3: 0.072031
Price action is reacting near an important level, so risk management matters here. The setup depends on confirmation around the entry zone and follow-through after the move.
Trade $ENA here 👇
ENA-7.18%
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Everyone is still buying ADA at 0.1673—but the 95% short signal says you’re about to get trapped.

$ADA /USDT - SHORT

Trade Plan:
Entry: 0.1667 – 0.1679
SL: 0.1734
TP1: 0.1627
TP2: 0.1596
TP3: 0.1550

Why this setup?
Why now? The 1D trend is bearish, RSI on 15m is weak at 43.1, and ATR on 1h shows tight range—suggesting a breakdown is imminent. Entry zone is 0.1667–0.1679 with TP2 at 0.1596. The data isn’t guessing; it’s confirming the sell pressure.

Debate:
Are you holding ADA for a bounce, or do you see the slide to 0.1596 happening first?
ADA1.26%
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JUST IN: BlackRock deposits 3,966 BTC (~$244.4M) to Coinbase, signaling ongoing institutional buy activity that could buoy near-term BTC price risk-off bids. $BTC
BTC-0.27%
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A few days ago, I already gave an early notice in advance, $RAVE at a price of 0.5066 to directly go short. Currently, the market has fallen back to the 0.347 level, with an overall profit of +772.53%! For those who followed the rhythm and entered the market, all have securely harvested profits. The current level is approaching the rebound point, so I suggest everyone take profits and lock in gains. Trading must avoid greed, do not chase after fish heads or tails; the profits you have are the real gains. Friends who haven't yet followed the layout, please patiently wait. The precise signals w
RAVE-1.12%
BTC-0.33%
ETH0.29%
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#PredictWorldCupShare20000U The Historic SpaceX IPO: Trading Strategies, Valuations, and Market Impact
The anticipation surrounding SpaceX's initial public offering (IPO) has reached unprecedented levels. Pre-market contracts are experiencing significant upward momentum as the expected June 12, 2026 listing date approaches.
Below is a comprehensive analysis of the three central questions currently dominating the trading community.
🚀 Question 1: Will SpaceX Surge on Its First Trading Day?
The probability of a strong first-day performance appears substantial, driven by immense brand equity and
SPACEX3.35%
SPCX-2.55%
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Surrealist5N1K:
2026 GOGOGO 👊
Nobody’s shorting silver today—that’s exactly why I’m watching $XAG /USDT for a trap.

$XAG /USDT - SHORT

Trade Plan:
Entry: 68.56 – 68.80
SL: 69.81
TP1: 67.83
TP2: 67.27
TP3: 66.42

Why this setup?
4h timeframe just flashed a SHORT signal with 55% confidence. RSI on 15m sits at 58.31—not overbought, not oversold, but stalling. Price is clinging to 68.68 like a magnet. With 1D trend in range and ATR tight at 0.47, the real move happens when we break below 68.56 or above 68.80. The setup is waiting, not confirming—yet.

Debate:
If we crack 68.56, do you chase the short to 67.83 or wait for
XAG0.22%
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$LTC Signal】Bearish pressure: 1H MACD expanding; targeting a weak short-term consolidation range
$LTC The 1H MACD histogram at -0.0756 continues to sink, with sell-side pressure persisting. Price is consolidating with reduced volume between 42.34-42.46, and buy-side follow-through is weak. The 4H Bollinger Band’s middle line at 42.418 repeatedly faces resistance, and rebound highs keep getting lower. This low-volume, drifting-down structure has a typical risk-reward ratio, but if volume increases and breaks through the lower band, upside room opens up.
🎯Direction: Short
⚡Entry/Order: 42.35
LTC-0.86%
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How to set this ruler? Two clumsy methods:
First, sell in batches. Don't always think about selling everything at the highest point. You can sell 30% when it rises 20%, then sell another 30% when it rises 40%, and let the remaining profit run. Even if it falls back later, you've already pocketed 60% profit.
Second, use a trailing stop-loss. Don't watch the price, watch the stop-loss line you've set. For example, if you make a 20% profit, move the stop-loss line 5% above the cost price. If the price continues to rise, move it up. When the price drops below your stop-loss line one day, sell
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PrincessQingyue:
Just charge forward 👊
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$JCT (1h) - Breakout Continuation
Bias: Long
Entry (Zone): 0.00555 - 0.00572
Targets:
TP1: 0.00592
TP2: 0.00618
TP3: 0.00645
Stop Loss: 0.00528
Why this Setup:
I’m seeing a strong impulsive move with higher highs and a clean push through the prior resistance area. I want to buy the breakout retest zone and ride continuation as long as price holds above the recent breakout level.
JCT15.25%
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SOL Strategies sells 65,001 SOL to repay debt; notes balance sheet management to support staking and expects ~$13M revenue from Houdini Swap. $SOL
SOL0.25%
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🔥This month's bulls and bears both made big money‼️Unknowingly, I've been subscribed for 4 years, with over 1500 subscribers. Invited, the lowest 5.5gt discount for 3 days‼️Friends who subscribe are not fools; if you're not making money, then you definitely 😄You can click on the plain link 👇 or copy it to the web browser:
https://www.gate.com/zh/profile/Clear spring flows beneath the rocks
————————————————
🔥Last week 74,300/2,045 short 59,100/1,505 eating big gains
🔥Saturday 59,500/1,520 precise bottom-fishing 64,250/1,715 eating gains
🔥Yesterday 64,100/1,690 short 62,300/1,645 eating ga
ETC-1.46%
AVAX-0.14%
GT1.57%
DOGE-0.33%
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大饼25万:
Buy the dip 😎
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#BTC BTC falls below the short-term cost zone! Market divergence intensifies, can we really make phased investments now?
Recently, Bitcoin has been continuously oscillating and weakening, with the price falling back to around $62,847, a slight decline of 0.29% in a single day. Now, the entire market presents a very subtle state: macro factors and ETF capital flows are under pressure everywhere, most people are bearish on the surface, but internally they are starting to get eager, many traders have set $50,000 as an ideal entry point, and some veteran players openly say that BTC often traps sho
BTC-0.27%
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HighAmbition:
To The Moon 🌕
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Only a few will understand this:
#StrategyAdds1550BTCatLowerPrices
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$XMR Signal】Multiple head backtest confirmation, 1H Bollinger middle band buy-in logic
$XMR 1H RSI breaks below 55 to 54, MACD histogram continues to shrink, short-term selling pressure releases. The Bollinger middle band around 319.28 currently supports the funds, buy depth at 0.87 is below 1 but selling pressure has been quickly absorbed. The 4H EMA50 at 314.92 forms strong support, with the candlestick showing a long lower shadow.
🎯Direction: long
⚡Entry/Order: 319.2793 - 320.2400
🛑Stop loss: 317.0376
🚀Target 1: 325.0436
🚀Target 2: 327.4454
🛡️Trade management:
- Execut
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$LTC Signal | 1H Downtrend Continues, Short Squeeze
$LTC RSI 1H 43.21, Buying pressure continues to shrink. The 4H Bollinger Band middle line at 42.4180 is effectively broken, with the price at a new low of 42.34. MACD 1H histogram -0.0756 and accelerating expansion, bearish momentum dominates. Market depth imbalance -1.17%, sell orders slightly thicker. Funding rate -0.0011% approaching neutral, no short squeeze risk. Current risk-reward ratio 1.5, short-term short position logic is valid.
🎯Direction: short
⚡Entry/Order: 42.2828 - 42.4100
🛑Stop loss: 42.8341
🚀Target 1: 41.7738
LTC-0.86%
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