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$RIF The account’s floating profit is locked at +177.02%—a victory of “multi-indicator resonance”!
We decisively entered a short at 0.09610 because this is the convergence point of a triple-signal resonance: a MACD death cross, RSI overbought, and the Bollinger Bands upper band. The subsequent plunge fully matched expectations, with the price sliding all the way down to 0.08746.
20x leverage was the accelerator for this trade. Many people only look at a single indicator, and end up being fooled by a fake breakout; while multi-indicator resonance has fewer signals, it wins on extremely high ce
RIF76.34%
BANK43.60%
ESPORTS5.70%
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RIFUSDT
Short
Cross 20X
Return %
+182.35%
Entry Price(USDT)
0.0961
Mark Price(USDT)
0.08836
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OldMaIsFierce.:
🤣🤣🤣 I won’t let you die
Layout Shib Inu Ethereum · Dog Head
gate liveLIVE
4,601
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guroo:
To The Moon 🌕
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So scary—just like a knockoff coin.
$SPCX It dropped like this; it can’t rise anymore.
It’s really a curse—don’t think about buying this token.
The bears see two digits—bears are unbeatable #SpaceX
SPCX-9.74%
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HalvingHistorian:
I was still thinking about buying the dip, but seeing this trend immediately deterred me—the bears are really fierce.
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【$BANK Signal】1H pullback to EMA20 support, bulls take the initiative to attack
$BANK Orders are densely stacked around 0.2539. After a contraction in volume and consolidation, funds re-enter. On the 4H Bollinger midline is moving up, and the bullish front line is stable.
🎯 Direction: Go long
⚡ Entry/limit orders: 0.2540 (within the recommended range)
🛑 Stop loss: 0.2419
🚀 Target 1: 0.2738
🚀 Target 2: 0.2833
🛡️ Trade management: After reaching Target 1, cut 50% and move the stop loss up to break-even. If price drops back to the entry level, automatically exit to protect principal.
1H RS
GOOGL-7.60%
BTC-1.61%
ETH-2.42%
SOL-2.53%
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$RIF Breakout to the upside—takeoff! The past few hours were just stuck in a dead-locked range, then suddenly it kicked into gear and surged. Congrats to the brothers who kept pace—this round directly bagged $232 worth of profit. Next, you can keep an eye on the positions of $ON and $ZAMA , but the market may swing at any time, so don’t chase too hard. Everyone, watch the risks.
RIF76.34%
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$ATOM Atomera Incorporated.
Price is starting to show signs of recovery at the lower part of the Fib box ✅
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#BTCBreaks66000 BTCBreaks66000
Bitcoin just crossed 66000.
That number matters, not because round numbers are magic, but because of what it tells us about where we are in the market cycle in 2026. After months of grinding sideways, consolidating, and shaking out leverage, we are finally seeing a clean break with volume, with institutional flow, and with a macro backdrop that is starting to support risk assets again.
I want to walk through what happened, why it happened now, and what it likely means for the next few months. I will keep this practical. No hype. Just the data, the context, and h
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$NOCK | First major ponzi to 0 on Robinhood
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BREAKING: WTI up ~5% intraday to $91.25 as Brent climbs; geopolitical risk persists with 12th night of strikes on Iran. Crypto markets may feel spillover from macro oil moves and risk appetite shifts. $BTC $ETH
BTC-1.61%
ETH-2.42%
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This is my current thesis on $BTC
I expect us to form a range over the next 1–1.5 months.
As I've mentioned before, I believe the significant base low is already in at 57K. If we do see any manipulation below that level, I'd view it as a area which gets bought up INSTANTLY.
After this period of consolidation, I expect BTC to expand toward the 80K region. From there, I think we'll see another frustrating range, similar to the 25K–31K consolidation from the previous cycle, before pushing higher.
BTC-1.61%
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2In1:
2026 GOGOGO 👊
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MU worth $985—are you in panic or greed?
First, look at the surface: a 20% pullback from the highs. Retail investors are panicking and exiting the top.
One month ago it hit an all-time high at 1,255, then quickly slid back to the 950–1,000 area, with a maximum drawdown of about 20%. Currently, it’s choppy around 985, with daily price swings often exceeding 5–8%. The demand zone at 950–975 has been defended multiple times; MACD turns bullish, RSI rebounds from oversold. Once the pullback is over, the third leg of the main uptrend could start any time.
First thing: earnings blew through the ceil
BTC-1.61%
MU1.93%
NVDA-2.85%
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JUST IN: US House passes another Iran War Powers resolution, urging halt to military actions with bipartisan support from a few Republicans. Signals rising congressional unease over the Iran conflict. $BTC ? (no ticker implied)
BTC-1.61%
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JUST IN: A whale opened a roughly $5M long in CXMT (Changxin Memory) at about $6.78, with ~751.7k CXMT on Hyperliquid; unrealized loss ~$154k. Also added $4.04M of SK Hynix. Could signal selective chip memory demand amid earnings/AI hype. $CXMT $SKHYNIX
CXMT2.01%
HYPE2.23%
SKHY3.27%
SKHYV-0.98%
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JUST IN: Google disclosed a stake in SpaceX valued at about $80B–$94B post-IPO, with those SpaceX shares currently subject to short-term sale restrictions. Could slow near-term liquidity flow in SPX-related markets. $SPCX
SPCX-3.23%
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Crazy how I publicly buy the pico lows of the best performers and simultaneously protect yall from the garbage.
We bought MU/SNDK crashes to big profits TWICE, sold GOOG 360's, and avoided all the lackluster, boring charts.
Insane run lately, enjoy 🤝
MU3.15%
SNDK2.01%
GOOG-7.60%
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$BTC This rebound may be nearing its end!
The latest unemployment data came in below expectations, and the macro backdrop isn’t providing enough support. Pushing higher from here is becoming more difficult, so I think the bulls may need to take a breather first.
Everyone, watch the risk of a short-term pullback—don’t go too hard chasing, and make sure to protect your profits!
BTC-1.57%
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$SOL Signal】Bear Strike: MACD death cross on both 1H/4H cycles with volume expansion + heavy sell pressure
$SOL 1H MACD histogram remains negative and keeps expanding, while the 4H also forms a death cross, putting pressure on rebound space. Buy-side depth is only 0.88, and the sell-side wall continues to be absorbed. There’s no clear sign of capital support near 76.74, and rebounds look weak. Objective assessment: the current risk-reward ratio is 1.5; the short setup is still reasonably attractive, but be alert for sudden short squeezes in a negative funding rate environment.
🎯 Direct
SOL-2.55%
GOOGL-7.60%
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🇮🇷 Oil surging on Iran escalation. Rubio rules out a deal: "They need to come to their senses."
Trump warned Tehran will "pay a very heavy price" for future Houthi shipping attacks.
Red Sea risk back on the table.
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$RIF This move is to withdraw for now. This trade netted a profit of $558; personally, I’m already pretty satisfied with this return. It’s time to cut off another target and move on. Also, the $CLO and $SKHYNIX in the list are worth keeping an eye on regarding their positions. The market can turn at any time—everyone, watch your risk. Don’t go too all-in; take profits when you should.
RIF76.34%
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