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$RBLX Weekly & Daily 👀
Inside weekly demand.
If it can break and hold baove the high at $49.54, I will be looking for longs.
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🚨 BREAKING 🚨 :
A whale just opened a $46,216,000 worth of $BTC short position with 46X leverage
Liquidation price $65836
Does he know something ?
BTC1.09%
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$POL Signal】Short Squeeze:1H MACD Death Cross + Sell Order Dominance in Depth
$POL 1H MACD death cross confirmed, RSI 44.17 continues to drop. 4H Bollinger Band midline 0.0727 provides solid resistance, with price suppressed by EMA50 (0.0750). Depth order book shows buy orders at 1.84x, but sell orders keep pushing down, quickly consuming buy orders. Risk-reward ratio 1.5, risk controllable, short logic clear.
🎯Direction: Short
⚡Entry / Pending Order: 0.0708967 - 0.0711100 range pending order
🛑Stop Loss: 0.0718211
🚀Target 1: 0.0700434
🚀Target 2: 0.0695100
🛡️Trade Management: - Execution
POL-0.61%
BTC1.08%
ETH2.16%
SOL3.76%
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$world gave me profits.
SUMMER is giving me FOMO.
Just finished the whitepaper and I honestly didn’t expect the tokenomics to be this aggressive.
Phase 1 buyers secure tokens at $0.7.
Launch starts at $1.
Unsold supply gets burned.
Rewards paid in USDT to all holders of 1k+ tokens. Magnet got long-term whales.
That’s a lot packed into one project.
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The U.S. actually has such ETFs, where stocks can go up 10x, and they even have the potential to go up 20x or 30x!!!
Many people think ETFs can only track the ups and downs of an index, but actually, the U.S. market also has a product called leveraged ETFs.
Such ETFs are essentially fund companies using financial derivatives like swaps and futures to amplify the daily price movements of the underlying stock.
For example:
There is a 3x leveraged ETF for the Nasdaq 100, TQ
There is a 3x leveraged ETF for semiconductors, SOXL
Popular stocks like Nvidia, Micron, and Tesla also have 2x leveraged ET
SOXL-15.47%
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Dollar strength keeps global investors alert.
gate liveLIVE
968
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$HEI | 1h | Breakout Retest
Bias: Long
Entry Zone: 0.1450 to 0.1500
Stop Loss: 0.1335
Targets:
TP1: 0.1650
TP2: 0.1800
TP3: 0.1950
Invalidation:
Close below 0.1335
Why This Setup:
I’m looking for continuation after the sharp breakout and pullback into support near 0.14-0.15. The structure still shows higher highs and a higher low base, with a move back above 0.165 likely opening the path toward the prior swing high.
HEI-15.39%
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I’m breaking down. The graphics card failed last night.
The AI failed today too—are you messing with me?
An unkillable cockroach, moving forward with courage.
I don’t believe you can’t be dealt with tonight.
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In the Republic of China era
I probably look like this
My sister says I look like a double agent
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#WorldCup🇨🇴vs🇵🇹
World Cup 2026: Colombia vs Portugal A Battle of Passion, Skill, and Determination
The 2026 FIFA World Cup continues to deliver thrilling matchups, and one of the most exciting contests features Colombia taking on Portugal. Both teams are known for their attacking football, technically gifted players, and passionate supporters, making this a clash that football fans around the world won't want to miss.
Portugal enters the match with a squad packed with world-class talent, combining experienced leaders with exciting young stars. Their tactical discipline, quick passing, and
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HighAmbition:
Get on board quickly!🚗
#WorldCup 🇯🇴 vs 🇦🇷
The 2026 FIFA World Cup reaches its final Group J fixture as Jordan takes on defending champions Argentina on June 27 at AT&T Stadium (Dallas Stadium), Texas.
Argentina has already secured qualification for the Round of 32 after winning its opening two matches and is guaranteed to finish top of Group J. Jordan, meanwhile, enters its final World Cup group-stage match playing for pride after being eliminated from knockout contention. With qualification already secured, Argentina is expected to rotate parts of its squad while maintaining its winning momentum ahead of the kn
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JOR VS ARG
Jordan
20.00x
5%
Draw
9.09x
11%
Argentina
1.16x
86%
$1.28M Vol
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HighAmbition:
Get on board quickly!🚗
Global Markets Await the Next Federal Reserve Signal
gate liveLIVE
770
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Not gonna lie, this wave is really tough! 📈 A few days ago it was still grinding back and forth at lows, then I opened the chart this morning and saw $JTO directly set the long rhythm into motion 🚀
During the intraday bottom grinding, I saw that the support below JTO hadn't dissipated; the price repeatedly tested around 0.5048 but didn't break 👀 Sell pressure got lighter, buy orders became active. At that time, I suggested going long - bullish direction, patiently waiting for it to give the answer 📌
Now it has reached 0.8288, yield +4557.43%, this profit is indeed satisfying 🔥 Not every
JTO5.11%
BTC1.09%
ETH2.13%
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Name a #memecoin that you think can do #100x in just one year: ⁉️
MEME-0.05%
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This trend is really outrageous! 🔥📉 A few days ago, the afternoon market was still stubbornly holding at high levels, $GALA looking like it wouldn't come down, but the more I looked, the more I felt something was wrong: the rebound was weak, buying support was insufficient, and every attempt to go up was pushed back. The last look before bed at GALA, that weak momentum was already very obvious 👀
I opened a short at 0.003437, waiting for that moment after the high level loosened. When I opened the market in the morning, the price had already reached 0.002292, +2363.80% directly proving my p
GALA0.88%
BTC1.09%
ETH2.13%
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Don't rush to call a rebound, the market has just shown its attitude! 📉⚡ A few days ago in the early morning $BCH was still grinding at a high level, on the surface it didn't seem to break down, but in fact each upward push was very difficult, and the volume didn't really follow.
When the market hadn't fully started yet, my focus on BCH was simple: whether there were takers for the rebound, whether the resistance was removed. The result was that it went up without takers, insufficient support, heavy trap for longs 👀 So at that time I suggested following the rhythm of opening short positions
BCH1.26%
BTC1.09%
ETH2.13%
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$VELVET I was wrong. 1.25 short, directly liquidated.
VELVET144.15%
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$POL Signal】1H MACD Death Cross + Lower Bollinger Band, Bearish Continuation
$POL 1H MACD death cross confirmed, lower Bollinger band opening downward. Although 4H MACD shows bullish expansion, the price does not follow, hinting at divergence. Sell-side pressure persists, with sell orders concentrated near 0.0711. The funding rate of -0.0017% suggests bearish dominance. Current entry risk/reward ratio is 1.5, with a clear stop-loss level and manageable risk.
🎯Direction: Short
⚡Entry/Limit Order: 0.0708967 - 0.0711100 (Enter directly at current price 0.07111)
🛑Stop Loss: 0.0718211
POL-0.42%
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International Crude Oil Next Week Outlook (June 30 – July 4)
Key Focus: U.S. Nonfarm Payrolls Report, ISM Manufacturing PMI, EIA Weekly Inventories, OPEC+ JMMC Signals, Actual Strait of Hormuz Transit Volume.
Weak Oscillation (Base Case): If Strait transit volumes continue to recover + no new disruptions → supply recovery expectations suppress, oil prices range-bound grinding in WTI 69.5–73 / Brent 73–76, with rebounds failing strong resistance treated as accumulation.
Short-Term Rebound Conditions: If the Strait sees renewed transit disruptions / Iran’s tough stance + U.S. inventories continu
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ThisIsTranslateContent:
International crude oil outlook for next week (June 30 - July 4)
Key focus: US non-farm payrolls report, ISM manufacturing PMI, EIA weekly inventory, OPEC+ JMMC signals, actual transit volume through the Strait of Hormuz.
Weak oscillation (base case): If transit volume through the strait continues to recover + no new disruptions → supply recovery expectations suppress prices, oil prices will grind sideways in the range of WTI 69.5–73 / Brent 73–76. If the rebound fails to break through strong resistance, treat it as consolidation.
Short-term rebound conditions: If the strait faces renewed transit disruptions / Iran takes a hardline stance + US inventories continue to decline → may test resistance at 72.8–75.5/76 to the upside, but medium-term loose supply-demand expectations limit upside potential.
Downside breakout risk: If OPEC+ clearly increases production substantially + strong macroeconomic data pushes the dollar higher → WTI breaks below 69.5 then look to 67.5–68. Operational reference: Short term: buy low and sell high within the range, lightly try long positions based on support at 69.5–70, strictly stop loss; if the rebound meets resistance at 72.5–73, short-term shorting can be considered.
Medium term: maintain a oscillating bearish bias until effectively breaking through 75–76 (Brent 78.5–79). Do not chase rallies or bet on a reversal.
This article is compiled and analyzed based on public data, for learning and communication only, and does not constitute investment advice. Crude oil is highly volatile, please strictly control positions. $XTIUSD
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Hurry up and get in! 🚗
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