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$PIEVERSE Signal】Long Strong Bid Support
$PIEVERSE Deep buy orders abundant, Bid/Ask ratio 1.19, dense orders around 0.795. 4H MACD histogram shrinking but fast and slow lines still above zero; 1H consolidating at highs, bids absorbing strongly. Current funding rate 0.0317% not overheated, open interest stable, short-term selling pressure limited.
🎯Direction: Long
⚡Entry/Limit: 0.795506 - 0.797900
🛑Stop Loss: 0.789921
🚀Target 1: 0.809868
🚀Target 2: 0.815853
🛡️Trade Management:
- Execution Strategy: Reduce 50% position upon reaching Target 1 and move stop loss to breakeven. If price falls
PIEVERSE23.04%
BTC0.35%
ETH0.25%
SOL-1.58%
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Tom Holland teases ‘BRAND NEW DAY’ 🕷️
“I really want people to walk out of this movie remembering one thing: ask your friends for help. That matters.”
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Watching this white rising wedge.
Remember that they break downwards 68% of the time.
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It’s back above 60k again. Not going far back—just from the first time this month it broke below 60k to now, it has repeatedly tested under 60k. Need me to say more? The bottom is always formed by the market’s movement. No need to be too impatient, just wait calmly for the wind to come! #美光市值超越Meta跻身全美前十 $BTC
BTC0.35%
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30-Min indicators are pointing down... 🔥🔥🔥
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$BTC Potential Bearish Retest Of 15-Min 200MA!? ⚠️
BTC0.35%
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📊 XRP: Is July Setting the Stage for a Trend Reversal?
After a weak June, $XRP is approaching a decisive moment.
Recent technical signals suggest selling pressure may be easing, while historical data shows July has often delivered stronger performance for XRP following a difficult June.
However, history alone isn't enough.
A confirmed breakout above key resistance is still needed before any bullish trend can be validated. Until then, risk management remains essential.
Markets reward patience, not emotions.
Do you think XRP will outperform the broader crypto market in July? Why or why not?
#x
XRP0.33%
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Oslaw:
wow
First 450 people to drop a like will receive money before Sunday ends
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Looks like the beginning of a breakdown...
Let's see if the bears can break below the yellow 1 min 200MA.
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$RE Signal】Long + 1H rebound continuation / negative funding rate support
$RE RSI_1h 63.28, 4H MACD histogram 0.0167 still expanding, funding rate -0.16% negative. No buy order gap seen, but dense orders near 0.6572.
🎯Direction: Long
⚡Entry/Limit Order: 0.657222 - 0.659200
🛑Stop Loss: 0.652608
🚀Target 1: 0.669088
🚀Target 2: 0.674032
🛡️Trade Management:
- Execution strategy: Reduce position by 50% after reaching Target 1, and move stop loss to breakeven. If price falls back to entry, exit automatically to protect capital.
Under negative funding rate, longs have not disintegrated; stable O
RE17.83%
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$$SLX The data doesn't look right. At the 0.5390 level, the 24-hour trading volume surged to $385 million, but the price only rose 35%. This volume-price divergence is too extreme.
I am Gate Data Detective, specializing in spotting abnormal data. A trading volume of $385 million corresponds to a range of 0.3979 to 0.6969. Normally, this kind of volume should at least cause a doubling, but $SLX only increased by 35%. What does that mean? First, someone is aggressively accumulating at the bottom, but the selling pressure above is equally massive. The high point of 0.6969 is exactly where bears a
SLX31.46%
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$VELVET Signal】Long Entry: 1H price holds steady at 1.41, selling pressure piles up but buying orders are strong
$VELVET 1H MACD histogram turns negative, yet price counter-trends sideways at 1.41, with aggressive buying below. 4H Bollinger Band upper rail at 1.4195 is close, volume hasn't shrunk, breakout intention is clear.
🎯Direction: long
⚡Entry / Pending Order: 1.4058 - 1.4100
🛑Stop Loss: 1.3959
🚀Target 1: 1.4311
🚀Target 2: 1.4417
🛡️Trade Management:
- Execution strategy: After reaching target 1, reduce position by 50% and move stop loss up to breakeven. If price falls back to entry
VELVET115.54%
BTC0.35%
ETH0.25%
SOL-1.58%
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$KGEN Signal】Long | 4H Bullish Arrangement, Clear Capital Support
$KGEN RSI 1h surged to 86.37, the 4H Bollinger Bands are opening upward with price standing on the upper rail at 0.2205, buy-side depth imbalance is -13.94% but order book thickness remains. MACD 4H histogram expanding, bullish momentum not exhausted. Funding rate 0.0113% low and stable, OI stable indicating positions are not exiting. Short-term profit space about 1.5%, risk-reward ratio 1.5 acceptable.
🎯Direction: Long
⚡Entry/Limit: 0.227515 - 0.228200
🛑Stop Loss: 0.225918
🚀Target 1: 0.231623
🚀Target 2: 0.233335
🛡️Trade M
KGEN19.29%
BTC0.35%
ETH0.25%
SOL-1.58%
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This one came out, the market directly stopped pretending!🔥
The moment I opened the market this morning, $BEAT the feeling was really smooth. A few days ago, before bed, I was still grinding repeatedly, and today the long order rhythm directly played out📈
When the market hadn't fully started yet, what I was watching was that BEAT's pullback held, the key level didn't break, and selling pressure didn't continue to increase👀
At that time, I suggested going long around 1.2146, not chasing the hype, but the structure gave the signal.
This is the rhythm.
Now from 1.2146 to 2.5282, +21
BEAT4.77%
BTC0.37%
ETH0.25%
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Colombia’s “Europhobia” — is it really not good enough against top European teams?
Colombia has a statistic worth paying close attention to: in World Cup history, they have played European teams 11 times in total. What does the record look like? Not ideal.
In their last two friendly matches, Colombia lost to France and Croatia one after the other. When facing European technical-style teams, Colombia’s midfield control often becomes a problem. Portugal is a typical European technical-style team— the midfield pairing of B费 and B席 is one of the top-tier setups in the whole world.
But guys, histor
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COL VS PRT
Colombia
3.85x
26%
Draw
3.23x
31%
Portugal
2.22x
45%
$20.83M Vol
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$$PUNDIX 0.0924 dropped 14%, who chased after the spike to 0.1248 last night? Let me say it again, this is a typical distribution structure.
Yesterday afternoon, our team placed sell orders around 0.12, coordinated with the news to push it up to 0.1248, and simultaneously initiated high-frequency selling pressure. Looking at the trading volume of 85M, that single upper wick took out 38% of the volume. Now it's pulling back to 0.0906, right at the lower edge of the previous dense accumulation zone, but there's no sign of volume-backed stabilization.
In terms of operations, you can position
PUNDIX-17.15%
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[New Streamer] in Ehich the regulatory stocks intensifies?
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CryptoSum:
1000x VIbes 🤑
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#PredictWorldCupWin40000
#WorldCup🏴󠁧󠁢󠁳󠁣󠁴󠁿vs🇧🇷
⚽️ My prediction for the match Colombia 🇨🇴 — Portugal. 🇵🇹
In my opinion, Portugal will win with a score of 2:1. 🇵🇹 The team has a more balanced squad, extensive experience in top-level competitions, and knows how to control the tempo of the game. At the same time, Colombia is always dangerous thanks to quick counterattacks, so there will definitely be no easy victory for the Portuguese. I expect an open game with many dangerous moments.
📊 Why exactly this prediction?
• ✅ Portugal is stronger in squad depth and experience.
• ✅ Col
BTC0.35%
GT0.15%
ETH0.25%
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HighAmbition:
good information
June 28 Strategy Plan Priority Ranking
Today's Priority:
1) 1580-1585 resistance short
2) 1562-1566 support long
3) Hold above 1586 pullback long
4) Break below 1561.8 retrace short
$ETH
ETH0.25%
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KEVINDAUD:
Today's priorities:
1) 1580-1585 sell resistance (short)
2) 1562-1566 stop falling—buy (long)
3) Hold above
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