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OUCHHH 💉🩸
$Jotchua
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$US /USDT Perp – "Massive Dump – Avoid"
Trading Plan Avoid
Entry: N/A
SL: N/A
TP1: N/A
TP2: N/A
US is down -25.98% at 0.022291, plunging 8.60% in 15 minutes. It has broken far below all EMAs. MACD is deeply negative. Do not trade this. It is a high-risk falling knife. Wait for the price to stabilize and form a base.
US-33.13%
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NightCaster:
It’s not that shorting is impossible, but chasing shorts now offers limited profit potential; the rebound will come sooner or later.
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$BNB /USDT – "Neutral Structure – Long Opportunity"
$BNB ‌ is Neutral at $608.14 with -0.20% change. OI is down -2.2%. Whale activity shows 39% buy vs 56% sell pressure – selling bias but less aggressive. Volatility is low at 4/100. The Market Maker Model shows only 14% bullish manipulation – very low. With neutral structure and low volatility, a bounce to the upside is likely after this accumulation phase.
Trading Plan:
· Entry: $608 – $609
· Stop Loss: $595
· TP1: $625
· TP2: $640
· TP3: $655
👇 Class: With neutral structure and low volatility, is BNB heading higher or lower? Drop your thou
BNB-0.22%
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ColdWalletSquirrel:
Bought at 39 and sold at 56—this clearly indicates heavier selling pressure. Isn’t calling for a bullish outlook a bit too optimistic? Unless the broader market suddenly gets a boost.
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#AVSDeepDive

When you restake ETH, you’re not just "securing Ethereum". You’re insuring other protocols. Those are called AVSs.

"*AVS deep dive*" — Actively Validated Services. They rent Ethereum’s security instead of building their own validator set.

"*Exit LRT safely*" — want out? 2 ways in 2026:
1. *Swap*: Sell LRT for ETH on DEX. Fast, but check slippage + depeg
2. *Unstake*: Burn LRT → wait unbonding period → get ETH back. Slower, 1:1
Rule: Never exit during a slashing event or market panic

"*Other AVSs*" — beyond data availability:
- *Data Availability*: New L2s post da
ETH-0.29%
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JUST IN: Citigroup CEO Jane Fraser backs crypto legislation and reveals stablecoin ambitions.
Major traditional bank signaling institutional shift toward regulatory clarity.
Wall Street moving from skeptic to architect.
C0.80%
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JUST IN: The US to deploy a new aircraft carrier to the Middle East, replacing the USS Lincoln.
Implication: heightened geopolitical risk environment often correlates with risk-off moves in crypto markets. $BTC $ETH
BTC-0.23%
ETH-0.29%
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And just like that, memory is THE trade again.
$MU 🔥
MU6.18%
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I don't want to live anymore... I sold at a loss... sigh.
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$XAU @黄鱼A column top has appeared above; in the long term, the “Kong head” has already become evident.
Short around 4390-4430; look toward around 4310-4200.
XAU-0.99%
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BTC Prediction CXMT
gate liveLIVE
918
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Some people sit at the table, while others are left to pick up the tab💵
From RAVE to LAB to TUT now, my brother, it won’t be you picking up the tab again this time, will it?🥶#tut #RAVE. #Gate用户规模突破5900万 $TUT
TUT-42.63%
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$MMT just plunged through 0.17, shedding 16% in 24 hours, with $33.4 million in trading volume and the bleeding still continuing. Don’t rush to buy the dip—BTC has been repeatedly spiking around $60k this week, and as expectations for a Fed rate cut fade, altcoins are the first to be drained of liquidity. Highly volatile coins like MMT are among the hardest hit. The chart shows 0.1622 as the short-term key level; a break below it means 0.15 is next. Until it reclaims 0.19, every rebound is an opportunity to get out. Those with heavy positions should halve them; those on the sidelines can wait
MMT-15.37%
BTC-0.23%
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CPI cooling boosts
gate liveLIVE
828
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$HYPE Short Trade
HYPE2.17%
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🚨JUST IN: Bitcoin falls back under $63,000.
BTC-0.23%
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#我的七夕交易分享 Why Position Management Is Extremely Important (Underlying Logic)
No one can guarantee that every judgment will be correct; there are no 100% accurate signals in the market.
Even with a 60% win rate, staying fully invested and suffering several consecutive sharp drops caused by negative news can result in a major account drawdown, making recovery extremely difficult.
Mathematical fact: A 20% drawdown requires a 25% gain to recover; a 50% drawdown requires a 100% gain to recover.
Avoid black swan risks: individual stocks or coins collapsing, sector-wide crashes, sudden policy changes,
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ThisIsTranslateContent:
#我的七夕交易分享 Why Position Management Is Extremely Important (Underlying Logic)
No one can guarantee that every judgment will be correct; there are no 100% accurate signals in the market.
Even with a 60% win rate, staying fully invested and suffering several consecutive sharp drops caused by negative news can lead to a significant account drawdown, making recovery extremely difficult.
Basic math: A 20% drawdown requires a 25% gain to break even; a 50% drawdown requires a 100% gain to break even.
Avoid black swan risks. A single stock or coin can implode, an entire sector can crash, unexpected policies can emerge, or the broader market can face systemic risk. Concentrating too much in one position can severely damage your account after a single piece of negative news.
Retain the initiative to act. After going fully invested, you have only two choices: hold the losing position or cut your losses. Keeping cash allows you to add to positions at lower levels, switch to better assets, and move flexibly between offense and defense.
Overcome human weaknesses. People impulsively go fully invested after sharp rises and panic-sell during declines; position-sizing rules can strictly constrain emotions and prevent greed and fear from taking control.
The truth: In the short term, luck can make you rich through going fully invested; stable long-term profits can only be achieved through standardized position management.
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JUST IN: Anthropic investors targeting $2 trillion valuation for potential IPO, per Financial Times.
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JUST IN: Bullish move as revenue and EBITDA surge drive shares up ~10%. If earnings momentum continues, this could reinforce institutional confidence in the exchange model. $CASE?
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JUST IN: CFTC Innovation Advisory Committee to hold first meeting on crypto asset regulation, AI, and prediction markets. Public comments open until Aug 27. $BTC $ETH
BTC-0.23%
ETH-0.29%
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#MyQixiTradingShare
JAPAN’S BOND MARKET IS MOVING TOWARD 24/7 BLOCKCHAIN SETTLEMENT
Mitsubishi UFJ Financial Group is taking another major step toward bringing blockchain infrastructure deeper into traditional finance.
On August 13, 2026, MUFG announced plans to test blockchain-based real-time settlement for Japanese government bonds (JGBs) through the Canton Network. The proof-of-concept is designed to explore whether repo transactions can move from traditional settlement windows toward a 24/7 real-time model.
This is more than another blockchain experiment.
It is a test of whether distribut
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