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Crypto's Biggest Detractors Are Changing Their Tune! Vanguard's crypto reversal is one of the biggest institutional pivots we've seen.
This week we learned that the $12 trillion asset manager is hiring a Head of Crypto to lead initiatives across tokenization, stablecoins, digital wallets, custody, and blockchain infrastructure.
This is the same firm that spent years criticizing crypto.
In 2024, Vanguard's former CEO said:
"We'll never offer Bitcoin ETFs. We're not going to change our mind around this."
Fast forward to December 2025:
• Opened access to Bitcoin ETFs for clients.
• Now expanding
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$$OGN just took a quick look — this thing went from 0.0163 to 0.0215 in 24 hours, up nearly 25%, but the current price of 0.0205 is clearly capped by 0.0215. This is not a real breakout; it's a typical high-level narrow-range consolidation after a pump. First 15 words: OGN has short-term pullback risk, don't chase highs.
Technical signals: On the 15-minute chart, MACD is showing early signs of bearish divergence, with the fast and slow lines about to form a death cross. Volume has shrunk from the morning peak of 19M to the current price range — this is not healthy breakout volume. 0.0215 is t
OGN28.35%
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$MU /USDT 4-hour bearish signal, what does RSI 57 imply?

$MU /USDT - SHORT

Trading Plan:
Entry: 939.09 – 949.33
SL: 993.35
TP1: 907.36
TP2: 882.79
TP3: 845.93

Why focus on this structure?
Currently $MU /USDT is around 944.21, with the 4-hour EMA trending bearish. RSI at 57 is not oversold, leaving room for further downside. TP1 at 907.36, TP2 at 882.79, SL set at 993.35. Why now? The daily chart is oscillating, and after a short-term bounce, bearish pressure is evident, with the entry zone near key resistance.

Discussion:
For this short position, take profit at TP1 first, or wait direc
MU0.61%
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Family, who gets it?! Once that one came down, the chart stopped pretending📉🔥 A few days ago, before bed, it was still dragging along there, sluggishly. The $ZBT bounce looked pretty lively, but I wasn’t watching how high it would run—I was watching whether anyone would step in to buy it up there.
Back then, I saw the “infinite” pump with obvious suppression overhead—every time it surged upward, it just fell short by that last breath. So I told myself: open longs, but don’t rush to chase the upside. Let the level be given around 0.14420, and then the short idea should be locked in and watche
ZBT1.33%
BTC-2.27%
ETH-2.69%
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Today markets updates
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Don’t blink! That sell-off just now directly shattered the high-position long sentiment📉🔥
While everyone was still watching, I stared at the details of LTC and felt something was off: $LTC it was struggling to push upward, the volume hadn’t kept up, and when it met resistance up ahead, it pulled back immediately. Before the market had fully started, I judged it was more like a weak rebound—so it wasn’t suitable for chasing longs👀
So I executed a long around 53.67, waiting for the moment it couldn’t build momentum and for that move to be realized. Now the price is at 43.44, and the return r
LTC-1.36%
BTC-2.27%
ETH-2.69%
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Checked my Sorsa score after so long
Is 570 a good score?
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⚽️ Match prediction Spain 🇪🇸 — Belgium 🇧🇪 #PredictWorldCupWin40000U
The quarterfinal promises to be a real chess match, where every mistake could decide the fate of a ticket to the semifinals. Spain impresses with ball control and team play, while Belgium is dangerous with its quick counterattacks and ability to capitalize on chances. If the Spaniards impose their tempo from the first minutes, they will have the advantage.
🔥 My prediction: Spain 2:1 Belgium. I expect a spectacular match with goals from both teams, but I believe it will be the Spaniards who take the decisive step towards
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$UAI Signal】Long · 4H Bollinger Band Breakout Strong Continuation
$UAI Bollinger Band upper rail 0.408 breached with volume, current price 0.411 has moved outside the channel. 4H MACD histogram continues to expand, buyer depth ratio 1.55, with significant bid support. 1H RSI 70.57 high-level stagnation, but funding rate 0.005% shows no overheating, shorts have not piled up. Current risk-reward ratio 1.5, stop loss tight at 0.407, offering short-term sniper value.
🎯Direction: Long
⚡Entry/Limit Order: 0.410066 - 0.411300
🛑Stop Loss: 0.407187
🚀Target 1: 0.417469
🚀Target 2: 0.420554
🛡️Trade M
UAI14.85%
GUSD-0.01%
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Can’t sleep. I keep racking my brain over the things I can’t make sense of. I’ve been moving along without stopping. Only after I suddenly paused and reviewed myself did I realize a serious misalignment I’d overlooked. I examined myself: Has my ability to analyze declined? Has my insight declined? No—neither. It’s because I had never truly reflected on myself. I was originally outside the board, yet I walked into the game; “trapped in the chess match without finding a way out” was applied to me perfectly. In fact, the biggest blunder was overestimating the place I held in someone else’s heart.
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Gold is approaching the apex of a long-term compression pattern.
Here's what I'm watching:
• Price remains below the major downtrend line.
• Weekly MACD is still below the zero line, although bearish momentum is fading.
• The structure looks more like a falling wedge than a classic symmetrical triangle.
• $3,990 remains the key support. A decisive break below it would keep the bears firmly in control.
At this stage, I'm not trying to predict the direction.
I'm waiting for confirmation.
A breakout with volume could signal a meaningful trend change. Until then, I treat this as a neutral compress
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U.S. stocks come under broad pressure! Semiconductors, storage, and optical communications lead loss
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A clean cut! This drop surely woke up those who were chasing just a few days ago 📉🚨
A few days ago, I was staring at $MAV in the early hours, and the chart looked like it was still creeping upward—but the more I looked, the more I felt it was fake: the rally had no volume, no one was buying the breakout, and it softened as soon as it hit resistance. Before the chart had fully launched, I already judged this wasn't strength, but short sellers waiting for an opportunity 👀
So I opened a position near 0.01362, not chasing the hype. Now the price is at 0.00926, with a return of +1541.62%—perfec
MAV-0.32%
BTC-2.27%
ETH-2.69%
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Gate ETF Boost Rewards is now live, during the campaign, users who complete designated ETF trading tasks can unlock SKHYNIX3L and USDT rewards. Eligible Futures Points users can join exclusive tasks and earn extra rewards by completing their first ETF trade and cumulative trading milestones. VIP users who reach higher trading volume targets can also enjoy exclusive bonus rewards. The higher your cumulative trading volume, the higher the reward tier you can unlock. https://www.gate.com/campaigns/5383?ch=4515&ref=UFRFAQ0M&ref_type=132
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It was still grinding a few days ago, but today it directly delivered results! This candle popping out immediately put a different vibe on the chart 😎📈 While everyone was still waiting and observing, $ZEST it didn’t really go bad for real. The pullback held its ground, support below is still there, and selling pressure isn’t as heavy as before. I wasn’t watching the excitement—I was watching the position and the rhythm. Entry reference 0.17418, and now it’s at 0.20839; the profit has already reached +387% 🚀🎉 The grinding earlier was truly slow and grindy, but once it finally moved, it rea
ZEST-9.09%
BTC-2.27%
ETH-2.69%
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The minutes of the Federal Reserve's June 16-17 meeting:
The minutes confirm the underlying message that there is no urgency for easing. While the decision to keep interest rates in the 3.5-3.75% range was unanimous, the minutes reveal a real division beneath this superficial agreement. Many participants believe the appropriate funding rate at year-end will be in or slightly below the current range, while others assessed it should actually be above the current range; this means a significant portion of the committee leans towards further tightening rather than easing. The accompanying Summary
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Venüs_:
Ape In 🚀
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Macro turns hawkish on FOMC sticky inflation talks, while US credit goes negative.
• US: GDPNow 1.3% vs 1.4%; Credit -$0.18B vs $16.9B; MBA -2.2%
• FOMC: 9/18 see hike; inflation focus
• C/A: JP ¥3.968T; FR -€0.1B; SK $38.61B
• RBNZ: +25bp to 2.5%; AU Building -1.1%
Next:
• US Jobless/EHS, CN CPI/PPI Jul 9
• UK RICS, DE Trade, JP Orders Jul 9
🇺🇸 US macro got more uncomfortable.
GDPNow slipped again:
→ 1.3% vs 1.4% expected
→ down from 1.4%
It keeps the “positive growth, no acceleration” story alive.
Bigger shock was consumer credit.
It flipped negative:
→ -$0.18B vs +$16.90B expected
Tha
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📉😎 Woke up and got straight to the point! A few days ago, while everyone was still watching in the afternoon, the bounce in $MRVL looked fierce, but the volume wasn't there. No one was buying in when it went up—something felt off.
At the time, my analysis was simple: weak rebound, insufficient support, and strong resistance capping it tightly. That's why I suggested waiting for the right entry on longs, not chasing the rally. The area around 283.69 was the key observation zone📌👀
Now the price is at 231.92, and we've locked in +447.49%✅💰 Those on board should be laughing all the way. Hitti
MRVL-0.58%
BTC-2.27%
ETH-2.69%
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No need to recap yesterday's SOL short position performance; the market trend has confirmed the correctness of the strategy.
The US-Iran conflict continues to cause market panic, with capital fleeing from high-volatility public chain coins. SOL's short-term oscillation downward pattern remains unchanged. This evening, we can continue to wait for a rebound to resistance levels to set up short positions.
Operation suggestion: Short near 77.4-78, target 75.4-74.8, break below 73.
#美终止对伊朗石油制裁豁免 $SOL $BTC $ETH
SOL-4.92%
BTC-2.27%
ETH-2.69%
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LinranFinance:
Just go for it 👊
Only wicked people can see what’s written on the sticky note 💀
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