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this looks so cursed lmao
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I didn’t make any judgment call; I just held it a little longer. I didn’t expect it to actually reward me.
Opening the charts this morning, $BTC was moving sideways at the bottom and buying pressure was strengthening. I said at the time not to rush and to look for a long after a pullback.
Hold as long as the trend remains intact; get out if it breaks down. Don’t fall in love with a stock. The money you make is the monetization of your understanding; the money you lose reflects the gaps in it.
From 63014.1 to 76509, +3724.46%. Those who caught the rhythm and were on board should all have been
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BTC+0.56%
ZEC+10.70%
LAB+3.41%
BTC Gold Crude Oil Analysis
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LIVE2,014
Arc]🔹Arc teams public livestream has drawn community criticism
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LIVE34
$MARSCOIN - Short-term
Entry: 0.1162 Take-profit 1: 0.1100 Take-profit 2: 0.1035 Take-profit 3: 0.0960 Stop-loss: 0.1225 The price is testing the upper boundary of the recent range; if buyers fail to sustain momentum, there is still room for a pullback.
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MARSCOIN+31.77%
$ETH
Ethereum's price movement was within my prediction yesterday
After breaking above the previous high of 2454
It reached a high of 2482
It has now pulled back to around 2445
It will fluctuate around 2450 again in the short term
Then it will break through 2500
Three consecutive 15-minute candlesticks drove the price straight up
After breaking through 2500, it pulled back to around 2480
Once it stabilizes above the resistance at 2500
Those holding long positions opened below 2445 should be safe
They can hold for the long term
ETH+1.76%
Do you smell that...?
No, really? Smell that?
That's $CATS sellers cope.
Both charts with the same candle (in 4hrs)
Priced out (again)
After $ZHIPU surged to 96.92, I instead took 70% off first. It’s not that I’m bearish, but this level is right at the key prior-high resistance, so the risk-reward of chasing higher has deteriorated. The move up from 85.41 formed a breakout-pullback-breakout structure, with each pullback holding at a higher key level and volume expanding on the breakouts.

The key levels are clear now: the prior high is the first key level. If, after breaking through, price pulls back on declining volume and holds the upper boundary, that would create a new entry setup; if it only spikes above and then falls
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ZHIPU+5.44%
LAB+3.41%
DOGE+1.18%
Attention ‼️$W USDT short setup 🚨Entry: Set your entry between CMP and 0.01028Entry TP1: 0.00988TP2: 0.00964TP3: 0.00938Stop-loss: 0.01090Price has overextended near supply. Short here 👇👇W
$CM $TP1 TP2
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I think this might've been the biggest bear trap ever.
That move to $58k really did its work.
Only to now deviate back above.
You gotta respect it.
The Market makers really used the 4 year cycle to lead the majority astray.
And it worked like a charm.
Bitcoin has now reclaimed that deviation, and max pain is higher for the sidelined beras.
Once we've figured out this next low...
Send it much higher.
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BTC+0.63%
$ONE Current price is 0.001686. The first resistance above is the upper Bollinger Band at 0.001899, while the first support below is MA5 at 0.001756; if it breaks down, support will not come in until a pullback to MA20 at 0.001453. It has surged 149% in 24h, with a 73.61% amplitude over 30 candles. This is not a trend market but an emotional impulse; volatility has entered an extreme range, so discussing position sizing is more important than discussing direction.
Technically, MA5 has crossed above MA20, maintaining a bullish alignment, and the MACD histogram is positive, with momentum not ye
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ONE+194.16%
DASH+6.98%
AVA+76.15%
I’ve reduced the short position by 80%, locking in profits, and surprisingly feel more at ease. This decline didn’t come out of nowhere: the pullback after the earlier false breakout at the highs shows that buyers chasing the rally are already trapped, and the subsequent breakdown was merely confirmation.
The real key level isn’t a single point at the previous high, but the dense zone formed after repeated failures to break above it. After the price broke below the range’s lower boundary, the rebound failed to reclaim it, the moving averages continued to press downward, and volume did not expa
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CVC+0.72%
BTC+0.56%
SOL+2.96%
I think it would be good if I could believe in myself again #晒出我的持仓收益
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PRESIDENT TRUMP: 🇺🇸 “I’m a big fan of Bitcoin and crypto”
BTC+0.63%
The market does not explain itself; it only moves. Your job is simply not to make reckless moves.
When I checked the chart after lunch, $AKE held firm after a pullback and buying pressure strengthened. I judged it worth waiting for, with just one reminder: hold once it stabilizes.
From 0.0101698 all the way to 0.0210384, it took off +2624.68%. Those on board should be grinning in their sleep. Time to enjoy a good meal.
Take 80% in profits first, protect the remaining 20% at the entry price, and let the profits run if it keeps surging.
Don’t let profits inflate your ego, and don’t despair over
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AKE+9.63%
LAB+3.41%
ADA+3.46%
$CNPY Sometimes I’m quite impressed with myself too—I held for 3 days and had already withdrawn half of my principal and profits, yet still managed to precisely sell everything at a key level. It took off just an hour after I sold. Seems I’m still lacking a bit of luck; I’ll keep improving myself.
CNPY+49.23%
CP Airdrop: Earn Up to 1,950 CP f rom Referrals
2026-09-09 09:30:00 ~ 2026-09-19 09:30:00 (UTC+8)
https://www.gate.com/share/act/67c64ee6
$SOL $ONE $ZEC
SOL+3.03%
ONE+194.16%
ZEC+10.79%
  • 2
After $EDGEX surged to 0.6225, I took 70% off first instead. It’s not that I’m bearish; this level is right at the key prior-high resistance, so the risk-reward of chasing further has deteriorated. The move up from 0.6001 formed a breakout-retest-breakout structure, with each pullback holding at a higher key level and volume expanding on the breakouts.
The key levels are clear now: the prior high is the first key level. If price can retest it on declining volume after the breakout and hold above the upper boundary, that will be the new entry setup; if it simply spikes above and falls back, it
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EDGEX+4.52%
BTC+0.56%
ADA+3.46%
#BrentCrudeDrops3%
🛢️ BRENT CRUDE DROPS 3% — BUT THE REAL STORY IS WHAT HAPPENS NEXT
Brent crude just delivered a sharp reminder that geopolitical oil markets can change direction extremely quickly.
After climbing to around $109.21 per barrel on Tuesday, September 15, its strongest level since May, Brent settled near $105.45 on Wednesday, falling approximately 3.04% or $3.30.
WTI was even weaker, declining around 3.70% to approximately $101.91.
By early Thursday, Brent had slipped further toward $104.59, putting the benchmark roughly 4.2% below Tuesday’s peak.
At first glance, this looks lik
XBRUSD-1.40%
  • 3
$POWER SHORT SETUP | 1H
The current pullback offers a potential short continuation setup. Entry zone: 0.1313–0.13225 Stop-loss: 0.13709 Targets: TP1 0.11926 (2.36R) / TP2 0.11191 (3.74R) / TP3 0.10602 (4.85R) Partial take-profit: 30% / 30% / 40% Notes: Decision score is below the current activation threshold. Status: Watchlist only—wait for confirmation before considering this setup.
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POWER-3.80%
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