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$ARK Signal】1H volume-backed breakout, negative funding rate short squeeze continues
$ARK 1H RSI 84.45, 4H RSI 81.37, with price in overbought territory continuing to hover above the upper Bollinger Band. 4H MACD bullish momentum is expanding, and the 1H histogram continues to lengthen. Funding rate -0.9251%, with shorts continuing to pay. Order book buy/sell ratio 1.07, depth imbalance 3.42%, with active bids below. 4H volume 91M, 1H volume 36M, showing aggressive bullish buying. OI is stable, and leverage is not overheated. The risk-reward ratio at this level is 1.5, the entry range is na
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ARK+28.24%
[New Streamer] Market Prediction
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LIVE835
After the short position paid off, I closed most of my $FLORK position, with floating profit of +1335.64%. This wasn’t chasing a short; the price had repeatedly faced pressure at the highs, and I only confirmed a bearish bias after the false breakout and pullback. After entering, the rebound lacked volume and the key level was not reclaimed, so I held according to plan.

I took profit on 80% first and will trail the remaining 20% with a protective level. As long as the previous low, once broken, is not quickly reclaimed, the bearish trend can continue; if the key level is reclaimed, I’ll clo
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FLORK+8.21%
SNDK-0.50%
BTC-0.05%
#AugustCoreCPIBeatsExpectations Core CPI has come in stronger than expectations, adding another important signal for markets to digest.
A hotter-than-expected inflation reading can influence expectations around monetary policy, interest rates, bond yields, and liquidity. For traders, this means the reaction across crypto and equities could become especially important as markets reassess the path ahead.
Bitcoin and other risk assets may face short-term volatility as traders evaluate whether inflation is proving more persistent than anticipated. At the same time, stronger economic data can creat
BTC-0.02%
Stock Tokenization: The Next Market Upgrade?
Imagine buying a piece of a major company without being limited by traditional market hours.
Tokenized stocks could bring:
🔹 24/7 access
🔹 Fractional ownership
🔹 Faster settlement
🔹 Global accessibility
🔹 On-chain transparency
🔹 Programmable financial assets
The biggest opportunity isn’t turning stocks into crypto.
It’s bringing traditional finance onto programmable infrastructure.
Stocks are familiar.
The rails are changing.
#StockTokenization #RWA #Tokenization #Blockchain #ShareWeekly
$AAPL$BTC
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AAPL+1.71%
BTC-0.02%
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Don’t just watch others win! Still haven’t claimed your guaranteed-win reward? 🎁
Only 1️⃣ day left in the countdown to the 22nd Growth Points Lottery! Take home 5,000 USDT, Gate football jerseys, and more!
Draw now 👉 https://www.gate.com/activities/pointprize?now_period=22
Three steps to secure great prizes:
✅ Complete daily social tasks in Square, Livestreams, and Hot Chats
✅ Tap 【+】-【Activity Center】-【Community Lottery】 on the post creation page
✅ Leave the rest to luck—new and existing users alike are guaranteed to win!
📢 Comment section roll call: Share a screenshot of your win! Let’s
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GateSquare
Don’t just watch others win! Still haven’t claimed your guaranteed-win reward? 🎁
Only 1️⃣ day left in the countdown to the 22nd Growth Points Lottery! Take home 5,000 USDT, Gate football jerseys, and more!
Draw now 👉 https://www.gate.com/activities/pointprize?now_period=22
Three steps to secure great prizes:
✅ Complete daily social tasks in Square, Livestreams, and Hot Chats
✅ Tap 【+】-【Activity Center】-【Community Lottery】 on the post creation page
✅ Leave the rest to luck—new and existing users alike are guaranteed to win!
📢 Comment section roll call: Share a screenshot of your win! Let’s see who has the best luck!
#BTC #ETH #AAPL
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BTC-0.02%
ETH+0.26%
AAPL+1.71%
1.36$ and 1.65$ next on #Lsk $Lsk
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LSK+446.44%
Nobody is talking about the $AKE /USDT setup hiding in plain sight right now.

$AKE /USDT - LONG

Trade Plan:
Entry: 0.016102 – 0.016376
SL: 0.014924
TP1: 0.017225
TP2: 0.017883
TP3: 0.018869

Why this setup?
Why now? The daily trend is firmly bullish, and the 1h price is hugging the entry zone of 0.016239, setting up a clean long. The 15m RSI at 48.75 shows room to run before overbought territory, while the 1h ATR of 0.000548 confirms enough momentum to push toward the first target at 0.017225. If that breaks, the second target sits at 0.017883, but the entire trade gets invalidated the mo
AKE+16.02%
#AIStockGuruReportedlyBullishOnAI
The rumors swirling around a "rebuilt bullish position" follow the major market disruption from late July 2026, when Situational Awareness—the heavily leveraged AI hedge fund founded by former OpenAI researcher Leopold Aschenbrenner—suffered a severe drawdown (~67%) and was forced to completely unwind its public equity holdings in a block trade to Citadel.
While market chatter surrounding these specific tickers (SNDK, BE, INTC, CRWV, SKHY, AMD) reflects renewed positioning in the AI and memory supply chain, calling it a "real comeback" requires weighing key
SNDK-3.49%
BE+6.60%
INTC+2.63%
CRWV-0.20%
SKHY+1.00%
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Nobody is talking about the short setup forming on $HOME /USDT right now.

$HOME /USDT - SHORT

Trade Plan:
Entry: 0.00542 – 0.00544
SL: 0.00553
TP1: 0.00536
TP2: 0.00531
TP3: 0.00523

Why this setup?
Why now? The daily trend is bearish, the 1h ATR of 0.000041 shows expanding volatility, the 15m RSI at 44.23 signals weakening momentum without being oversold, and the 1h price at 0.00543 aligns perfectly with the entry zone. These four signals converge to define a high-probability short with TP1 at 0.00536 and TP2 at 0.00531 as the first two targets. The invalidation level of 0.00581 is the h
HOME-1.44%
#美股行情
📈 US Major Indexes Stage a Powerful Rebound — But the Next Move Depends on Oil, Yields and the Fed
The US stock market showed impressive resilience into the latest trading session, with all three major indexes recovering strongly after four consecutive sessions of pressure. On Friday, September 11, the Dow Jones Industrial Average jumped 0.98% to 52,573.29, the S&P 500 advanced 0.86% to 7,656.98, and the Nasdaq Composite gained 0.96% to 26,333.04. The rebound was broad enough to show that buyers remain active, although the weekly picture was still negative: the Dow lost about 1.6%, the
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These returns leave me both awed and anxious, worried that the market will catch on tomorrow and blacklist me. 😅
During the intraday plunge, others were scrambling to find key levels, while I was secretly grinning at my short position. I entered the short at 0.1345, and the logic was simple: every push upward fell just short, volume failed to follow, and no matter how beautiful the rebound looked, it was only fueling the bears.
The price has now slid to 0.0873, with floating profit reaching +690.97%. Those already on board can wake up laughing. But don't get too greedy trying to catch the ver
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BTC-0.05%
ETH+0.28%
$LSK Just look at the open interest data and you'll know: altcoins are all pumped and dumped. No exceptions.
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LSK+446.44%
It has to be Pinduoduo…
The brand-new iPhone 18 Pro 256G is priced at 9,999 on the official website,
but costs 9,699 on Pinduoduo😂
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#交易机器人 I’m using the BTCUSDT futures grid bot on Gate—come copy-trade with me!
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The hand that set the stop-loss a few days ago trembled slightly; this morning, I realized that was an unnecessary act of filial devotion😂

During repeated intraday fluctuations, $ACE kept probing upward, seemingly ready to break out, but in reality, the rebound volume grew weaker with each wave. I placed a short order near 0.1847 a few days ago, with the stop-loss set above to lock in the risk; the rest was up to the market.

When I opened the chart this morning, the price had already reached 0.1574, and this short position was up +362.45%. This isn't hindsight boasting—the pressure at the
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ACE-4.22%
ETH+0.28%
ZEC+0.51%
$AKT strong AI GPU
buy and hold or put it in the Smart Rebalance bot until the market kicks off again.
nb: no more than 5% of your portfolio per coin.
remember patience pays off.
AKT+2.93%
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Nobody is talking about this WLD setup yet

$WLD /USDT - SHORT

Trade Plan:
Entry: 0.3951 – 0.3971
SL: 0.4055
TP1: 0.3891
TP2: 0.3844
TP3: 0.3773

Why this setup?
Why now? The 1h price is sitting at 0.3962, right inside the entry zone between 0.3951 and 0.3971, which means we are already in position for the SHORT bias. The 15m RSI at 32.4 shows the market is approaching oversold territory on the short side, hinting at continued downward pressure. The daily trend being a range tells us WLD lacks a clear directional trend, but the 1h ATR of 0.003914 confirms there is enough volatility to push
WLD-1.27%
Marketing Sol Update
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#每周来晒 #8月CPI数据出炉
The latest consumer price release marks a critical threshold for monetary policy direction. While headline figure shows stability on a yearly horizon, upward momentum on a monthly horizon signals persistence of price rigidity. This picture requires review within an academic lens.
Assessment of Monetary Policy Outlook
For a central bank, core priority remains to strike a balance between price stability and growth. Current release reveals that disinflation process does not follow a linear path. Stickiness in service items and lasting effect led by shelter cost supports a cautio
discovery
#每周来晒 #8月CPI数据出炉
The latest consumer price release marks a critical threshold for monetary policy direction. While headline figure shows stability on a yearly horizon, upward momentum on a monthly horizon signals persistence of price rigidity. This picture requires review within an academic lens.
Assessment of Monetary Policy Outlook
For a central bank, core priority remains to strike a balance between price stability and growth. Current release reveals that disinflation process does not follow a linear path. Stickiness in service items and lasting effect led by shelter cost supports a cautious stance.
Market had priced a more aggressive easing cycle prior to this release. However, new picture implies that a hasty approach to rate cuts could carry risk. From an expectation management view, hawkish tone in policy communication is likely to stay for a while. This implies that policy rate could remain in restrictive zone for an extended period. In other words, data-dependent and meeting-by-meeting decision approach is gaining strength. For market actors, main query is not whether cuts will begin, but how slow and measured pace of cuts will be.
Short Horizon Effect on Asset Classes
Such an inflation outlook creates two-sided pressure on risky assets. Initial effect runs via real yield expectation. Persistence of long horizon bond yield creates pressure on growth assets whose valuation relies on future earnings.
On equity side, cautious trend comes to front, especially for sectors where margin is sensitive to price pressure. By contrast, firms with strong pricing power and robust balance sheet structure stay relatively resilient in this backdrop.
For digital asset universe, picture is somewhat different. Tight policy rhetoric may limit appetite for liquidity in near term, yet a release in line with consensus removes uncertainty, thus curbing sharp sell-offs. This brings a phase of search for direction. High volatility creates risk for leveraged positions, while for spot focused and patient accumulation approach it implies search for new equilibrium.
Areas of Opportunity in Current Conjuncture
In current backdrop, thematic approach appears more sound than focus on a single asset class.
First theme is defensive value. In an inflation era, structures with strong cash flow and long history of dividend payout can play a balancing role for portfolio.
Second theme is core layer of block chain infra. Even under macro pressure, projects that create real use, generate fee income, and sustain ecosystem development diverge positively. In particular, layers that offer scalability, data availability, and decentralized finance infra deserve close watch from a long horizon perspective.
Third theme is tokenized real world assets and commodity linked digital assets. Renewed focus on inflation offers a theoretical support argument for this field. Structures with physical backing are often highlighted in academic literature as a tool for portfolio diversification.
Final theme is volatility based tactics. Periods where swing is high provide ground for disciplined risk control tactics such as option writing or staged buying and selling. Key element here is capital preservation and position size control.
Closing Remarks
In sum, recent consumer price data does not imply an end of disinflation story, but rather shows that it follows a slow and wavy path. This is a phase that narrows room for central bank and raises need for selectivity for market. Instead of aggressive and directionless positions, a data-led, careful and thematic approach stands as most logical posture in this cycle. Success depends on staying away from noise and focusing on areas with structural value.
#ShareWeekly #btc #eth
$BTC $ETH $SOL $龙虾 $MARSCOIN
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BTC-0.02%
ETH+0.26%
SOL-0.06%
龙虾+28.86%
MARSCOIN+2.39%
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