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#XRP XRP Market Analysis at $1.36: Is the Next Move a Recovery or Another Breakdown?
XRP is currently trading around $1.36, and this is an important technical area because the market is sitting close to a major decision zone. After recent volatility, XRP needs to prove that buyers are willing to defend the $1.30–$1.35 region and push the price back above the first resistance levels. My view is that XRP still has recovery potential, but the next move should be treated as a confirmation game rather than assuming that a rally is guaranteed.
Current Price and Market Structure
At $1.3
solana:3ArcxqLtXMmBnWbbtfwQgVL3MNnDsggzgGDtXMnjpump adding some here for bounce
Scalp only no hodl since this was like $70k a few days ago it’s just exit
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SOL+0.34%
GRIFFAIN is an AI Agent token on Solana. Lobster targets the Chinese-language “raising lobsters”; it targets AI Agents in the English-speaking space. There is no new funding-level news; it is an AI token being swept up alongside FLOCK.
$GRIFFAIN
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GRIFFAIN+42.10%
This short position’s profit mainly came from the pullback after resistance at higher levels. $BTC failed to move higher after rebounding to around 77609.7 and then reclaimed the level after a false breakout, so I chose to enter. After it rose to 77151.4, the return reached +102.6%; I took profit on 80% first and continued holding the remaining 20% with a protective stop.

There was some shakeout during the holding period, but the key previous low was not broken, so the bearish structure remains intact. As long as the key level above is not reclaimed with heavy volume, I remain temporarily be
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BTC-0.09%
SOL+0.30%
BNB+0.80%
#ShareWeekly
#NVDA is finally showing some buyers again, but I would not call this a reversal yet. After falling from the $233–$235 area toward $218, the stock is now trying to stabilize around $220. The interesting part is not the small green move itself — it is whether buyers can turn this rebound into a recovery of the levels that were lost this week.
The short-term structure weakened after NVDA failed to hold the $233–$235 region. September 8 produced a high around $233.71, followed by selling on September 9 and 10. The latest session has so far held above $219, which gives buyers a small
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NVDA-0.09%
SNDK-3.49%
Crypto market signals capture
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LIVE2,165
$PI , keep it up. Wait another 10 years.
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PI+0.73%
2 hour hoop session 🏀
Already ready for the new week
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#GateMeme
I entered at 0.08487 with 10x leverage, using only $5 margin, and the position is still active. The trade already moved into profit after entry, but I’m not treating a small green move as the end of the setup.
My target is 100% ROI on the position. With 10x leverage, that means I’m looking for roughly a 10% move in DOGE from my entry, which puts my approximate price objective around 0.09336. That is my trading target, not a claim that DOGE must reach it.
What I like about the setup is that DOGE is still holding close to the 0.084–0.085 area, while the latest 24-hour range has been r
DOGE+0.37%
$LSK Signal】Negative funding rate short squeeze + 4H above the upper Bollinger Band, longs continue their advance
$LSK 4H RSI 82.16, 1H RSI 72.12, current price 0.24135 is holding firmly above the 4H upper Bollinger Band at 0.2372. Funding rate -0.6343%, shorts continue paying to hold positions, while OI remains steady and selling pressure is being quickly absorbed. The 4H MACD histogram is expanding at 0.0133, while the 1H histogram is contracting at 0.0039, indicating high-level turnover. The order book buy/sell depth ratio is 1.05, with active bids below.
🎯 Direction: Long
⚡ Entry/Limit
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LSK+103.42%
🟡 XAUUSD — KEY ZONE TO WATCH
Gold closed around $4,344, recovering above the $4,300 area. Now the battle is between buyers defending support and sellers near resistance. 📈
🔑 Key levels:
🟢 Support: $4,290–$4,315
🔴 Resistance: $4,400–$4,435
🚀 Breakout: Above $4,450
🎯 Outlook:
Holding $4,300 keeps the bullish recovery alive. A breakout above $4,435 could open the way higher, while losing $4,290 may bring renewed selling.
💡 Strategy: Wait for confirmation, avoid FOMO, and manage risk.
Bullish breakout or rejection? 👀
#XAUUSD #Gold #MarketAnalysis #GateSquare #AlphaAsh
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I didn’t catch this drop at a key level, but the short thesis played out. $GPS The setup beforehand favored shorting the rebound; the previous high faced repeated resistance, and volume weakened each time, so I went short rather than long.

After entering, it didn’t drop immediately and first went sideways for a round of consolidation. I didn’t rush to add either. Holding until now, I’m handling the +276.16% unrealized profit with an 80/20 split: taking most of the position off the table and trailing the protective level with the smaller position. In this trade, I’m focusing more on structure
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GPS-11.67%
BTC-0.09%
XRP+0.40%
crypto market update
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LIVE725
I’m seriously begging you.
I hang out with you Gen Z kids, I pay, my treat.
It’s because I want to know what you Gen Z kids are actually into 🤡
The songs you sing aren’t even ones my mom would play—what are you guys doing 🙂
Gate Aggregated Trading Era
2026-09-01 13:30:00 ~ 2026-09-14 13:30:00 (UTC+8)
https://www.gate.com/share/act/1583ad0c
ERA+2.22%
For this $AVAX long position, I took profit on 70% around 7.406. It’s not that I’m no longer bullish, but profit-taking is starting to emerge near the previous high, while trading volume has not continued to expand, so holding the full position is less attractive.

When I entered, I was looking for a pullback after the breakout to confirm it. The key level around 7.236 held repeatedly, and volume contracted on the pullback, so I felt comfortable going long with the structure. With a floating profit of +166.81% so far, I’m realizing most of the profits first, while the remaining 30% will see
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AVAX-1.31%
BNB+0.80%
BTC-0.09%
I haven't seen a chart graduated and go higher so organically and with such a clean structure
What a beauty to watch
I have no idea what happens in the next few hours but this is beauty
solana:HcRLc9VDgjLeK154xDawfb1dmVJ98DoSqcwTHGqiDeJR <-> solana:3nqHijNUExsnjNBb15WJsJ2xisyMVGN6FK4aUgZk1Rwj
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SOL+0.34%
$ETH Signal】Long + 1H pullback to the Bollinger middle band, 4H EMA support
$ETH 1H near the Bollinger middle band at 2524.33, with 4H EMA20 at 2501.28 providing support.
🎯Direction: Long
⚡Entry/Pending order: 2516.5975 - 2524.1700
🛑Stop-loss: 2498.9283
🚀Target 1: 2562.0325
🚀Target 2: 2580.9638
🛡️Trade management:
- Execution strategy: After reaching Target 1, reduce the position by 50% and move the stop-loss up to breakeven. If the price falls back to the entry level, exit automatically to protect the principal.
In-depth logic: Order book Bid/Ask 2.31, with active buying support below;
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ETH-0.86%
After a 23.3% pump, the funding rate is still negative: $REZ shorts are stubbornly holding on
Unbelievable—$REZ pumped 23.3% in one day, yet the funding rate is still stuck at -0.00145902—shorts are paying longs. I’m bullish: buy the dip at 0.00372, and hold if high volume breaks 0.00405.

The volume is real—volume ratio 31.31; trading volume rose from 834533 USDT on September 9 to 28853861 USDT on September 12. OI is up +14.42% from the September 10 snapshot. It is day 6 of the daily MACD golden cross, with multiple timeframes bullish.

But the broader market is not providing support—it
REZ+18.24%
#SenateReleasesNewCLARITYAct
CLARITY Act Vote Sept 15: Why Compliance Friction Matters More Than Passage Odds for Operational Viability
The Senate’s new CLARITY Act faces a procedural vote on Sept 15 requiring 60 votes (7 Democratic crossovers needed). But binary passage/failure framing ignores the structural cost of compliance implementation. The real edge lies in validating whether the bill’s specific provisions create sustainable operational clarity for institutions or if ambiguous language regarding stablecoin yield and ethics triggers prohibitive legal overhead that stifles innovation re
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