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gatefun
It's too hot, please turn on the air conditioning!
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Just took a long on $BEAT
sl: $0.98
tp: $1.26 (100%)
0.53% Hyro risk
3.R
My price action analysis indicates the main trend is bullish (and is) suggesting likely continuation for today with 10/10 confirmations.
-DTT
BEAT9.48%
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#StockTradingChallengeUpTo17000U 1️⃣ Trading Challenge Introduction
The world of crypto and stock trading creates new opportunities every day, and now traders have another great chance — Stock Trading Challenge Up To 17000U. This challenge is designed for traders who want to test their trading skills and also achieve massive rewards.
The main goal of this challenge is to motivate traders to improve their performance by practicing disciplined trading, risk management, and smart strategies. It is a learning opportunity for new traders, while experienced traders have the chance to earn profits an
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MasterChuTheOldDemonMasterChu:
DYOR 🤓 🤓
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Half my timeline are doomers posting about the worst financial crisis in 20 years and the other half is trying to convince me there’s no AI bubble.
I don’t know what to believe anymore.
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Bought SK Hynix only at 1300, researched a bit late
At that time, it seemed to have a PE of about 5 times, and combined with the demand for inference, it would lead to long-term growth in HBM, meaning unless people stop using AI, the storage demand will continue for several years and will only grow larger
Considering SK Hynix is about to list on the US stock market, attracting more new buyers
At that time, if the market viewed it as a growth stock rather than a cyclical stock, a PE of 20-30 times would imply several times the upside.
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2026.5.27
#BTC Analysis
Short-term minor resistance 76,380, strong resistance 77,038
Short-term minor support 75,630, strong support 75,330
BTC-1.18%
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Fuck, man, this ASTEROID chart looks off! The 0.0002 level has been holding stubbornly for three days, but the trading volume has quietly shrunk, smart money has already pulled out. What is the main force playing at? The dog whales are really good at shaking out, the sky is falling, everyone! Damn it, don’t be fooled by technicals, the indicators have already sent out a signal to exit.
Don’t hesitate, follow my quantitative logic, run before the dump. Above 0.0002 is the ceiling, don’t expect a breakout, this level will only get you chopped up. Go deal with the dog whales, click the card below
ASTEROID-20.82%
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🕵️ Bitmine has staked 5,760 ethereum:native, worth $11.9M. Now they have 4,718,677 ethereum:native ($9.76B) in staking. #crypto
ETH-0.91%
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BTC & ETH Chart Overview With Market Momentum
gate liveLIVE
1,225
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I even shook my hand a little.
Around 0.0267, the resistance above $MON is very obvious, the rebound has no volume, and capital outflow is also visible. I didn't hesitate and reminded to enter short positions based on the short-selling idea.
Now the price has reached 0.02462, and the profit and loss percentage from this short position has already reached +375.16%, which is an exaggerated feedback.
My approach is to first take back 75%, and the remaining 25% will continue to watch for a second move; for those still holding positions, set clear protective stop-losses, don't hold on stubbornly d
MON-3.75%
BTC-1.18%
ETH-0.91%
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$DRAM Signal】Break above the upper Bollinger Band, 1H momentum continues
$DRAM The 4H upper Bollinger Band at 61.78 has been broken, 1H RSI at 81.11 in overbought zone continues to rise. MACD 4H histogram at 0.5475 expanding, bullish momentum shows no signs of weakening. Market depth buy orders account for 1.13%, indicating a clear intention of capital support.
🎯Direction: long
⚡Entry/Order: 62.6914 - 62.8800
🛑Stop loss: 62.2512
🚀Target 1: 63.8232
🚀Target 2: 64.2948
🛡️Trade management:
- Execution strategy: Reduce 50% of position after reaching Target 1, and move stop loss to break-even.
DRAM13.34%
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Monthly rsi hit the bottom at the same zone for 4 different cycles
Will it happen this cycle too?
#bitcoin
BTC-1.18%
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Goldman Sachs lifts year-end 2026 S&P 500 target to 8,000 from 7,600. If multiple banks follow, broader equity risk appetite could shift capex and liquidity dynamics for crypto equities and related ETFs $BTC?
GS0.15%
BTC-1.18%
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Crypto Market Pulse and Bitcoin Trend Watch Today
gate liveLIVE
1,137
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$SPCX The current price has doubled compared to the purchase price, how is the profit only 18 points? (Never sold before)
SPCX-1.99%
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In the past, Zhuge Liang cast divinations; now, Song Jingan reads the stones, predicting events as if with divine insight!!
Jingan's wave segment at 2200 points is firmly grasped!! The position is openly given, and I ask you, are you precise or not?!
Overnight, Kong Danqian lightly took 1600 points!!
This wave, all of Jingan's stones and rocks, big and small, in Snowfield, all enjoyed a good time! $ETH $GT $BTC #Gate预测市场升级聪明钱追踪
ETH-0.91%
GT-0.7%
BTC-1.18%
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I used to think fixed-rate lending removed uncertainty.
Now I think it just hides the panic until maturity week.
That’s the part @TermMaxFi made me notice.
Most people don’t blow up because they picked the wrong asset. They blow up because they keep pushing decisions forward. Refinance later. Roll later. Repay later. Then one day you wake up and realize “later” is suddenly three days away.
And that changes how fixed-rate markets feel.
At first, fixed yield feels calm. Predictable. Almost boring. But once enough positions start sharing the same maturity window, the whole thing quietly turns int
MORPHO3.79%
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Yesterday ZEC was short at 630-572, losing 58 points in anger.
It steadily declined all the way down to a low of 561, and although it didn't catch the fish tail, the entire team stood up with full momentum. #股票交易挑战最高赢17000U
ZEC-9.45%
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$PAXG Gold no longer has investment value, the peak has been reached, all cleared out, gold and silver have already peaked, cleared out, bye-bye
PAXG-0.67%
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$RACE : First EV backlash
Sentiment: Negative
'''Ferrari unveiled its first fully electric “Luce,” but multiple reports noted shares fell sharply (about 7%) as investors debate whether ultra-luxury EV demand can match the brand’s combustion-era pricing power. The split reaction suggests the key near-term risk is execution/positioning (product-market fit) rather than lack of ambition, with volatility likely as analysts re-rate the story.'''
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