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BREAKING: Airbnb CEO Brian Chesky supports RWA tokenization.
The founder says it could make owning buildings, bonds and funds as easy as sending a message.
“The internet made information liquid. This makes ownership liquid.”
ABNB-0.33%
RWA-1.02%
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JUST IN: U.S. government wallets moved ~288 BTC and 30,007 ETH to Coinbase Prime from seized addresses, including Farace and BTC-e-linked assets. If policy around seized crypto tightens, on‑ramp dynamics for exchanges could shift. $BTC $ETH
BTC-0.67%
ETH-0.05%
COIN-1.04%
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Silver $XAG /USDT 4-hour timeframe short signal—are you brave enough to trade it?
XAG_USDT - SHORT sell
Trading plan:
Entry: 57.84 – 58.02
SL: 58.80
TP1: 57.28
TP2: 56.84
TP3: 56.19
Why focus on this setup?
- 4-hour direction: SHORT, confidence 55.4%; the daily trend is ranging, and the timing is ripe
- Entry reference 57.93, TP1 57.28, TP2 56.84, TP3 56.19, stop loss 58.80
- RSI (15 minutes) 49.97: neutral to slightly weak; short-side momentum is gathering
- Why now? Short signals are emerging within the range, so the probability of a short-term pullback is high
Discussion:
XAG-1.41%
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$AXTI The long positions are still pushing upward; it’s pretty comfortable seeing green. I’ll take profit on this round at $186 first—no greed. As long as the trend hasn’t broken, it may still continue, but don’t go in too heavily; once you reach the level where you should take profit, take profit. $BTC $ETH Also keep an eye on it—watch the risk.
AXTI-5.03%
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BTC PREDICTION
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Bitcoin's Calm May Not Last: Iran Tensions, Rising Oil & CPI Put Crypto at a Crossroads
Bitcoin is trading near $62,600, down just 0.3% over the past 24 hours, but the real story is unfolding in the macro environment. Renewed tensions involving Iran and the upcoming U.S. CPI report are creating fresh uncertainty for crypto markets.
President Donald Trump reinstated the U.S. blockade of Iranian ships through the Strait of Hormuz and proposed a 20% fee on other cargo passing through the waterway. The announcement pushed Brent crude up as much as 2.8% to around $85 per barrel, reviving inflation
BTC-0.67%
ETH-0.05%
SOL-1.54%
XRP-0.95%
HYPE-2.89%
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ETH bears 95% win rate—are you willing to go with it?

$ETH /USDT - Short SHORT

Trading plan:
Entry: 1778.58 – 1784.58
SL: 1810.37
TP1: 1759.99
TP2: 1745.60
TP3: 1724.00

Why focus on this structure?
- 4-hour bearish signal; the 1-day trend is clearly skewed bearish.
- RSI on the 15m is only 49.49; rebound momentum is weak, and 1781.58 is an ideal entry zone.
- ATR on the 1h is about $12, with controlled volatility; TP1 1759.99 and TP2 1745.60 have clear downside room.
- Why now? A break above 1783.88 invalidates the setup—risk is limited, and the reward-to-risk looks tempting.

Discussio
ETH-0.05%
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This $EPIC short position once again verified our ability to control the four-hour timeframe rhythm.
Entry price: 0.4503; take-profit: 0.3892; 322% return; 25x leverage—cleanly banked.
On the 4-hour chart, after the price bounced back to meet resistance from the descending trendline, it lingered and then printed a high-level dead cross signal; meanwhile, volume contracted in sync—this is a typical bearish resonance.
After the dead cross was confirmed, we entered decisively and held all the way to the target level.
Brothers who haven’t boarded yet, don’t feel discouraged. This kind of structur
EPIC1.92%
GT-0.75%
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Messi’s final dance—Argentina could successfully defend their World Cup title
Although Argentina’s journey hasn’t been easy, someone always steps up at crucial moments. Messi is still the team’s offensive core, with players such as Lautaro and the little Spider continuing to provide firepower support, and the squad’s overall resilience is extremely strong.
Facing England, both sides are expected to adopt a cautious defense-and-counter strategy. The match is forecast to be very tight; Messi may help the team take the lead through set pieces or assists, and Argentina ultimately qualify for the f
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$CRV Signal】Bulls take the initiative with an active push, breaking above the Bollinger Band upper rail strongly on the 1H chart
$CRV 1H MACD histogram bars expand continuously for three straight candles. On the 4H chart, the Bollinger Band opens upward, widening. RSI is 64.28—neither overbought nor showing weakness. Funding rate is -0.0008%; with a negative funding rate, the price stays firm and the shorts are passive. Order book depth is 12.89%, leaning toward buyers; aggressive buy orders keep stacking.
🎯 Direction: long
⚡ Entry/limit orders: 0.221533 - 0.222200
🛑 Stop loss: 0.219978
CRV8.12%
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📊 TEH PREMIUM — Past 7 Days Performance. Another batch of high-probability setups delivered.
Results:
✅ 13 winning trades
❌ 2 losing trades
Trade Breakdown:
$ETH — 1st & 2nd targets hit
$MSTR — All targets hit
$SOL — All targets hit
$SNDK — Stopped out
$INTC — 1st & 2nd targets hit
✅ $MU — All targets hit
✅ $ZEC — 1st target hit
✅ $MU (New Setup) — All targets hit
✅ $SNDK (New Setup) — All targets hit
✅ $INTC (New Setup) — All targets hit
✅ $BEAT — All targets hit
✅ $SOL (New Setup) — All targets hit
⚠️ $BTC Short — Stop loss triggered first, then price went on to hit every target.
ETH-0.05%
MSTR-2.62%
SOL-1.54%
SNDK-12.66%
INTC-6.17%
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Most people don’t have an income problem
They have a money management problem
Making more helps
Keeping more changes your life
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hold the red box and $cashcat goes to 800m
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$63的HYPE,你要接盘吗?
先看表面:ATH跌了18%,散户慌得一批。
过去7天跌了8-10%,市值16 billion排名第9,24小时成交340 million。K线告诉你:大级别上升通道完好,周线月线还是多头,短期均线走平但未破位,MACD动能减弱但未转空
第一件事:它可能是全网“最会赚钱”的项目。
Hyperliquid是目前最强的去中心化永续合约交易所,加上自己的L1公链。过去一个月,它的协议收入接近$1 million
而且这笔钱不是给团队发奖金的——协议收入用来回购HYPE。过去90天,已经回购了$135 million。项目方是市场上最大的“买家”,每个月几千万真金白银往里买。
第二件事:基本面不是“故事”,是实打实的现金流。
HYPE它的数据是实打实的:
持仓量(OI)创纪录$11 billion——市场上有史以来最高的衍生品持仓
周活用户超200 thousand
TVL高位运行——资金没跑
Bitwise等机构多次喊“严重低估”
也就是说,价格从76跌到63,但链上数据告诉你:没人离开,反而更多人进来了。
第三件事:技术面出现了一个所有人都在盯的信号。
$63这个位置,正好是前面大涨时的密集成交区,也是3D级别三角收敛的下沿。如果守住,目标直接指向$100。如果失守,下面还有$55-$58、$50-$53两个支撑区。
多空对决,你自己看
一边是:
月收入近
BTC-0.67%
ETH-0.05%
HYPE-2.89%
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This one smashes down and the market stops pretending! 📉🔥 This morning I opened the chart to look at $UB — the high-level “hard撑” look from a few days ago is already gone. Once the shorts step on the gas, the rhythm becomes totally clear.
A few days ago, before bed, I was watching UB. What I saw wasn’t strong continuation, but obvious suppression overhead, rebounds that lacked momentum, and the volume still wasn’t keeping up 👀 Every time it tried to surge, it was missing that one breath. Back then, I said don’t chase longs— the opportunities to go long would be cleaner instead.
From 0.17885
UB7.58%
BTC-0.64%
ETH-0.05%
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SK Hynix pops 3% after a volatile session; the stock briefly slid over 8% earlier while the KOSPI tops intraday gains. $KOSPI-linked hardware names still showing sensitivity to risk-on moves.
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US stocks completely flipped overnight! After jumping for three straight days, the whole market suddenly plunged—now you absolutely need to understand the situation clearly
To be honest, last night’s US stocks left a lot of people completely stunned.
The first three days saw continuous rebounds, and the market mood was especially warm—everyone felt like things had steadied, and they could finally relax and “eat the meat.” Then overnight it completely turned on you: all indexes were in the red, tech was in free fall, and everyone piled into safe havens—classic short-term sentiment quickly drain
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Stop-LossLineForTheEveningGlow:
Chip logic loosening + liquidity tightening + geopolitical risk—three hits in a row—tech/tech-sector trades just aren’t playable; for now, just survive first.
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This price action is a bit outrageous! A few days ago, in the dead of night, it was still stubbornly propping itself up—then after holding on and on, it got exposed 📢📉. What I was watching was that the rebound didn’t have much strength left: clear overhead resistance, and the rally didn’t have sustained buy pressure. $TSLAX Chasing hard from a spot like this is very likely to trap you in the “you get caught in the cycle” rhythm 👀
So I put the short in around 444.42—no guessing, not based on impulse. It was because once it went up, nobody was stepping in to take it, and the “bullish trap” f
TSLAX-1.72%
BTC-0.64%
ETH-0.05%
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$BTC This is exactly how bottoming structures tend to form.
In previous bear markets, price repeatedly swept the highs while leaving the lows untouched. That made it difficult to enter shorts and convinced participants that longs were the safer trade, which is exactly why I was short.
This time, price is repeatedly sweeping the lows, creating fear around entering longs and pushing participants to target lower prices. That doesn't necessarily mean the bottom is in, and further sweeps are still possible.
It's also why I'm long and targeting higher. I remain long. Keep shorting.
BTC-0.67%
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MevStreetPhotographer:
Repeatedly sweeping low points is definitely grinding, but that’s exactly a bottom characteristic.
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