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BNB is crashing now in February 2026BNB is crashing now in February 2026, and traders are feeling the pressure. After a period of strength tied to Binance ecosystem growth and strong utility demand, price action has reversed sharply. Sellers are in control, volatility has jumped, and key support levels are being tested. In the short term, this pullback looks like a mix of profit-taking, broader crypto market weakness, and risk-off sentiment from macro pressure. When markets turn red, leveraged positions get liquidated and stop orders get hit, which can accelerate the drop before buyers step back in. Here’s how I see the price moving from here: Short-Term (days to a few weeks) Expect continued volatility and choppy trading ranges. If BNB loses key near-term support decisively, deeper retracements toward stronger historical levels could unfold. We may see price bounce between support and resistance as traders try to find direction. Oversold conditions could trigger short relief rallies, but they may not hold until the downtrend shows clear signs of exhaustion. Medium-Term (weeks to months) The Binance ecosystem still has real usage with BNB utility across fees, staking, and BNB Chain activity. If major support levels hold and on-chain metrics remain healthy, BNB could stabilize and form a base. Consolidation around those levels would suggest that selling pressure is easing and longer-term holders are stepping in. Long-Term (6–12+ months) Fundamentally, BNB is tied to one of the largest exchange ecosystems and a widely used smart contract platform. Those structural drivers haven’t disappeared. If BNB avoids breaking major long-term support with conviction and volume, the probability of recovery increases. Historically, significant corrections can clear weak hands before the next leg higher. Bottom Line: Yes, BNB is under pressure now and short-term pain may continue. But unless key structural supports break sharply with volume, the long-term trend could still favor recovery. Trade with discipline, manage risk, and watch how support levels behave before calling a bottom. Where do you see BNB finding its next support? #WhaleDeRiskETH #EthereumLayer2Rethink? #BNB_Market_Update $BNB {spot}(BNBUSDT) $BTC {spot}(BTCUSDT)

BNB is crashing now in February 2026

BNB is crashing now in February 2026, and traders are feeling the pressure. After a period of strength tied to Binance ecosystem growth and strong utility demand, price action has reversed sharply. Sellers are in control, volatility has jumped, and key support levels are being tested.
In the short term, this pullback looks like a mix of profit-taking, broader crypto market weakness, and risk-off sentiment from macro pressure. When markets turn red, leveraged positions get liquidated and stop orders get hit, which can accelerate the drop before buyers step back in.
Here’s how I see the price moving from here:
Short-Term (days to a few weeks)
Expect continued volatility and choppy trading ranges. If BNB loses key near-term support decisively, deeper retracements toward stronger historical levels could unfold. We may see price bounce between support and resistance as traders try to find direction. Oversold conditions could trigger short relief rallies, but they may not hold until the downtrend shows clear signs of exhaustion.
Medium-Term (weeks to months)
The Binance ecosystem still has real usage with BNB utility across fees, staking, and BNB Chain activity. If major support levels hold and on-chain metrics remain healthy, BNB could stabilize and form a base. Consolidation around those levels would suggest that selling pressure is easing and longer-term holders are stepping in.
Long-Term (6–12+ months)
Fundamentally, BNB is tied to one of the largest exchange ecosystems and a widely used smart contract platform. Those structural drivers haven’t disappeared. If BNB avoids breaking major long-term support with conviction and volume, the probability of recovery increases. Historically, significant corrections can clear weak hands before the next leg higher.
Bottom Line:
Yes, BNB is under pressure now and short-term pain may continue. But unless key structural supports break sharply with volume, the long-term trend could still favor recovery. Trade with discipline, manage risk, and watch how support levels behave before calling a bottom.

Where do you see BNB finding its next support?
#WhaleDeRiskETH #EthereumLayer2Rethink? #BNB_Market_Update
$BNB
$BTC
SOL (Solana) se prăbușește chiar acum în februarie 2026SOL (Solana) se prăbușește chiar acum în februarie 2026, iar starea pieței s-a schimbat rapid. După o perioadă de performanță puternică determinată de creșterea rețelei și activitatea crescută a ecosistemului Solana, acțiunea prețului s-a întors brusc negativ. Traderii își înregistrează profiturile, volatilitatea mai largă a cripto este în creștere, iar SOL simte impactul. Presiunea de vânzare pe termen scurt a suprasolicitat cumpărătorii. Odată ce nivelurile cheie de suport au fost sparte, ordinele de stop au fost activate, iar momentul s-a întors negativ, împingând prețul în jos. În acest tip de mediu, volatilitatea pe termen scurt crește și intervalele se extind. Nu este neobișnuit să vezi retrageri mai adânci înainte ca cumpărătorii să intervină cu convingere.

SOL (Solana) se prăbușește chiar acum în februarie 2026

SOL (Solana) se prăbușește chiar acum în februarie 2026, iar starea pieței s-a schimbat rapid. După o perioadă de performanță puternică determinată de creșterea rețelei și activitatea crescută a ecosistemului Solana, acțiunea prețului s-a întors brusc negativ. Traderii își înregistrează profiturile, volatilitatea mai largă a cripto este în creștere, iar SOL simte impactul.
Presiunea de vânzare pe termen scurt a suprasolicitat cumpărătorii. Odată ce nivelurile cheie de suport au fost sparte, ordinele de stop au fost activate, iar momentul s-a întors negativ, împingând prețul în jos. În acest tip de mediu, volatilitatea pe termen scurt crește și intervalele se extind. Nu este neobișnuit să vezi retrageri mai adânci înainte ca cumpărătorii să intervină cu convingere.
$ETH se prăbușește chiar acum în februarie 2026ETH se prăbușește chiar acum în februarie 2026, iar piața cripto simte presiunea. După un început puternic al anului și o activitate solidă în jurul DeFi și adoptarea layer-2, Ether s-a retras brusc. Vânzătorii au preluat controlul, iar comercianții reacționează la schimbarea sentimentului. Pe termen scurt, această scădere este determinată de încasarea profitului după maximele recente, condiții mai largi de risc în cripto și efecte secundare din slăbiciunea Bitcoin. Când piețele devin roșii, comercianții de moment ies rapid, iar opririle sunt activate pe calea descendentă, accelerând alunecarea.

$ETH se prăbușește chiar acum în februarie 2026

ETH se prăbușește chiar acum în februarie 2026, iar piața cripto simte presiunea. După un început puternic al anului și o activitate solidă în jurul DeFi și adoptarea layer-2, Ether s-a retras brusc. Vânzătorii au preluat controlul, iar comercianții reacționează la schimbarea sentimentului.
Pe termen scurt, această scădere este determinată de încasarea profitului după maximele recente, condiții mai largi de risc în cripto și efecte secundare din slăbiciunea Bitcoin. Când piețele devin roșii, comercianții de moment ies rapid, iar opririle sunt activate pe calea descendentă, accelerând alunecarea.
BTC se prăbușește chiar acum, iar graficele devin roșii. După o cursă puternică la începutul acestui an, Bitcoin a avut o retragere bruscă pe măsură ce traderii își iau profiturile, iar piețele mai largi arată slăbiciune. Frica pe termen scurt crește, volatilitatea explodează, iar lichiditatea se usucă. Vânzătorii sunt în control pentru moment. Deci, ce determină scăderea? Un amestec de realizare a profitului după maximele recente, presiune macro din activele de risc și puțină psihologie de piață. Când Bitcoin începe să curgă, adesea declanșează stop-loss-uri, iar traderii pe termen scurt ies rapid, făcând căderea mai abruptă decât catalizatorul inițial. Iată cum văd eu acțiunea potențială a prețului în față: Pe termen scurt (zile până la săptămâni) Așteptați volatilitate continuă și tranzacționare în intervale agitate. Dacă BTC sparge sub zonele cheie de suport într-un mod decisiv, am putea vedea retrageri mai adânci. Zonele de suport aproape de minimele anterioare vor fi critice de urmărit. Indicatorii de momentum sugerează condiții de vânzare excesivă, așa că raliuri scurte și salturi ale pisicii moarte sunt probabile. Pe termen mediu (săptămâni până la luni) Dacă Bitcoin menține suportul macro major și nu cedează sub niveluri critice la volume mai mari, am putea vedea consolidare și o reconstruire lentă a încrederii. Istoric, scăderile BTC au scos din joc mâinile mai slabe înainte de a relua continuarea tendinței. Acumularea la niveluri mai joase de către instituții și balene poate crea o bază mai puternică pentru următoarea mișcare. Pe termen lung (3–12 luni) Narațiunea mai largă în jurul Bitcoin nu s-a schimbat. Adoptarea, ciclurile de halving și fundamentele pe blockchain încă indică o forță structurală în timp. Dacă BTC navighează turbulențele actuale fără a ceda sub benzi istorice majore de suport, următorul pas ar putea fi din nou în sus. Deținătorii pe termen lung ar trebui să vadă scăderile ca puncte strategice de intrare, nu semnale de ieșire. În concluzie: Durerea pe termen scurt este reală, iar o corecție mai profundă este posibilă. Dar, decât să se rupă suportul structural cheie cu convingere, tendința pe termen lung a Bitcoin rămâne intactă. Rămâneți disciplinați și gestionați riscul. Unde credeți că $BTC găsește următorul său suport? #btc70k #WhenWillBTCRebound #WarshFedPolicyOutlook $BTC {spot}(BTCUSDT) $SOL {spot}(SOLUSDT)
BTC se prăbușește chiar acum, iar graficele devin roșii. După o cursă puternică la începutul acestui an, Bitcoin a avut o retragere bruscă pe măsură ce traderii își iau profiturile, iar piețele mai largi arată slăbiciune. Frica pe termen scurt crește, volatilitatea explodează, iar lichiditatea se usucă. Vânzătorii sunt în control pentru moment.

Deci, ce determină scăderea? Un amestec de realizare a profitului după maximele recente, presiune macro din activele de risc și puțină psihologie de piață. Când Bitcoin începe să curgă, adesea declanșează stop-loss-uri, iar traderii pe termen scurt ies rapid, făcând căderea mai abruptă decât catalizatorul inițial.

Iată cum văd eu acțiunea potențială a prețului în față:

Pe termen scurt (zile până la săptămâni)
Așteptați volatilitate continuă și tranzacționare în intervale agitate. Dacă BTC sparge sub zonele cheie de suport într-un mod decisiv, am putea vedea retrageri mai adânci. Zonele de suport aproape de minimele anterioare vor fi critice de urmărit. Indicatorii de momentum sugerează condiții de vânzare excesivă, așa că raliuri scurte și salturi ale pisicii moarte sunt probabile.

Pe termen mediu (săptămâni până la luni)
Dacă Bitcoin menține suportul macro major și nu cedează sub niveluri critice la volume mai mari, am putea vedea consolidare și o reconstruire lentă a încrederii. Istoric, scăderile BTC au scos din joc mâinile mai slabe înainte de a relua continuarea tendinței. Acumularea la niveluri mai joase de către instituții și balene poate crea o bază mai puternică pentru următoarea mișcare.

Pe termen lung (3–12 luni)
Narațiunea mai largă în jurul Bitcoin nu s-a schimbat. Adoptarea, ciclurile de halving și fundamentele pe blockchain încă indică o forță structurală în timp. Dacă BTC navighează turbulențele actuale fără a ceda sub benzi istorice majore de suport, următorul pas ar putea fi din nou în sus. Deținătorii pe termen lung ar trebui să vadă scăderile ca puncte strategice de intrare, nu semnale de ieșire.

În concluzie: Durerea pe termen scurt este reală, iar o corecție mai profundă este posibilă. Dar, decât să se rupă suportul structural cheie cu convingere, tendința pe termen lung a Bitcoin rămâne intactă. Rămâneți disciplinați și gestionați riscul.

Unde credeți că $BTC găsește următorul său suport?

#btc70k #WhenWillBTCRebound #WarshFedPolicyOutlook

$BTC
$SOL
Alphabet just posted a standout earnings report that beat expectations and marked a major milestone in its growth story. For the first time in the company’s history, annual revenue topped $400 billion for the full year 2025, a clear sign that its core businesses and AI investments are scaling in real ways. In the fourth quarter, total revenue hit about $113.8 billion, up roughly 18% from the year before, and earnings per share came in at $2.82, stronger than analysts were expecting. That kind of beat reflects broad demand across Alphabet’s key segments. Search and advertising remain the backbone, driving the biggest share of revenue. YouTube also contributed meaningfully, with ad and subscription income pushing its annual haul past $60 billion. Growth in subscription services like Google One and YouTube Premium pushed the total paid subs to over 325 million globally. The real breakout story continues to be Google Cloud, which delivered a 48% year-over-year revenue increase in Q4, fueled by strong enterprise AI demand and an annual run rate exceeding $70 billion. That’s now a central pillar of Alphabet’s revenue diversification beyond advertising. AI isn’t just a buzzword here. Alphabet’s generative AI offerings, particularly Gemini 3, now have hundreds of millions of monthly users and are increasingly woven into search, cloud services, and enterprise tools. Looking forward, Alphabet plans to nearly double its capital expenditures in 2026 to between $175 billion and $185 billion, signaling a major commitment to AI and cloud infrastructure build-out. That aggressive spending plan spooked some investors in the short term, even as long-term growth narratives strengthen. Overall, Alphabet’s earnings show momentum on multiple fronts, blending scale, innovation, and expanding monetization ahead of the next phase of digital transformation. #BTCcrash" #WhenWillBTCRebound $BTC {spot}(BTCUSDT) $ETH {spot}(ETHUSDT)
Alphabet just posted a standout earnings report that beat expectations and marked a major milestone in its growth story. For the first time in the company’s history, annual revenue topped $400 billion for the full year 2025, a clear sign that its core businesses and AI investments are scaling in real ways.

In the fourth quarter, total revenue hit about $113.8 billion, up roughly 18% from the year before, and earnings per share came in at $2.82, stronger than analysts were expecting. That kind of beat reflects broad demand across Alphabet’s key segments.

Search and advertising remain the backbone, driving the biggest share of revenue. YouTube also contributed meaningfully, with ad and subscription income pushing its annual haul past $60 billion. Growth in subscription services like Google One and YouTube Premium pushed the total paid subs to over 325 million globally.

The real breakout story continues to be Google Cloud, which delivered a 48% year-over-year revenue increase in Q4, fueled by strong enterprise AI demand and an annual run rate exceeding $70 billion. That’s now a central pillar of Alphabet’s revenue diversification beyond advertising.

AI isn’t just a buzzword here. Alphabet’s generative AI offerings, particularly Gemini 3, now have hundreds of millions of monthly users and are increasingly woven into search, cloud services, and enterprise tools.

Looking forward, Alphabet plans to nearly double its capital expenditures in 2026 to between $175 billion and $185 billion, signaling a major commitment to AI and cloud infrastructure build-out. That aggressive spending plan spooked some investors in the short term, even as long-term growth narratives strengthen.

Overall, Alphabet’s earnings show momentum on multiple fronts, blending scale, innovation, and expanding monetization ahead of the next phase of digital transformation.

#BTCcrash" #WhenWillBTCRebound
$BTC
$ETH
📉 Bezos Silent as Washington Post Slashes Staff – What It Means for Media and TrustJeff Bezos has gone quiet on The Washington Post even as the paper he bought in 2013 cuts deep into its newsroom. After years of internal turmoil and shifting editorial direction, the Post recently announced a major round of layoffs affecting about one-third of its staff, including foreign bureaus, the sports desk, books section, and daily podcast. Critics inside and outside journalism are calling the move a blow to one of the world’s most influential newspapers. Bezos hasn’t publicly commented on the latest cuts in nearly a year, despite repeated pleas from journalists to intervene. That silence is drawing scrutiny because this isn’t just about jobs being lost. It’s about the broader credibility and independence of a major media outlet in an era when reliable reporting feels more important than ever. Former Post editors and media experts have warned that these changes risk hollowing out local and global coverage at a time when audiences are already fragmented. The move follows controversial decisions over recent years, including editorial shifts that led to subscriber losses and internal resignations. For many readers, this is more than restructuring. It’s a moment that raises questions about the future of serious journalism when financial pressures meet changing leadership priorities. Key takeaway: As legacy media evolves in 2026, this situation highlights the growing tension between digital economics and journalistic missions. Whether you follow global news for context or local reporting for daily life, the ripple effects of this restructuring will matter well beyond Washington. What’s your take? Is this the end of an era for major newspapers or the start of a new model for news? 👇 #JPMorganSaysBTCOverGold #xAICryptoExpertRecruitment #ADPDataDisappoints $BTC {spot}(BTCUSDT) $BNB {spot}(BNBUSDT)

📉 Bezos Silent as Washington Post Slashes Staff – What It Means for Media and Trust

Jeff Bezos has gone quiet on The Washington Post even as the paper he bought in 2013 cuts deep into its newsroom. After years of internal turmoil and shifting editorial direction, the Post recently announced a major round of layoffs affecting about one-third of its staff, including foreign bureaus, the sports desk, books section, and daily podcast. Critics inside and outside journalism are calling the move a blow to one of the world’s most influential newspapers.
Bezos hasn’t publicly commented on the latest cuts in nearly a year, despite repeated pleas from journalists to intervene. That silence is drawing scrutiny because this isn’t just about jobs being lost. It’s about the broader credibility and independence of a major media outlet in an era when reliable reporting feels more important than ever. Former Post editors and media experts have warned that these changes risk hollowing out local and global coverage at a time when audiences are already fragmented.
The move follows controversial decisions over recent years, including editorial shifts that led to subscriber losses and internal resignations. For many readers, this is more than restructuring. It’s a moment that raises questions about the future of serious journalism when financial pressures meet changing leadership priorities.
Key takeaway:
As legacy media evolves in 2026, this situation highlights the growing tension between digital economics and journalistic missions. Whether you follow global news for context or local reporting for daily life, the ripple effects of this restructuring will matter well beyond Washington.
What’s your take? Is this the end of an era for major newspapers or the start of a new model for news? 👇

#JPMorganSaysBTCOverGold #xAICryptoExpertRecruitment #ADPDataDisappoints
$BTC
$BNB
Deutsche Bank on Bitcoin’s Selloff: A Test of Conviction, Not a Broken Market (Feb 2026 Update)Bitcoin’s recent pullback has reignited the usual panic headlines, but Deutsche Bank offers a calmer and more interesting take. According to the bank’s latest commentary, this selloff does not signal a broken crypto market. Instead, it reflects a temporary loss of conviction among investors. In early 2026, Bitcoin has been trading in a more mature but also more demanding environment. Institutional participation is higher than ever, spot ETFs have normalized access, and regulatory clarity has improved across major markets. That also means Bitcoin is now more sensitive to macro factors like interest rate expectations, dollar strength, and global liquidity trends. When risk appetite fades, Bitcoin feels it faster. Deutsche Bank points out that the current selling pressure looks more like position unwinding than structural damage. Long term holders are largely intact, on chain data shows no mass capitulation, and network fundamentals remain stable. Hash rate, security, and transaction activity have not shown signs of stress that would indicate a deeper systemic problem. What has changed is sentiment. After strong performance phases, markets need constant positive catalysts to keep momentum alive. When those catalysts pause, weaker hands exit. This is not new for Bitcoin. Historically, similar periods of doubt have appeared multiple times, often before the next accumulation phase begins. Another key observation is that volatility itself is no longer a sign of failure. Bitcoin is increasingly behaving like a global macro asset. It reacts to tightening financial conditions and rebounds when liquidity improves. That shift may frustrate short term traders, but it also reinforces Bitcoin’s relevance in the broader financial system. The takeaway from Deutsche Bank’s view is simple. This is a confidence reset, not a collapse. For long term investors, these phases are less about fear and more about patience. Markets are testing belief, not breaking infrastructure. As always, conviction matters more than noise. Bitcoin has survived far harsher tests than this. What do you think Is this just another shakeout before the next cycle Or has Bitcoin entered a longer consolidation phase Share your thoughts 👇 #BitcoinDropMarketImpact #ADPDataDisappoints #EthereumLayer2Rethink? $BTC {spot}(BTCUSDT) $ETH {spot}(ETHUSDT)

Deutsche Bank on Bitcoin’s Selloff: A Test of Conviction, Not a Broken Market (Feb 2026 Update)

Bitcoin’s recent pullback has reignited the usual panic headlines, but Deutsche Bank offers a calmer and more interesting take. According to the bank’s latest commentary, this selloff does not signal a broken crypto market. Instead, it reflects a temporary loss of conviction among investors.
In early 2026, Bitcoin has been trading in a more mature but also more demanding environment. Institutional participation is higher than ever, spot ETFs have normalized access, and regulatory clarity has improved across major markets. That also means Bitcoin is now more sensitive to macro factors like interest rate expectations, dollar strength, and global liquidity trends. When risk appetite fades, Bitcoin feels it faster.
Deutsche Bank points out that the current selling pressure looks more like position unwinding than structural damage. Long term holders are largely intact, on chain data shows no mass capitulation, and network fundamentals remain stable. Hash rate, security, and transaction activity have not shown signs of stress that would indicate a deeper systemic problem.
What has changed is sentiment. After strong performance phases, markets need constant positive catalysts to keep momentum alive. When those catalysts pause, weaker hands exit. This is not new for Bitcoin. Historically, similar periods of doubt have appeared multiple times, often before the next accumulation phase begins.
Another key observation is that volatility itself is no longer a sign of failure. Bitcoin is increasingly behaving like a global macro asset. It reacts to tightening financial conditions and rebounds when liquidity improves. That shift may frustrate short term traders, but it also reinforces Bitcoin’s relevance in the broader financial system.
The takeaway from Deutsche Bank’s view is simple. This is a confidence reset, not a collapse. For long term investors, these phases are less about fear and more about patience. Markets are testing belief, not breaking infrastructure.

As always, conviction matters more than noise. Bitcoin has survived far harsher tests than this.
What do you think
Is this just another shakeout before the next cycle
Or has Bitcoin entered a longer consolidation phase

Share your thoughts 👇

#BitcoinDropMarketImpact #ADPDataDisappoints #EthereumLayer2Rethink?

$BTC
$ETH
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Bullish
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How much silver can a person legally own? We may receive commissions from some links to products on this page. Promotions are subject to availability and retailer terms. Over the past year, and within the past few months in particular, silver prices have been pushing into territory that few investors or analysts were expecting to see. For example, the price of silver recently hit a new milestone of over $100 per ounce, and while the price has moderated a bit in the time since, silver's value is still substantially higher than the $30-per-ounce price we saw just one year ago. As a result, physical silver has gone from a niche holding to a headline-driven investment conversation.  #GoldSilverRebound #KevinWarshNominationBullOrBear #xAICryptoExpertRecruitment #VitalikSells $XAG {future}(XAGUSDT) $BTC {spot}(BTCUSDT) $XAU {future}(XAUUSDT)
How much silver can a person legally own?

We may receive commissions from some links to products on this page. Promotions are subject to availability and retailer terms.

Over the past year, and within the past few months in particular, silver prices have been pushing into territory that few investors or analysts were expecting to see. For example, the price of silver recently hit a new milestone of over $100 per ounce, and while the price has moderated a bit in the time since, silver's value is still substantially higher than the $30-per-ounce price we saw just one year ago. As a result, physical silver has gone from a niche holding to a headline-driven investment conversation. 

#GoldSilverRebound #KevinWarshNominationBullOrBear #xAICryptoExpertRecruitment #VitalikSells

$XAG
$BTC
$XAU
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Bullish
Achiziția xAI de către SpaceX a lui Elon Musk în cadrul unei afaceri uluitoare evaluate la 1,25 trilion dolari înainte de IPO-ul iminent Compania de rachete a lui Elon Musk, SpaceX, a achiziționat xAI, firma de inteligență artificială fondată de Musk acum trei ani, într-o afacere masivă și neconvențională care combină cele două firme private într-o companie cu o evaluare raportată uluitoare de 1,25 trilion dolari și planuri pentru un IPO istoric în acest an. #ADPWatch #ElonMuskAI #xAICryptoExpertRecruitment #TrumpProCrypto $DOGE {spot}(DOGEUSDT) $TSLA {future}(TSLAUSDT) $BTC {spot}(BTCUSDT)
Achiziția xAI de către SpaceX a lui Elon Musk în cadrul unei afaceri uluitoare evaluate la 1,25 trilion dolari înainte de IPO-ul iminent

Compania de rachete a lui Elon Musk, SpaceX, a achiziționat xAI, firma de inteligență artificială fondată de Musk acum trei ani, într-o afacere masivă și neconvențională care combină cele două firme private într-o companie cu o evaluare raportată uluitoare de 1,25 trilion dolari și planuri pentru un IPO istoric în acest an.

#ADPWatch #ElonMuskAI #xAICryptoExpertRecruitment #TrumpProCrypto

$DOGE
$TSLA
$BTC
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Bullish
Indicații de progres: Starea Crypto Casa Albă se întâlnește cu oameni, Congresul a avansat un proiect de lege, iar principalii reglementatori revin la apariții comune în presă. În ciuda începutului zbuciumat pe care l-a avut elaborarea politicilor crypto în acest an, în acest moment pare că factorii de decizie din SUA fac progrese în domeniul legislativ și de reglementare. Casa Albă deschide noi discuții despre randamentele stablecoin cu reprezentanți ai industriilor bancare și crypto. #StrategyBTCPurchase #TrumpProCrypto #VitalikSells $ZIL {spot}(ZILUSDT) $AKE {future}(AKEUSDT) $YGG {spot}(YGGUSDT)
Indicații de progres: Starea Crypto

Casa Albă se întâlnește cu oameni, Congresul a avansat un proiect de lege, iar principalii reglementatori revin la apariții comune în presă.

În ciuda începutului zbuciumat pe care l-a avut elaborarea politicilor crypto în acest an, în acest moment pare că factorii de decizie din SUA fac progrese în domeniul legislativ și de reglementare. Casa Albă deschide noi discuții despre randamentele stablecoin cu reprezentanți ai industriilor bancare și crypto.

#StrategyBTCPurchase #TrumpProCrypto #VitalikSells

$ZIL
$AKE
$YGG
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Bullish
Gold and silver rebound, pulling global mining stocks and precious metal ETFs higher Gold and silver prices rebounded on Tuesday after suffering a historic sell-off, pulling global stocks and funds linked to the metals higher. Spot gold was last up about 5.5% to $4,913.97 per ounce. Gold futures gained about 6%, hovering at around $4,929. Spot silver rose over 9% to settle at around $86.89 per ounce. Silver futures were up 12.5% at $86.57. #GoldSilverRebound #VitalikSells #BinanceBitcoinSAFUFund #MarketCorrection $XAU {future}(XAUUSDT) $XAG {future}(XAGUSDT)
Gold and silver rebound, pulling global mining stocks and precious metal ETFs higher

Gold and silver prices rebounded on Tuesday after suffering a historic sell-off, pulling global stocks and funds linked to the metals higher.

Spot gold was last up about 5.5% to $4,913.97 per ounce. Gold futures gained about 6%, hovering at around $4,929.

Spot silver rose over 9% to settle at around $86.89 per ounce. Silver futures were up 12.5% at $86.57.

#GoldSilverRebound #VitalikSells #BinanceBitcoinSAFUFund #MarketCorrection

$XAU
$XAG
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Bullish
$1
46%
$3
14%
$15
9%
$0.07
31%
122 voturi • Votarea s-a încheiat
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Bearish
$70000
34%
$90000
28%
$50000
23%
$30000
15%
94 voturi • Votarea s-a încheiat
$4600
16%
$4200
19%
$5000
36%
$4000
29%
264 voturi • Votarea s-a încheiat
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