🔥 $POWER – STABILIZING AFTER A RECOVERY PUSH
$POWER is trading around 0.227, recovering steadily after a prolonged decline. The recent bounce wasn’t explosive, but it was clean and controlled, showing that selling pressure has eased.
Price reclaimed the short-term base around 0.22 and is now holding above it. Pullbacks are shallow, and dips are being absorbed quickly — a sign that buyers are defending this zone. Volume remains moderate, which fits a re-accumulation phase rather than distribution.
As long as 0.22 holds, the structure stays constructive. A clean hold and expansion above 0.23 would open room for continuation, while a loss of the base would push price back into range.
Conclusion:
$POWER is not in a rush, but it’s no longer weak. This is a calm rebuilding phase — patience matters more than aggression here.
{future}(POWERUSDT)
📉 $KAIA — Short Setup | Fading premium supply
Trading Plan (Short):
Entry: $0.07963 – $0.08250
SL: $0.08650
TP: $0.07330
KAIA is trading straight into a premium supply zone sitting at the local market structure high. Liquidity has already been pulled inside the internal range, but price is getting rejected, not accepted — exactly what you want to see for a short execution.
As long as this primary supply zone continues to hold, the structure favors a downside expansion toward the discount demand targets below. Nothing fancy here: premium interaction, liquidity taken, sellers still defending.
Short $KAIA 👇
{future}(KAIAUSDT)
The cryptocurrency market is known for its extreme volatility and high-risk nature. Investing in highly speculative assets, such as memecoins like $PIPPIN, carries the potential for significant capital loss.
It is crucial for all investors to conduct thorough independent research (DYOR) and implement robust risk management strategies. Protecting your portfolio from severe market fluctuations is paramount.
Currently, some traders and analysts are highlighting a potential short opportunity for $RIVER. ✅ This perspective often suggests a bearish outlook on the asset's price in the near term.
All trading decisions should be based on individual analysis, risk tolerance, and a clear understanding of market dynamics. This content is for informational purposes only and does not constitute financial advice. Trading involves substantial risks.
$LINK /USDT — SHORT
Entry: 12.200–12.246, upside acceptance failed
TP1: 12.087 (near-term support)
TP2: 12.041 (directional confirmation)
TP3: 11.950 (trend continuation)
SL: above 12.359, protect capital
Leverage: x20 – Safe Mode | x50 – Profit Boost | x75 – Trust Mode.
That rejection is why I’m comfortable pressing the short here, not after confirmation.
Buying pressure showed up, but it stalled — rejection held.
Taking it here, or waiting for a retest?
#CryptoTrading #TradingSignals #MarketUpdate
"Sự hội tụ" tài chính: Tại sao BlackRock đặt cược vào hạ tầng Ethereum?
Theo Jay Jacobs, người đứng đầu mảng ETF tại BlackRock, việc token hóa tài sản đang là trường hợp sử dụng tăng trưởng nhanh nhất của công nghệ blockchain. Ethereum, với khả năng bảo mật và tính thanh khoản vượt trội, đã trở thành lựa chọn hàng đầu cho các doanh nghiệp muốn số hóa tài sản. Báo cáo cho thấy ngay cả quỹ BUIDL của BlackRock cũng đang vận hành mạnh mẽ trên mạng lưới này, góp phần xóa nhòa khoảng cách giữa phố Wall và thế giới tiền mã hóa. #anh_ba_cong
Tuy nhiên, con đường dẫn đến sự đổi mới toàn diện không phải là một đường thẳng. Nó đòi hỏi sự hoàn thiện về chính sách pháp lý và sự sẵn sàng từ phía các doanh nghiệp để đáp ứng các yêu cầu khắt khe của thị trường. Việc chuyển nhượng tài sản truyền thống sang dạng số hóa giúp tối ưu hóa khả năng quản trị rủi ro và tăng cường tính bao trùm. Để tránh các hành vi sai trái trong môi trường mới, BlackRock tin rằng một khung pháp lý rõ ràng sẽ là bệ phóng để các hoạt động giao dịch tài sản token hóa thực sự mang lại lợi ích cho cộng đồng nhà đầu tư toàn cầu. $ETH
{future}(ETHUSDT)
AI and Web3 applications are generating and uploading terabytes of data daily. 🚀 A protocol that blindly trusts data writers faces significant risks, including griefing attacks and Sybil poisoning. This can also lead to cheap denial-of-service (DoS) attacks on storage nodes.
Walrus Protocol revolutionizes this by introducing true Byzantine resilience across the entire pipeline. ✨ It ensures verifiable end-to-end encoding and robust reconstruction, protecting not just storage nodes but also clients from inconsistencies.
This unique approach makes Walrus stand out in the DePIN/storage sector. Key features include low ~4.5x overhead, self-healing recovery, and async-network tolerance. 🛡️ With client-side malice resistance, the "honest writer" strawman is finally put to rest.
@WalrusProtocol #Walrus $WAL
#dusk $DUSK DUSK là đồng coin phục vụ cho hệ sinh thái Dusk Network, nơi ưu tiên quyền riêng tư, bảo mật và tính tuân thủ. Dự án hướng tới việc token hóa tài sản và xây dựng các ứng dụng DeFi phù hợp với doanh nghiệp. Người dùng có thể sử dụng DUSK để staking, thanh toán phí và tham gia vào quá trình bảo mật mạng. Trong dài hạn, nếu thị trường tài chính truyền thống tiếp tục chuyển dịch sang blockchain, DUSK có thể trở thành một trong những nền tảng hạ tầng đáng chú ý trong mảng bảo mật.
🚨 **Gold Nears $5,000: Key Drivers Behind the Rally** 🚀
Spot gold (XAUUSD) is nearing the psychological $5,000 level, currently trading around $4,980 per ounce as of January 24, 2026. This significant move reflects increasing stress within the global financial system 🌍.
📈 **Market Pulse**
Spot Gold (XAUUSD): ~$4,980 (+1.29%)
Spot Silver (XAGUSD): ~$101.30 (+5.6%) — Silver has pushed beyond $100
Daily momentum for both assets remains exceptionally strong.
🔍 **Why Gold is Moving Higher**
Several fundamental factors are propelling gold's current rally:
⚠️ Geopolitical Tensions: Heightened political friction, particularly involving key global players, is driving increased demand for traditional safe-haven assets.
🌐 Central Bank Accumulation: Emerging-market central banks continue to accumulate gold at a record pace, adding approximately 60 tons monthly. This trend signals a strategic diversification away from dollar reliance.
💥 Confidence in U.S. Dollar: Growing questions surrounding the Federal Reserve's independence are raising concerns about the long-term stability of the U.S. dollar.
⚖️ **The $5,000 Test**
Gold is currently in price-discovery mode. Momentum indicators, with RSI above 70, highlight strong trend strength, yet also suggest potential for increased volatility or short-term pullbacks around the $5,000 mark.
$XAU $BTC $IN
#GOLD #GoldSilverAtRecordHighs #BTCVSGOLD #CPIWatch #Write2Earn
🚨 HISTORY JUST HAPPENED 🚨
Silver (XAG) has officially reached $100. This milestone is a confirmed fact, not a prediction or rumor. 🎯
Attention now turns to Gold (XAU). The $5,000 mark is in sight, potentially signaling a historic first for the asset. 💥
This market movement reflects capital reallocating from risk assets into tangible stores of value. It is not driven by speculative pumps or hype.
Amidst these developments, a common question from retail investors is, "Is it too late to participate?" 🤔
Smart money has already positioned itself. The market trend is clear, and opportunities may be time-sensitive. ⏳
For those who observed the significant Silver rally or opportunities in ACU, Gold may now be offering a valuable chance to participate in hard assets. ✨
Trade Gold & Silver here 👇
#GoldSilverAtRecordHighs #Silver100 #Gold5000 #HardAssets #SafeHaven 🔥🚀
🔥 $LPT – QUIET RANGE, LOUD POTENTIAL
$LPT is currently trading around 3.27, sitting inside a well-defined range after a long period of sideways movement. No chaos, no emotional spikes — this is a market in compression mode, where both buyers and sellers are waiting for confirmation.
⸻
📌 Market context
Price has been oscillating in a tight band for an extended time
Recent sell-off was quickly absorbed, with price snapping back into range
No follow-through to the downside → selling pressure is limited
This behavior suggests liquidity was taken, not a trend reversal
⸻
📊 Technical read
The 3.20–3.25 zone is acting as a short-term base
Rejections below this area are being bought back quickly
Candles remain small and overlapping → equilibrium, not weakness
Volume stays muted, which is typical before a directional move
As long as price holds above the lower range, structure remains neutral-to-bullish.
⸻
🎯 Trading perspective
If you’re already positioned:
→ No need to overreact to minor pullbacks
→ Let price show direction from the range
If you’re waiting:
→ Avoid guessing the breakout
→ Watch for expansion in volume and candle size for confirmation
⸻
✅ Conclusion
$LPT is not moving fast — and that’s the point. This is controlled price action, where the market is building energy. Direction will matter more than timing here. Once the range resolves, the move is likely to be clean and decisive.
Right now, patience is the edge.
{future}(LPTUSDT)
📉 $RIVER — Short Setup
Trading Plan (Short):
Entry: $49.200– $50.500
SL: $52.800
TP: $46.00
RIVER is reacting directly into a well-defined supply zone sitting at the local structure high. The push into this area swept nearby liquidity, but price is now showing rejection inside the internal premium range, which keeps the short idea intact.
As long as price continues to respect this premium supply zone, the expectation is a downside expansion back toward the lower demand shelves. The structure is clean: supply holding, liquidity taken, and no acceptance above resistance yet.
Short $RIVER 👇
{future}(RIVERUSDT)
E Lihua tiếp tục Tái Xuất và đang gồng Lỗ hơn 90 triệu đô, vẫn tuyên bố $ETH sẽ lên $20k!
Sau một tuần im hơi lặng tiếng khiến cộng đồng đồn đoán Boss Yi, ông chủ của Trend Research đã chính thức quay trở lại với một tuyên bố đanh thép và hành động gom hàng không tay.
🔷 Thị trường tuần qua không mấy êm ả với ETH khi giảm gần 10%.
Điều này đã đẩy giá thị trường xuống thấp hơn Entry của Trend Research.
Giá vốn trung bình: $3,104.36.
Khoản Floating Loss: Ước tính khoảng 92.97 Triệu USD.
🔶 Thay vì sợ hãi, E Lihua tiếp tục thực hiện chiến lược DCA quyết liệt. Dữ liệu on chain ghi nhận:
Trong 13 giờ qua: Trend Research đã rút 24,555 ETH trị giá 75.33 Triệu USD từ Binance về ví lưu trữ.
Giá mua đợt này: Quanh mức $3,076.06.
Hiện ví này đang nắm giữ tổng cộng 661,272.65 ETH.
🔷 Trên mạng xã hội, Yi Lihua chia sẻ quan điểm lạc quan dài hạn:
Tin tưởng ETH sẽ chạm mốc $20,000 trong dài hạn.
Lý do vì ETH là kẻ hưởng lợi lớn nhất từ xu hướng toàn cầu hóa Stablecoin và tài chính on chain.
Đang all in vào $WLFI và rất lạc quan về USD1.
Với khối tài sản trên ví trị giá hơn $351 Triệu USD, động thái của Trend Research cho thấy niềm tin sắt đá của các tay to vào sự phục hồi của ETH, bất chấp biến động ngắn hạn.
🔥$AXS Bullish Consolidation
• Recent rejection at 2.986 (24H high) formed a bearish pin bar, but higher lows since the dip confirm accumulation.
• K-line shows a rally from 2.48 to 2.98 (20% move), followed by consolidation between 2.68-2.98.
• The 1H candle closing above 2.89 with volume suggests resilience
• Recent 1H candles show elevated volume 25M at 2.9 levels during upside moves, confirming buyer interest.
• Strong 1H contract net inflow 9.45M USDT contrasts with modest spot outflow -575K USDT indicating leveraged longs are driving price action
Entry Long $AXS : 2.82-2.85 (near MA20 support)
Stop-Loss: 2.68 (below Support)
Targets: 2.96 (resistance) - 3.14 (next resistance)
Support me just Click below to Trade 👇 Cheers
{future}(AXSUSDT)
While MACD/KDJ show short-term weakness, the confluence of institutional inflows, higher lows, and neutral RSI supports a bounce from support. A break below 2.68 would invalidate bullish thesis.#axs #axsusdt #AxieInfinity
Long $GUN hàng gamefi vẫn mạnh
Entry:0.0340 - 0.0342
• Stop Loss (SL):
• Dưới low BOS gần nhất → 0.0332 - 0.0333 (an toàn, khoảng dưới 0.033397).
• Nếu muốn chặt hơn (rủi ro thấp): 0.0334 (dưới vùng BOS).
→ Rủi ro khoảng 1.5-2.5% từ entry, tùy vị trí.
• Take Profit (TP):
• TP1: 0.0360 - 0.0362 (resistance đầu, R:R ~1:2-2.5). Partial 30-50% vị thế.
• TP2: 0.0373 - 0.0377 (vùng supply cũ, partial tiếp).
• TP3: 0.0388 - 0.0390 (extension mạnh).
• TP xa (target chính): 0.0400 (Weak High, nếu momentum duy trì → R:R 1:4+).
{future}(GUNUSDT)
Monthly close is coming next week — and it’s setting up to be a spicy one.
We’ve already swept external highs and got a pretty clean rejection back toward the lows. Worth keeping in mind though: long wicks don’t usually get ignored. Over time, they tend to be partially or fully filled because liquidity loves unfinished business.
There’s still a full week of price action left, so direction isn’t locked in yet. But a few paths stand out:
Scenario 1
$BTC pushes higher into the 28th and secures the monthly close. February then starts by filling the upper part of the wick early, before rolling back down toward the 83.8K area later in the month.
Scenario 2
BTC closes the month around current levels, roughly 89K. Early February we run the 91–92K zone first, then price starts working lower.
Scenario 3
BTC loses both the weekly and monthly open and closes below them (red) before February even starts. If this happens, it’s not subtle — it’s aggressively bearish.
Personally, I’m leaning more toward scenario 1 or 2. With sentiment already skewed heavily bearish, a push higher would actually be the least surprising outcome.
That said… lose 83.8K, and I wouldn’t want to be holding any longs.
{future}(BTCUSDT)
$ACU
{future}(ACUUSDT)
$ENSO
{future}(ENSOUSDT)
$RIVER — bounce is getting sold into, buyers can’t reclaim control here.
Short $RIVER
Entry: 48,8 – 49,7
SL: 51.5
TP1: 46.0
TP2: 43.5
TP3: 40.8
The push higher failed to get acceptance, with sellers stepping in quickly near supply. Upside momentum faded fast after the bounce, suggesting a corrective move rather than a trend shift. Structure still favors downside continuation while this zone caps price.
Trade $RIVER here 👇
{future}(RIVERUSDT)
😱 Gold ($XAU) Hits $5,000 Per Ounce! What's Next? 🚀
Gold has finally broken into the $5,000 zone. This significant move isn't sudden; it follows months of steady buying as investors grew uneasy about the global outlook, currencies, and rising geopolitical risks.
When stocks, bonds, and even crypto showed instability, capital slowly rotated into gold. What once seemed an extreme price target now feels like a natural progression in a much larger trend.
Why is Gold Moving Higher? 👇
Several key factors are driving this ascent:
The U.S. dollar has weakened, making gold more attractive globally.
Central banks continue to accumulate gold, viewing it as a long-term safety asset.
Investors, both large and small, are turning to gold for protection amidst current uncertainties. This demand is steady and defensive, not driven by hype.
Will $5,000 Be the Peak? 📈
Likely not. Reaching $5,000 shifts perception, but it doesn't automatically halt the rally. Major institutions have already revised their targets, with some forecasting $5,400 or higher if global conditions remain volatile.
As long as central banks and long-term investors stay active, any dips are expected to be quickly bought up.
What Does This Mean for the Market? 📊
Strong gold prices typically signal investor caution. It indicates shaky confidence in growth, currencies, and other risk assets. While this doesn't imply an end for stocks or Bitcoin, it suggests a defensive stance in the market for now.
Final Thoughts for Investors 💡
The $5,000 mark is a checkpoint, not necessarily the top. If uncertainty persists, gold could continue its upward trajectory over time. Monitor central bank purchases, interest rates, and currency movements; these will be key indicators for gold's future direction.
Missed the gold rally? Don't worry! Trade gold here 👇
(XAUUSDT)
#GoldSilverAtRecordHighs
🔥 The final bear trap appears to be concluding.
$BTC has experienced a market movement often associated with clearing out the last weak hands. This phase, characterized by capitulation, doubt, and exhaustion, typically forms the foundation for market bottoms.
From a structural perspective, a clear roadmap is being observed by many:
• First reclaim zone: $90K
• Expansion phase: $175K
• Full cycle target zone: $270K
This period often sees market participants hesitate, second-guess their positions, or exit prematurely. It's not necessarily due to a broken trend, but rather the discomfort of conviction just before a significant momentum shift.
While there are no guarantees, it's crucial to understand our current position within the market cycle. The most significant moves are rarely obvious in real time. 🚀
Tokens to watch: $BTC, $ENSO, $KAIA, $0G
(0GUSDT)
(ENSOUSDT)
(BTCUSDT)
From an infrastructure investment perspective, @Plasma stands out by focusing on scalability, performance, and real network usage. Rather than relying on short-term narratives, Plasma aims to support high-throughput applications across DeFi, gaming, and on-chain social. The $XPL token is central to network security and incentives, aligning long-term value with ecosystem growth. #Plasma
PENGUIN hóa Phượng Hoàng và bay tới 600% trong ngày, vốn hóa chạm mốc 44 triệu đô!
Thị trường Meme coin hôm nay lại chứng kiến sự xuất hiện của một Runner mới với tốc độ tăng trưởng chóng mặt, bất chấp bối cảnh thị trường chung đang phân hóa.
🔷 Dữ liệu biểu đồ 1H trên Binance cho thấy PENGUIN vừa thực hiện một cú bứt phá ngoạn mục.
Từ vùng giá sideway gần như bằng phẳng, token này đã dựng những cây nến xanh thẳng đứng, ghi nhận mức tăng trưởng lên tới 600% chỉ trong vòng 24 giờ.
Động lực tăng giá mạnh mẽ này đã nhanh chóng đẩy Market Cap của dự án cán mốc $44 Triệu USD.
🔶 Tuy nhiên, nhìn vào cây nến giờ hiện tại, áp lực bán đang bắt đầu gia tăng mạnh.
Giá đang có dấu hiệu điều chỉnh sâu với một cây nến đỏ dài, ghi nhận mức giảm -16.13% so với đỉnh vừa thiết lập, đưa giá về quanh vùng 0.046180.
Biểu đồ cho thấy PENGUIN đang ở trong trạng thái biến động cực đại.
Với cột khối lượng giao dịch tăng đột biến kèm râu nến dài, rủi ro Du đỉnh ngắn hạn là rất lớn khi dòng tiền đầu cơ bắt đầu chốt lãi.
Bài viết này chỉ mang tính chất tham khảo, không phải là lời khuyên đầu tư. Vui lòng đọc và cân nhắc kỹ trước khi đưa ra quyết định.
🚨 BITCOIN STUMBLES UNDER $90K AS MACRO PRESSURE BUILDS
Bitcoin has dropped below $90,000, falling nearly 5% this week as macroeconomic pressures intensify. What seemed like a fleeting recovery quickly reinforced that BTC is currently behaving more like a high-beta risk asset than digital gold.
Mid-week, markets saw a brief surge of optimism following President Trump’s remarks in Davos, which eased tariff tensions with Europe. This triggered a quick risk-on bounce, pushing BTC back over $89,000. However, the relief proved short-lived.
🌍 Macro volatility is back in control.
Rising global bond yields, notably Japan’s 10-year yield reaching levels unseen since the late 1990s, initiated a significant risk-off rotation. Surging yields lead to liquidity tightening, which often results in rapid unwinding of leveraged positions.
This pressure typically impacts the crypto market first and most acutely.
📉 Stocks pull back
🪙 Crypto drops harder
🥇 Gold & silver rally as safe havens
Bitcoin's movements are no longer independent; it is increasingly sensitive to interest rates, geopolitical events, and broader cross-market stress.
However, the most significant factor this week appears to be institutional withdrawal. 🏦
U.S. Spot Bitcoin ETFs experienced $1.22 billion in outflows through Thursday, marking the largest weekly withdrawal since November. This trend indicates major capital reducing its exposure, rather than retail panic.
Decreased ETF demand translates directly into diminished structural buying support for BTC.
Put it together and the picture is clear:
⚠️ Liquidity tightening
⚠️ Bond yields rising
⚠️ Institutional flows turning negative
These factors show that BTC's current price action is not random but a direct response to a global re-allocation of capital.
Until global liquidity conditions show improvement, short-lived rallies and continued volatility are likely to persist. 📉
🚨 Market Anomaly Observed 🚨
A rare convergence in asset prices is currently unfolding. We are seeing simultaneous upward movements in Gold, Silver, and Copper.
Typically, these commodities exhibit divergent trends. Copper tends to rise with economic growth, while Gold and Silver often serve as safe-haven assets during times of uncertainty or fear.
Their concurrent ascent suggests a significant underlying shift in market dynamics, rather than usual investor rotation between growth and safety. This pattern indicates a broad de-risking sentiment among major investors.
This unusual correlation has historically preceded periods of significant economic stress. It occurred notably in 2000 (Dot-com crash), 2008 (Financial crisis), and 2019 (Liquidity crisis), each followed by a recession.
The simultaneous rise of industrial commodities and safe-haven assets is a critical warning sign that the broader financial system may be experiencing heightened stress.
$XAU $XAG
(XAGUSDT)
(XAUUSDT)