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$LEVER As of December 22, 2024, the sentiment surrounding LeverFi (LEVER) appears to be bearish. Technical indicators suggest a bearish trend, with the Fear & Greed Index showing a value of 73, indicating greed in the market. Over the past week, LeverFi has experienced a price decline of approximately 6.96%, highlighting the inherent volatility of the cryptocurrency market. It's important to note that cryptocurrency markets are highly volatile, and sentiment can change rapidly. Investors should exercise caution and conduct thorough research before making investment decisions.
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#BTCOutlook As of December 22, 2024, Bitcoin (BTC) is trading at approximately $97,014, reflecting a 1.12% decrease over the past 24 hours. The 24-hour trading volume stands at around $46 billion, indicating sustained market activity. Bitcoin's market capitalization is approximately $1.92 trillion, maintaining its position as the leading cryptocurrency by market cap. Over the past week, Bitcoin has experienced a price decline of about 5.20%, highlighting the inherent volatility of the cryptocurrency market. Please note that cryptocurrency markets are highly volatile, and prices can change rapidly. It's advisable to consult multiple sources and exercise caution when making investment decisions.
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#MarketPullback Pasar crypto sering mengalami pullback, yaitu penurunan harga sementara setelah tren naik yang kuat. Pullback dapat terjadi karena beberapa faktor, antara lain: 1. Realisasi Keuntungan (Profit-Taking) Investor atau trader menjual aset untuk mengambil keuntungan setelah harga naik signifikan. 2. Overbought Conditions Ketika harga telah naik terlalu cepat dalam waktu singkat, pasar bisa menjadi jenuh beli, sehingga harga terkoreksi. 3. Sentimen Pasar Berita negatif, ketidakpastian regulasi, atau perubahan makroekonomi dapat memengaruhi sentimen dan menyebabkan penurunan. 4. Likuidasi Posisi Leverage Pada pasar dengan leverage tinggi, pergerakan harga kecil dapat memicu likuidasi posisi panjang, yang memperbesar penurunan. 5. Volume Rendah Ketika volume perdagangan rendah, harga lebih rentan terhadap fluktuasi tajam karena likuiditas pasar yang terbatas. Apa yang Bisa Dilakukan Saat Pullback? 1. Analisis Teknis Gunakan level support seperti Fibonacci retracement atau moving average untuk melihat apakah pullback adalah peluang beli atau tanda pembalikan tren. 2. Pantau Sentimen Ikuti berita dan perkembangan terbaru yang mungkin memengaruhi pasar. 3. Strategi Hedging Gunakan stablecoin atau aset aman untuk mengurangi eksposur selama volatilitas tinggi. 4. Manajemen Risiko Tetapkan stop-loss untuk melindungi modal dari penurunan lebih dalam.
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#BTCNextMove Bitcoin (BTC) has recently experienced significant price movements, reaching an all-time high of over $106,500. This surge is attributed to factors such as the election of President-elect Donald Trump, who is expected to implement crypto-friendly policies, including the establishment of a U.S. bitcoin strategic reserve. Analysts have varied predictions for Bitcoin's future trajectory. Some forecasts suggest that Bitcoin could reach between $130,000 and $175,000 by early 2025, with a peak expected by February–March 2025. Others anticipate that Bitcoin may potentially touch $200,000 in 2025. It's important to note that Bitcoin remains a highly volatile and speculative asset. While recent developments have bolstered optimism, market dynamics can change rapidly. Investors should exercise caution and consider the inherent risks associated with cryptocurrency investments. For a more in-depth analysis of Bitcoin's potential future movements, you might find the following video informative:
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#MarketCorrectionBuyOrHODL A crypto market correction is a temporary decline in cryptocurrency prices, typically following a period of significant price gains. This correction occurs as part of a natural market cycle and is often seen as a necessary adjustment to prevent overvaluation. Corrections typically involve price drops of 10-20% but can vary depending on market conditions. Key Reasons for Crypto Market Corrections: 1. Overbought Conditions: When prices rise too quickly, the market becomes overbought, leading to a sell-off as traders take profits. 2. Regulatory Concerns: Negative news about cryptocurrency regulations can trigger a correction. 3. Macroeconomic Factors: Interest rate hikes, inflation concerns, or broader financial market downturns can spill over into the crypto market. 4. Sentiment Shifts: A change in investor sentiment, often driven by news or social media trends, can lead to sudden price drops. 5. Whale Activity: Large-scale sell-offs by major holders can cause significant price volatility. How to Respond to a Correction: 1. Evaluate Fundamentals: Focus on long-term value and fundamentals rather than short-term price movements. 2. Avoid Panic Selling: Corrections are often temporary; selling during a dip might lock in losses. 3. Diversify Investments: Spread investments across different cryptocurrencies to reduce risk. 4. Use Stop-Loss Orders: Protect your portfolio by setting stop-loss levels. 5. Dollar-Cost Averaging (DCA): Invest gradually to reduce the impact of volatility.
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