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DevMak
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$1000SATS
volume/capitalização de mercado = 45,75%
para baixo aprox. 7,0% com grande volume.
estou apitando.
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1000SATS
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$BTTC weekly report
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$BTC mejority asian market in red. and crypto world is in fear what's the bad is comming which is hiding from common people. there is lot's of fear in the market. please be aware and stay safe. do not Sail in the deep market it's risky.
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$BTC Overall Trend: Bearish Dominance: The charts predominantly display a bearish trend, with the price of BTC/USDT showing a downward trajectory. This is evident in the negative values for both the 5x24 hours Large Inflow and the 24h Money Inflow. Specific Observations: 5x24 Hours Large Inflow: This metric indicates a significant outflow of large orders (BTC) over the past 5 days. The negative value suggests that more large orders were sold than bought during this period. 24h Money Inflow: This chart highlights a consistent outflow of money over the past 24 hours. The downward slope indicates that more money was being withdrawn from the market than invested. Money Flow Analysis: The pie chart shows a higher percentage of selling volume compared to buying volume across different timeframes (15m, 30m, 1h, 2h, 4h, 1D). This further reinforces the bearish trend. Possible Interpretations: Loss of Confidence: The negative inflows could indicate a loss of confidence among investors and traders in the cryptocurrency market. Profit Taking: Some investors might be taking profits after a period of price appreciation. Risk Aversion: The current market sentiment might be leaning towards risk aversion, leading to a preference for cash over crypto assets. Disclaimer: This analysis is based solely on the provided charts and does not constitute financial advice. Market conditions can change rapidly, and past performance is not indicative of future results. Further Considerations: Market News and Events: It's essential to consider any recent market news or events that could be influencing the price and sentiment. Technical Analysis: A more in-depth technical analysis, including studying chart patterns and indicators, could provide additional insights into the market's direction. i think something bad is comming and which is hide from common people. and big wallet is cashing their assets. please stay away till pandemic outbreak of HMPV authentic update. there is lot's of fear in the market. stay in cash. lot's oppertunity ahead. check out fear index.
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$1000SATS Analyzing Crypto Market Trends Growth of Margin Debt: Overall Trend: The chart shows a fluctuating trend with a slight upward bias over the 30-day period. 24h Trend: The 24-hour trend is also fluctuating but ends with a slight decrease. Key Points: The growth of margin debt indicates that traders are borrowing more funds to increase their positions, which could be a sign of increased risk appetite. However, the fluctuating nature suggests that the market is not consistently moving in one direction, leading to both gains and losses for traders. Margin Long-Short Positions Ratio: Overall Trend: This chart exhibits a volatile trend with significant fluctuations over the 30-day period. 24h Trend: The 24-hour trend is also volatile, ending with a slight decrease. Key Points: High volatility in the ratio suggests that market sentiment is rapidly shifting, with traders quickly changing their positions. The decrease in the ratio in the 24-hour period could indicate a slight shift towards short positions. Isolated Margin Borrow Amount Ratio: Overall Trend: This chart shows a volatile trend with a significant upward spike in the last 24 hours. 24h Trend: The 24-hour trend has a sharp increase. Key Points: The sharp increase in the last 24 hours suggests a surge in isolated margin borrowing, potentially indicating increased risk-taking behavior by traders. Overall Interpretation: The charts collectively suggest a market environment with increased risk appetite and volatile price movements. Traders are borrowing more funds to leverage their positions, and market sentiment is rapidly shifting. The sharp increase in isolated margin borrowing in the last 24 hours is a concerning sign as it indicates a potential increase in risk-taking behavior. Disclaimer: This analysis is based solely on the charts and does not constitute financial advice. Market conditions can change rapidly, and it's crucial to conduct thorough research and consider your risk tolerance before making any investment decisions.
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$BTC Growth of Margin Debt: Overall Trend: The chart shows a fluctuating trend with a slight downward slope over the 30-day period. 24h Trend: The 24-hour trend shows a slight increase in margin debt. Margin Long-Short Positions Ratio: Overall Trend: The ratio has been relatively stable over the 30-day period, with some fluctuations. 24h Trend: The 24-hour trend shows a slight decrease in the long-short positions ratio. Isolated Margin Borrow Amount Ratio: Overall Trend: The ratio has been increasing over the 30-day period, with some fluctuations. 24h Trend: The 24-hour trend shows a significant increase in the isolated margin borrow amount ratio. Interpretation: Margin Debt: The decreasing trend in margin debt over the 30-day period suggests that traders are gradually reducing their leverage positions. However, the recent 24-hour increase suggests a potential shift in sentiment. Long-Short Positions Ratio: The stable ratio indicates a balanced market with neither long nor short positions dominating. The slight decrease in the 24-hour trend suggests a slight increase in short positions. Isolated Margin Borrow Amount Ratio: The increasing trend in this ratio indicates that traders are borrowing more funds to increase their leverage. The significant 24-hour increase suggests a sudden surge in borrowing activity. Caution: Without additional context (e.g., the underlying asset, market conditions), it's difficult to draw definitive conclusions about the implications of these trends. The charts only show a snapshot of the market at a specific time. Trends can change rapidly. Further Analysis: To gain a deeper understanding, it would be helpful to analyze other relevant data points, such as trading volume, open interest, and funding rates. Comparing these trends with the overall market sentiment and news events can provide valuable insights into the driving forces behind the observed changes.
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