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我是21年爆仓700万的老韭菜,仅分享现货波段点位,擅长热门币种,不带d不带d! 行情来的时候又要截图又要编写帖子,难免有错别字,希望凑合看,我不是平台拖,更不是庄。
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USDD 14%apy super high return rate#usdd以稳见信 [USDD: New ways of decentralized stablecoins, do you understand?] Recently, the topic of stablecoins has become popular again, and I want to talk to you about a particularly noteworthy project—USDD under @usddio. #USDD gains trust through stability Many people, upon first seeing USDD, instinctively think it's just a 'stablecoin of the TRON ecosystem', but in reality, it is much more than that. Whether from the perspective of mechanism design, use cases, or yield strategies, USDD is following a path that is both stable and sustainable. If you are looking for a stablecoin that is both safe and can generate on-chain yield, USDD is definitely worth paying attention to.

USDD 14%apy super high return rate

#usdd以稳见信
[USDD: New ways of decentralized stablecoins, do you understand?]

Recently, the topic of stablecoins has become popular again, and I want to talk to you about a particularly noteworthy project—USDD under @usddio. #USDD gains trust through stability

Many people, upon first seeing USDD, instinctively think it's just a 'stablecoin of the TRON ecosystem', but in reality, it is much more than that. Whether from the perspective of mechanism design, use cases, or yield strategies, USDD is following a path that is both stable and sustainable.

If you are looking for a stablecoin that is both safe and can generate on-chain yield, USDD is definitely worth paying attention to.
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A8 is here, not easy. How are you all?
A8 is here, not easy. How are you all?
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$ETH I didn't shout short just because I sold it. I was targeted for 7 million. This is a bloody lesson, not just shouting. If it hits 2300, 200 million longs will be killed, and if it hits 2900, only 60 million shorts will be blown. Which one is more cost-effective? Then some nitpickers will say, what if the main force opens more? The main force does not need to sell to close the longs? What will happen if it hits further? I still firmly believe that 1700-1800 is the bottom chips that will appear in the near future. In extreme cases, 1600, the 5th wave of the weekly K level has not ended.
$ETH I didn't shout short just because I sold it. I was targeted for 7 million. This is a bloody lesson, not just shouting. If it hits 2300, 200 million longs will be killed, and if it hits 2900, only 60 million shorts will be blown. Which one is more cost-effective? Then some nitpickers will say, what if the main force opens more? The main force does not need to sell to close the longs? What will happen if it hits further? I still firmly believe that 1700-1800 is the bottom chips that will appear in the near future. In extreme cases, 1600, the 5th wave of the weekly K level has not ended.
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Bearish
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$ETH has no volume and the top divergence pulls the market, right? Sorry, I just don't want to take this last bite. There is no feeling of missing out. Next, we will wait for the opportunity to buy the spot at 1700-1800. In two weeks, wait and see. Now the bulls are rushing to the bulls, how fragrant our low-priced chips are.
$ETH has no volume and the top divergence pulls the market, right? Sorry, I just don't want to take this last bite. There is no feeling of missing out. Next, we will wait for the opportunity to buy the spot at 1700-1800. In two weeks, wait and see. Now the bulls are rushing to the bulls, how fragrant our low-priced chips are.
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$ETH Let the news ferment. The whole square is long ETH, this signal is very dangerous, and there are many crises. The current price of the currency is like a frightened bird. If there is a slight disturbance, the dealer can take advantage of the situation to smash the market.
$ETH Let the news ferment. The whole square is long ETH, this signal is very dangerous, and there are many crises. The current price of the currency is like a frightened bird. If there is a slight disturbance, the dealer can take advantage of the situation to smash the market.
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$ETH spot has done 2 swings, and only earned 150 points in total. Don't take it at this situation. Wait for another opportunity to do other targets. I thought it could catch up, but the daily line closed below the downward trend line again. It seems that the continuous rise is very tempting, but in fact it is full of crises.
$ETH spot has done 2 swings, and only earned 150 points in total. Don't take it at this situation. Wait for another opportunity to do other targets. I thought it could catch up, but the daily line closed below the downward trend line again. It seems that the continuous rise is very tempting, but in fact it is full of crises.
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$ETH , an old leek, is back to post a post to escape the top. The spot first position posted on August 28 was placed at 2430 to 2470. At most, it fell 200 points, and I was vomiting blood. Fortunately, we are spot. I didn’t post to cover the position when it fell to 2150. At that time, I only suggested to build a first position. At present, 2550 to 2590 has touched the strong pressure level of this round of rebound. Ethereum is really weak. Judging from the exchange position data, this wave is just a dead cat bounce. We have the spot here, and we have sold it all at 2560 plus or minus 30 points. The previous NOT had a 90% winning rate. Ethereum’s market control is really serious. Take profits and exit. Not covering the position will result in a very poor profit and loss ratio. Please understand that although TON has a big explosion, most of the coins listed are pulled up for 2 days and then fall. I am no longer paying attention to TON chain targets. I will come back if there are good targets. I would also like to emphasize that you must not be tempted by other copycats. No matter how big the increase is, do not use FOM. In this place without any supervision, any copycat may make you lose all your money. $ETH
$ETH , an old leek, is back to post a post to escape the top. The spot first position posted on August 28 was placed at 2430 to 2470. At most, it fell 200 points, and I was vomiting blood. Fortunately, we are spot. I didn’t post to cover the position when it fell to 2150. At that time, I only suggested to build a first position. At present, 2550 to 2590 has touched the strong pressure level of this round of rebound. Ethereum is really weak. Judging from the exchange position data, this wave is just a dead cat bounce. We have the spot here, and we have sold it all at 2560 plus or minus 30 points. The previous NOT had a 90% winning rate. Ethereum’s market control is really serious. Take profits and exit. Not covering the position will result in a very poor profit and loss ratio. Please understand that although TON has a big explosion, most of the coins listed are pulled up for 2 days and then fall. I am no longer paying attention to TON chain targets. I will come back if there are good targets. I would also like to emphasize that you must not be tempted by other copycats. No matter how big the increase is, do not use FOM. In this place without any supervision, any copycat may make you lose all your money. $ETH
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Bullish
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#BTC走势分析 Let's discuss the changes in your positions from September 2023 to today in this bull market? Is it a floating loss or a floating profit? Let me start first. In 2021, my position was liquidated with 7 million U. I entered the market again in early 2024. Currently, I have a floating profit of 150,000 U. The entry principal is 100,000 U. Among them, the profit of band NOT is the largest. First of all, I declare that I do not do contracts, only spot.
#BTC走势分析 Let's discuss the changes in your positions from September 2023 to today in this bull market? Is it a floating loss or a floating profit? Let me start first. In 2021, my position was liquidated with 7 million U. I entered the market again in early 2024. Currently, I have a floating profit of 150,000 U. The entry principal is 100,000 U. Among them, the profit of band NOT is the largest. First of all, I declare that I do not do contracts, only spot.
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$ETH 17, the old leeks who had their positions blown up by 700, are back to see you. I am the old leeks who posted 8 times in August to buy at the lows NOT, and arranged for everyone to buy at the highs with a 95% winning rate! Only one wrong post! Please check my historical posts for yourself, I never delete posts. Later, I cleared all my positions and changed to ether. I took a small bite of meat with more than 100 ether positions. I cleared my positions around 2788 and waited and watched. At present, the lowest price of ether is around 2391, which is the range of shock consolidation after the previous round of decline and rebound. You can establish a long position for ETH between 2430 and 2470, with the first delivery position at 2680 and the second delivery position at 2720. If the big cake is strong and reaches a new high of 2820, I will post a message on the market to notify everyone to escape the top. Although ether is weak at present, it is much less risky than any cottage. Weakness will have a chance to have a profit and loss ratio after the pin market! A buy signal appears at the 4-hour level. The most important thing is that the RSI indicator is seriously oversold! The KDJ indicator shows signs of turning. At present, this position is very cost-effective. If you insist on waiting for the previous low position of 2111, you will probably not be able to wait.
$ETH 17, the old leeks who had their positions blown up by 700, are back to see you. I am the old leeks who posted 8 times in August to buy at the lows NOT, and arranged for everyone to buy at the highs with a 95% winning rate! Only one wrong post! Please check my historical posts for yourself, I never delete posts. Later, I cleared all my positions and changed to ether. I took a small bite of meat with more than 100 ether positions. I cleared my positions around 2788 and waited and watched. At present, the lowest price of ether is around 2391, which is the range of shock consolidation after the previous round of decline and rebound. You can establish a long position for ETH between 2430 and 2470, with the first delivery position at 2680 and the second delivery position at 2720. If the big cake is strong and reaches a new high of 2820, I will post a message on the market to notify everyone to escape the top. Although ether is weak at present, it is much less risky than any cottage. Weakness will have a chance to have a profit and loss ratio after the pin market! A buy signal appears at the 4-hour level. The most important thing is that the RSI indicator is seriously oversold! The KDJ indicator shows signs of turning. At present, this position is very cost-effective. If you insist on waiting for the previous low position of 2111, you will probably not be able to wait.
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$ETH In July, I posted 8 posts to buy at the bottom, and the winning rate was as high as 80%. I only made one mistake in 8 posts, and one post was to protect my capital. I said that there is no shortage of opportunities in the market. As long as you control your hands and wait for trading opportunities, the probability of profit is much greater than blindly chasing ups and downs. {spot}(ETHUSDT) In my opinion, it is just a variety of bad news that maliciously suppress the market to absorb funds, which has achieved the purpose of making many leeks panic, and those who are short are cut, and those who are short are short. The more panic, the more 2111 will be the bottom of this round of ETH bull market. The weekly line will close with a hammer line tomorrow, and the buying power is much stronger than the short side! The daily level also showed a TD buy signal on August 8, and this indicator has been tried and tested in the big cycle! Currently holding 111 ethers, and still adding positions when retreating! Firmly optimistic about ETH, in front of large institutions, Grayscale is just a big leek that is forced to hand over chips. As a spot player, if I were to choose other copycats at this time, I would choose the big S13. Currently, the price-performance ratio of Ethereum is much higher than that of most other copycats, and its certainty is much stronger!
$ETH In July, I posted 8 posts to buy at the bottom, and the winning rate was as high as 80%. I only made one mistake in 8 posts, and one post was to protect my capital. I said that there is no shortage of opportunities in the market. As long as you control your hands and wait for trading opportunities, the probability of profit is much greater than blindly chasing ups and downs.
In my opinion, it is just a variety of bad news that maliciously suppress the market to absorb funds, which has achieved the purpose of making many leeks panic, and those who are short are cut, and those who are short are short. The more panic, the more 2111 will be the bottom of this round of ETH bull market. The weekly line will close with a hammer line tomorrow, and the buying power is much stronger than the short side! The daily level also showed a TD buy signal on August 8, and this indicator has been tried and tested in the big cycle! Currently holding 111 ethers, and still adding positions when retreating! Firmly optimistic about ETH, in front of large institutions, Grayscale is just a big leek that is forced to hand over chips. As a spot player, if I were to choose other copycats at this time, I would choose the big S13. Currently, the price-performance ratio of Ethereum is much higher than that of most other copycats, and its certainty is much stronger!
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$NOT I feel great now. I made a mistake once and it was even listed. I was bearish in the morning, but I didn’t give any price points! I deleted the post of self-talk immediately because I was afraid that the old leeks would read the wrong post. Although the post at noon was not wrong, it was wrong for me not to make money. When I posted, the highest price around 0.01330 was only 0.01350. At present, the shipment is almost to break even or lose the handling fee. 🐶庄 you are really 🐶 to death. You bought about 300,000 U and pulled a 5-minute level five-wave lure to buy more and then ran away. The long-term support is only 0.011. After breaking the position, your cost will at least double. Either let yourself go and ignore it, or hold the 0.011 support. (ps: 🐶庄 doesn’t need me to teach him, he has so many tricks)
$NOT I feel great now. I made a mistake once and it was even listed. I was bearish in the morning, but I didn’t give any price points! I deleted the post of self-talk immediately because I was afraid that the old leeks would read the wrong post. Although the post at noon was not wrong, it was wrong for me not to make money. When I posted, the highest price around 0.01330 was only 0.01350. At present, the shipment is almost to break even or lose the handling fee. 🐶庄 you are really 🐶 to death. You bought about 300,000 U and pulled a 5-minute level five-wave lure to buy more and then ran away. The long-term support is only 0.011. After breaking the position, your cost will at least double. Either let yourself go and ignore it, or hold the 0.011 support. (ps: 🐶庄 doesn’t need me to teach him, he has so many tricks)
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$NOT NOT The principal is gone, the dealer is really disgusting, not giving any rebound
$NOT NOT The principal is gone, the dealer is really disgusting, not giving any rebound
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$NOT $NOT Old investors, please take a look! 🐶All the investors who sold out earlier are now in!
$NOT $NOT Old investors, please take a look! 🐶All the investors who sold out earlier are now in!
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$NOT I am an old investor who lost 7 million in 21 years. I only share the real pressure and support levels. Old investors, please read this quickly! It will be hard to get on board later! NOT main force has bought in! Those who are familiar with me know that I posted 7 NOT related points last month, 7 wrong and 1 wrong! Perfect ending. Although there are not so many compared with yesterday, the aggregated data shows that 300,000 U has just been bought, which forces me to buy it again. 0.01330-1360 spot can build 30% position. Remember to do spot! Heyue, don't ask me the point. Look at today's rebound. {spot}(NOTUSDT)
$NOT I am an old investor who lost 7 million in 21 years. I only share the real pressure and support levels. Old investors, please read this quickly! It will be hard to get on board later! NOT main force has bought in! Those who are familiar with me know that I posted 7 NOT related points last month, 7 wrong and 1 wrong! Perfect ending. Although there are not so many compared with yesterday, the aggregated data shows that 300,000 U has just been bought, which forces me to buy it again. 0.01330-1360 spot can build 30% position. Remember to do spot! Heyue, don't ask me the point. Look at today's rebound.
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$NOT average price is around 0.01170-1175, 0.01250 I slipped. That's it, the homework is perfect
$NOT average price is around 0.01170-1175, 0.01250 I slipped. That's it, the homework is perfect
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$NOT Those who hold NOT, please leave quickly. The probability of the big cake breaking through the downward trend line is very high, but NOT has not even touched the trend line. Currently, it is around 0.01250-70, and the small-level rise of 5 waves has been completed! The RSI indicator is seriously overbought! The MACD indicator turns downward, and the current momentum is insufficient! Only your own positions can tell you the real pressure and support levels! If you want to rely on those with D to make money for you, just dream about it. They wish you would open a box every day to pay him the handling fee.
$NOT Those who hold NOT, please leave quickly. The probability of the big cake breaking through the downward trend line is very high, but NOT has not even touched the trend line. Currently, it is around 0.01250-70, and the small-level rise of 5 waves has been completed! The RSI indicator is seriously overbought! The MACD indicator turns downward, and the current momentum is insufficient! Only your own positions can tell you the real pressure and support levels! If you want to rely on those with D to make money for you, just dream about it. They wish you would open a box every day to pay him the handling fee.
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$NOT This dealer's tactics are really disgusting, how much stock do they want to sell? Since I went to Binance, I have been watching NOT, false breakouts when it goes down, false breakouts when it goes up. Fuck you, anyone who doesn't watch the market will be killed.
$NOT This dealer's tactics are really disgusting, how much stock do they want to sell? Since I went to Binance, I have been watching NOT, false breakouts when it goes down, false breakouts when it goes up. Fuck you, anyone who doesn't watch the market will be killed.
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$NOT NOT directly lost 10,000 U in this wave. Although I made a lot of money before, it is always difficult to accept profit taking. The total position is 22 million NOT. When I posted the post to build a position, the average price was 0.01350. The position of 9.2 million has never been sold since it rose to around 0.014. After a few negative Ks, the big cake retreated directly to around 0.01306. I felt that something was wrong, so I used the contract to open a short position and locked the position. At that time, the average opening price was still 0.01350. I fell to various support levels and frantically covered my position. I had no bullets when I covered it around 0.01250. In the end, the position was 22 million, and I could only hold it in. I made more than 5,000 U from the airdrop, and I lost more than 16,000 U after the spot was just cut. The net loss is still over 10,000 U. Let me remind everyone that I am also an ordinary person. If there is no good position management plan, buying any spot with a full position will also be in a mess during the decline! You must manage your positions well, this rebound is almost over. Not many people cut their losses as decisively as I do, but I have a full position, if I don’t cut my own losses, I will wait for the dealer to cut my losses!
$NOT NOT directly lost 10,000 U in this wave. Although I made a lot of money before, it is always difficult to accept profit taking. The total position is 22 million NOT. When I posted the post to build a position, the average price was 0.01350. The position of 9.2 million has never been sold since it rose to around 0.014. After a few negative Ks, the big cake retreated directly to around 0.01306. I felt that something was wrong, so I used the contract to open a short position and locked the position. At that time, the average opening price was still 0.01350. I fell to various support levels and frantically covered my position. I had no bullets when I covered it around 0.01250. In the end, the position was 22 million, and I could only hold it in. I made more than 5,000 U from the airdrop, and I lost more than 16,000 U after the spot was just cut. The net loss is still over 10,000 U. Let me remind everyone that I am also an ordinary person. If there is no good position management plan, buying any spot with a full position will also be in a mess during the decline! You must manage your positions well, this rebound is almost over. Not many people cut their losses as decisively as I do, but I have a full position, if I don’t cut my own losses, I will wait for the dealer to cut my losses!
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$NOT shorts quickly leave. NOT is very strong, the main force bought more than 2 million dollars at 0.01250 spot. 7 wrong 1 is the only wrong post, and I also see the hope of victory!
$NOT shorts quickly leave. NOT is very strong, the main force bought more than 2 million dollars at 0.01250 spot. 7 wrong 1 is the only wrong post, and I also see the hope of victory!
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$NOT hourly level five-wave decline has just been completed, and there is a need for a rebound. Looking at the trading volume, there are many new investors chasing shorts around 0.01279, so it can be determined that around 0.01269 is the short-term bottom. My short position has also been closed, waiting for the spot to escape the top after the rebound.
$NOT hourly level five-wave decline has just been completed, and there is a need for a rebound. Looking at the trading volume, there are many new investors chasing shorts around 0.01279, so it can be determined that around 0.01269 is the short-term bottom. My short position has also been closed, waiting for the spot to escape the top after the rebound.
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