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Tino808

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Occasional Trader
2 Years
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#SaylorBTCPurchase Michael Saylor, the executive chairman of MicroStrategy, is known as one of the biggest advocates of Bitcoin in the corporate sphere. His series of BTC purchases, known under the hashtag #SaylorBTCPurchase, has significantly influenced the public perception of cryptocurrencies as a legitimate asset for corporate balance sheets. Since the first purchase in 2020, MicroStrategy has continued its strategy of accumulating Bitcoin regardless of market volatility. Saylor's philosophy is simple: Bitcoin is "digital gold" and the safest store of value in times of inflation. He publicly states that BTC is "the only understandable alternative to fiat currency." The mentioned pair in this context is Michael Saylor and Bitcoin, their "relationship" is iconic for the entire crypto world. With each new purchase – whether it involves tens or hundreds of millions of dollars – Saylor reaffirms his long-term belief in BTC. His commitment has inspired other companies, such as Tesla or Block, to take similar steps. #HODL
#SaylorBTCPurchase

Michael Saylor, the executive chairman of MicroStrategy, is known as one of the biggest advocates of Bitcoin in the corporate sphere. His series of BTC purchases, known under the hashtag #SaylorBTCPurchase, has significantly influenced the public perception of cryptocurrencies as a legitimate asset for corporate balance sheets. Since the first purchase in 2020, MicroStrategy has continued its strategy of accumulating Bitcoin regardless of market volatility.

Saylor's philosophy is simple: Bitcoin is "digital gold" and the safest store of value in times of inflation. He publicly states that BTC is "the only understandable alternative to fiat currency." The mentioned pair in this context is Michael Saylor and Bitcoin, their "relationship" is iconic for the entire crypto world.

With each new purchase – whether it involves tens or hundreds of millions of dollars – Saylor reaffirms his long-term belief in BTC. His commitment has inspired other companies, such as Tesla or Block, to take similar steps. #HODL
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After the battle, every general
After the battle, every general
BinaScope Crypto
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CRYPTO MISTAKES THROUGH THE YEARS 🔥

2016 – You slept on Ethereum 😴
2017 – You overlooked Cardano 👀
2018 – You ignored BNB 🚫
2019 – You underestimated Chainlink 🔗
2020 – You passed on Polkadot 🎯
2021 – You laughed at SHIBA 🐕🤣
2022 – You missed the MEE wave 🌊

🚨 2025 – Don't repeat history...
Spot the next gem before it's too late. 💎🚀
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Scam!
Scam!
Kaitlin Reitmeier p82Y
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Soon I will be a millionaire with a free mining program $BTC
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#BinanceTurns8 Celebrate with us #BinanceTurns8 and get a share of rewards in BNB worth up to $888,888! https://www.binance.com/activity/binance-turns-8?ref=GRO_19600_S0KCE
#BinanceTurns8 Celebrate with us #BinanceTurns8 and get a share of rewards in BNB worth up to $888,888! https://www.binance.com/activity/binance-turns-8?ref=GRO_19600_S0KCE
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$BTC 📰 Current News about Bitcoin 1. Record highs and legislative impulse Bitcoin has reached a new historic high of around $118,860, just before the American 'Crypto Week' — a key legislative event where several proposals will be discussed, including CLARITY, GENIUS, and the Anti-CBDC Act. 2. Institutional adoption is strengthening Companies like MicroStrategy, GameStop, Figma, Sequans, and others continue to increase their Bitcoin reserves. The total corporate holdings have reached 847,000 BTC, which represents a 23% increase in Q2 2025. 3. Regulation and strategic reserves In the United States, the government is considering building a Strategic Bitcoin Reserve, where the BTC holdings are financed by confiscated bitcoins from states. This could significantly influence the institutionalization of the asset. 📊 Technical Overview The market trajectory signals a cup-and-handle pattern with a proposal for further growth of up to 14% to approximately $134,500 according to technical analyst Katie Stockton. Currently, the price is consolidating between $117,000–118,000, without a clear trend temporarily. 🔮 Price Predictions Short-term: An increase to $120,000–$122,000 is expected during July due to waiting for legislative shifts and technical momentum. Medium-term: Possible growth to $150,000–200,000 by the end of 2025, supported by the strategic reserve, ETFs, and institutional interest. Financial advisors and the Director of Bitwise are citing targets around $200,000+. Long-term (2030): Consensus among Binance users predicts up to $150,000, with an extended estimate of $300,000+ or even $500,000 when extrapolating the trend into the decade. 📈 Main Risks and Factors Regulatory uncertainty – the progress of legislation, the stance of the Fed, and ETF structure can cause price fluctuations. Macroeconomics – e.g., dollar policy, interest rates, and geopolitics influence momentum. Technical corrections – consolidation may result in drawdowns, especially during significant RSI overbought conditions.
$BTC 📰 Current News about Bitcoin

1. Record highs and legislative impulse
Bitcoin has reached a new historic high of around $118,860, just before the American 'Crypto Week' — a key legislative event where several proposals will be discussed, including CLARITY, GENIUS, and the Anti-CBDC Act.
2. Institutional adoption is strengthening
Companies like MicroStrategy, GameStop, Figma, Sequans, and others continue to increase their Bitcoin reserves. The total corporate holdings have reached 847,000 BTC, which represents a 23% increase in Q2 2025.
3. Regulation and strategic reserves
In the United States, the government is considering building a Strategic Bitcoin Reserve, where the BTC holdings are financed by confiscated bitcoins from states. This could significantly influence the institutionalization of the asset.

📊 Technical Overview

The market trajectory signals a cup-and-handle pattern with a proposal for further growth of up to 14% to approximately $134,500 according to technical analyst Katie Stockton.

Currently, the price is consolidating between $117,000–118,000, without a clear trend temporarily.

🔮 Price Predictions

Short-term: An increase to $120,000–$122,000 is expected during July due to waiting for legislative shifts and technical momentum.
Medium-term: Possible growth to $150,000–200,000 by the end of 2025, supported by the strategic reserve, ETFs, and institutional interest. Financial advisors and the Director of Bitwise are citing targets around $200,000+.
Long-term (2030): Consensus among Binance users predicts up to $150,000, with an extended estimate of $300,000+ or even $500,000 when extrapolating the trend into the decade.

📈 Main Risks and Factors

Regulatory uncertainty – the progress of legislation, the stance of the Fed, and ETF structure can cause price fluctuations.
Macroeconomics – e.g., dollar policy, interest rates, and geopolitics influence momentum.
Technical corrections – consolidation may result in drawdowns, especially during significant RSI overbought conditions.
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#MyStrategyEvolution the trend among traders and investors who share their development of trading strategies – from initial attempts to current practices that yield results. It often starts with a lack of knowledge, FOMO purchases, or blindly copying influencers. Gradually, however, understanding comes: risk management, setting rules, and emotional discipline are the keys to survival and success. Many transition from short-term day trading to more thoughtful swing trading, or conversely, from passive HODLing to more active strategies like trend following or breakout trading. Part of the evolution is also diversification – not only among assets but also across time horizons. Sharing #MyStrategyEvolution helps others learn from real mistakes and gradually find their own path that aligns with their goals, time, and psychology. 📈📈 Share your thoughts in the comments :)
#MyStrategyEvolution the trend among traders and investors who share their development of trading strategies – from initial attempts to current practices that yield results. It often starts with a lack of knowledge, FOMO purchases, or blindly copying influencers. Gradually, however, understanding comes: risk management, setting rules, and emotional discipline are the keys to survival and success.

Many transition from short-term day trading to more thoughtful swing trading, or conversely, from passive HODLing to more active strategies like trend following or breakout trading. Part of the evolution is also diversification – not only among assets but also across time horizons.

Sharing #MyStrategyEvolution helps others learn from real mistakes and gradually find their own path that aligns with their goals, time, and psychology. 📈📈
Share your thoughts in the comments :)
My 30 Days' PNL
2025-06-13~2025-07-12
+$225.59
+44.65%
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#USCryptoWeek is an annual event focused on the cryptocurrency sector in the USA, bringing together leading figures from the fields of blockchain, regulation, technology, and investment. It takes place in Washington, D.C. and New York, aiming to strengthen the dialogue between policymakers, businesses, and the crypto community. In 2025, it focuses on key topics such as the legal framework for stablecoins, decentralized identity (DID), CBDC, as well as the future of DeFi and Web3 innovations. Participants include SEC, CFTC, Coinbase, Ripple, Binance US, and other major players. The event serves not only as networking but also as an opportunity to influence the shape of future American regulation. For investors and developers, it is a crucial week full of strategic decisions. 🇺🇸🇨🇿
#USCryptoWeek is an annual event focused on the cryptocurrency sector in the USA, bringing together leading figures from the fields of blockchain, regulation, technology, and investment. It takes place in Washington, D.C. and New York, aiming to strengthen the dialogue between policymakers, businesses, and the crypto community. In 2025, it focuses on key topics such as the legal framework for stablecoins, decentralized identity (DID), CBDC, as well as the future of DeFi and Web3 innovations. Participants include SEC, CFTC, Coinbase, Ripple, Binance US, and other major players. The event serves not only as networking but also as an opportunity to influence the shape of future American regulation. For investors and developers, it is a crucial week full of strategic decisions. 🇺🇸🇨🇿
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#TradingStrategyMistakes jsou běžné chyby, kterých se obchodníci dopouštějí při vytváření a realizaci svých strategií. Tyto omyly mohou vést ke ztrátám nebo k nevyužití plného potenciálu trhu. 🔹 Nejčastější chyby: Nedostatečné řízení rizika – nevyužívání stop-lossů nebo riskování příliš velké části kapitálu na jeden obchod. Přehnaná důvěra v jednu strategii – ignorování změn na trhu nebo přehnaná rigidita. Emocionální obchodování – rozhodování pod tlakem emocí, například strachu či chamtivosti. Nedostatečná příprava a analýza – vstup do obchodu bez dostatečného zhodnocení situace. Příliš časté obchodování (overtrading) – vede k vysokým poplatkům a unáhleným rozhodnutím. Ignorování fundamentálních zpráv – které mohou rychle změnit tržní podmínky. 🔹 Jak se vyhnout chybám: – Vytvořit a dodržovat jasný plán obchodování. – Vzdělávat se a testovat strategie na demo účtech. – Používat správné nástroje řízení rizika. – Učit se z vlastních i cizích chyb. Binance nabízí edukativní obsah a nástroje, které pomáhají traderům vyvarovat se těchto častých omylů a obchodovat efektivněji.
#TradingStrategyMistakes jsou běžné chyby, kterých se obchodníci dopouštějí při vytváření a realizaci svých strategií. Tyto omyly mohou vést ke ztrátám nebo k nevyužití plného potenciálu trhu.

🔹 Nejčastější chyby:

Nedostatečné řízení rizika – nevyužívání stop-lossů nebo riskování příliš velké části kapitálu na jeden obchod.
Přehnaná důvěra v jednu strategii – ignorování změn na trhu nebo přehnaná rigidita.
Emocionální obchodování – rozhodování pod tlakem emocí, například strachu či chamtivosti.
Nedostatečná příprava a analýza – vstup do obchodu bez dostatečného zhodnocení situace.
Příliš časté obchodování (overtrading) – vede k vysokým poplatkům a unáhleným rozhodnutím.
Ignorování fundamentálních zpráv – které mohou rychle změnit tržní podmínky.
🔹 Jak se vyhnout chybám:
– Vytvořit a dodržovat jasný plán obchodování.
– Vzdělávat se a testovat strategie na demo účtech.
– Používat správné nástroje řízení rizika.
– Učit se z vlastních i cizích chyb.

Binance nabízí edukativní obsah a nástroje, které pomáhají traderům vyvarovat se těchto častých omylů a obchodovat efektivněji.
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#ArbitrageTradingStrategy is a trading strategy that exploits price differences of the same asset on different exchanges or markets. The goal is to buy cheaper in one place and immediately sell at a higher price elsewhere, thus generating profit with minimal risk – known as arbitrage profit. 🔹 Types of arbitrage: – Inter-exchange arbitrage: e.g. Bitcoin is cheaper on one exchange than on another. – Triangular arbitrage: takes advantage of differences between exchange rates of three currencies (e.g. BTC/ETH, ETH/USDT, BTC/USDT). – On-chain vs. off-chain arbitrage: differences between DeFi protocols and CEXs. 🔹 Advantages: – Low risk (if execution is quick and efficient). – Suitable for algorithmic and bot trading. – Exploits market inefficiencies. 🔹 Disadvantages: – Need for quick execution, as price differences quickly disappear. – Transaction and withdrawal fees can eat into profits. – Requirement for greater capital and technical infrastructure (e.g. API, bots). On Binance, one can track the potential for arbitrage between spot markets, futures, or even different regions, but nowadays most arbitrage is performed automatically and profitable opportunities last only seconds.
#ArbitrageTradingStrategy is a trading strategy that exploits price differences of the same asset on different exchanges or markets. The goal is to buy cheaper in one place and immediately sell at a higher price elsewhere, thus generating profit with minimal risk – known as arbitrage profit.

🔹 Types of arbitrage:
– Inter-exchange arbitrage: e.g. Bitcoin is cheaper on one exchange than on another.
– Triangular arbitrage: takes advantage of differences between exchange rates of three currencies (e.g. BTC/ETH, ETH/USDT, BTC/USDT).
– On-chain vs. off-chain arbitrage: differences between DeFi protocols and CEXs.

🔹 Advantages:
– Low risk (if execution is quick and efficient).
– Suitable for algorithmic and bot trading.
– Exploits market inefficiencies.

🔹 Disadvantages:
– Need for quick execution, as price differences quickly disappear.
– Transaction and withdrawal fees can eat into profits.
– Requirement for greater capital and technical infrastructure (e.g. API, bots).

On Binance, one can track the potential for arbitrage between spot markets, futures, or even different regions, but nowadays most arbitrage is performed automatically and profitable opportunities last only seconds.
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#BreakoutTradingStrategy is a popular trading method that focuses on entering the market at the moment when the price breaks through a key level of support or resistance. This 'breakout' often signifies the beginning of a strong price movement, which the trader tries to catch as soon as possible. 🔹 How it works: – The trader identifies consolidation zones, supports, resistances, triangles, or channels. – Once the price breaks above resistance (long) or below support (short), they enter the trade. – Indicators such as volume are used – higher volume during the breakout confirms the strength of the movement. 🔹 Advantages: – Timely entry into the trend with the potential for significant profit. – Suitable for both intraday and swing traders. – Works well in volatile markets (e.g., cryptocurrencies). 🔹 Disadvantages: – Risk of false breakouts (fakeouts). – Requires quick reaction and good risk management (stop-loss, take-profit). On Binance, the Breakout strategy can be utilized for both spot and futures trading, and for its effective use, it is recommended to combine it with technical analysis and monitoring news (e.g., project announcements, listings, fundamentals). 💜💜
#BreakoutTradingStrategy is a popular trading method that focuses on entering the market at the moment when the price breaks through a key level of support or resistance. This 'breakout' often signifies the beginning of a strong price movement, which the trader tries to catch as soon as possible.

🔹 How it works:
– The trader identifies consolidation zones, supports, resistances, triangles, or channels.
– Once the price breaks above resistance (long) or below support (short), they enter the trade.
– Indicators such as volume are used – higher volume during the breakout confirms the strength of the movement.

🔹 Advantages:
– Timely entry into the trend with the potential for significant profit.
– Suitable for both intraday and swing traders.
– Works well in volatile markets (e.g., cryptocurrencies).

🔹 Disadvantages:
– Risk of false breakouts (fakeouts).
– Requires quick reaction and good risk management (stop-loss, take-profit).

On Binance, the Breakout strategy can be utilized for both spot and futures trading, and for its effective use, it is recommended to combine it with technical analysis and monitoring news (e.g., project announcements, listings, fundamentals).
💜💜
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#DayTradingStrategy is a trading strategy that involves buying and selling assets within a single day – that is, within a single trading session. It focuses on profiting from short-term price movements, whether upward or downward. 🔹 Main features: – The trader opens and closes positions within minutes to hours. – Does not carry positions overnight to avoid unexpected fluctuations. – Uses technical analysis, indicators such as MACD, RSI, Bollinger Bands, volumes, etc. – Often works with lower time frames (1min, 5min, 15min charts). 🔹 Advantages: – Possibility of quick profit. – Flexibility and high control over the position. – No need to monitor long-term fundamentals. 🔹 Disadvantages: – Requires experience, discipline, and quick decision-making. – High mental and time demands. – High risk – especially when trading with leverage. Binance provides tools and educational content for day trading, but recommends this strategy primarily for advanced traders. It is more suitable for beginners to start with spot trading or a HODL approach.
#DayTradingStrategy is a trading strategy that involves buying and selling assets within a single day – that is, within a single trading session. It focuses on profiting from short-term price movements, whether upward or downward.

🔹 Main features:
– The trader opens and closes positions within minutes to hours.
– Does not carry positions overnight to avoid unexpected fluctuations.
– Uses technical analysis, indicators such as MACD, RSI, Bollinger Bands, volumes, etc.
– Often works with lower time frames (1min, 5min, 15min charts).

🔹 Advantages:
– Possibility of quick profit.
– Flexibility and high control over the position.
– No need to monitor long-term fundamentals.

🔹 Disadvantages:
– Requires experience, discipline, and quick decision-making.
– High mental and time demands.
– High risk – especially when trading with leverage.

Binance provides tools and educational content for day trading, but recommends this strategy primarily for advanced traders. It is more suitable for beginners to start with spot trading or a HODL approach.
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#HODLTradingStrategy is an approach to investing based on a simple yet powerful philosophy: buy and hold (HODL = Hold On for Dear Life). This term originated as a typo of the word "hold" on a cryptocurrency forum and gradually became a symbol of patience and trust in the long-term growth of the market. 🔹 The HODL strategy is ideal for investors who believe in the future of cryptocurrencies and do not want to stress over daily volatility. The goal is to hold assets even during fluctuations, as historically, cryptocurrency markets go through cycles of growth and decline. 🔹 HODL most commonly refers to top coins like Bitcoin, Ethereum, BNB, but also to selected altcoins with long-term potential. 🔹 The advantage? Low fees, less stress, easier management. The disadvantage? It requires mental resilience during downturns and faith in the market. On Binance, the HODL strategy is combined with staking, flexible savings, or auto-invest features to generate passive income from held funds even without active trading.
#HODLTradingStrategy is an approach to investing based on a simple yet powerful philosophy: buy and hold (HODL = Hold On for Dear Life). This term originated as a typo of the word "hold" on a cryptocurrency forum and gradually became a symbol of patience and trust in the long-term growth of the market.

🔹 The HODL strategy is ideal for investors who believe in the future of cryptocurrencies and do not want to stress over daily volatility. The goal is to hold assets even during fluctuations, as historically, cryptocurrency markets go through cycles of growth and decline.

🔹 HODL most commonly refers to top coins like Bitcoin, Ethereum, BNB, but also to selected altcoins with long-term potential.

🔹 The advantage? Low fees, less stress, easier management. The disadvantage? It requires mental resilience during downturns and faith in the market.

On Binance, the HODL strategy is combined with staking, flexible savings, or auto-invest features to generate passive income from held funds even without active trading.
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$BNB (Binance Coin) is the native cryptocurrency of the Binance ecosystem, originally launched in 2017 as a token on Ethereum (ERC-20), later moved to its own Binance Chain and BNB Smart Chain (BSC). 🔹 Use: BNB has a wide range of uses – it serves to pay fees on the Binance exchange (with a discount), for staking, DeFi, NFTs, and even for payments with partners outside the crypto world. It is one of the most widely used utility tokens in existence. 🔹 Economics and burning: BNB has a deflationary model – Binance regularly burns a portion of the tokens to reduce the total supply and increase value. The burning occurs automatically according to the so-called Auto-Burn mechanism, and in the future, up to 100 million BNB (half of the total supply) is to be burned. 🔹 Significance: BNB is the 4th largest cryptocurrency by market capitalization (as of July 2025) and is the backbone of the entire Binance ecosystem. Due to its utility, strong backing, and acceptance in DeFi, it is considered one of the most stable altcoins in the market in the long term. Many investors hold $BNB not only for trading but also as a long-term strategic asset.
$BNB (Binance Coin) is the native cryptocurrency of the Binance ecosystem, originally launched in 2017 as a token on Ethereum (ERC-20), later moved to its own Binance Chain and BNB Smart Chain (BSC).

🔹 Use:
BNB has a wide range of uses – it serves to pay fees on the Binance exchange (with a discount), for staking, DeFi, NFTs, and even for payments with partners outside the crypto world. It is one of the most widely used utility tokens in existence.

🔹 Economics and burning:
BNB has a deflationary model – Binance regularly burns a portion of the tokens to reduce the total supply and increase value. The burning occurs automatically according to the so-called Auto-Burn mechanism, and in the future, up to 100 million BNB (half of the total supply) is to be burned.

🔹 Significance:
BNB is the 4th largest cryptocurrency by market capitalization (as of July 2025) and is the backbone of the entire Binance ecosystem. Due to its utility, strong backing, and acceptance in DeFi, it is considered one of the most stable altcoins in the market in the long term.

Many investors hold $BNB not only for trading but also as a long-term strategic asset.
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#TrendTradingStrategy is a trading approach that focuses on utilizing price trends – that is, situations where the price of an asset consistently moves upwards (uptrend) or downwards (downtrend). The goal is to buy in an upward trend and sell in a downward trend, or potentially take short positions during declines. 🔹 This strategy relies on technical analysis, indicators such as MA (moving averages), RSI, MACD, or trend lines and channels. 🔹 The advantage is that the trader "goes with the market" – not trying to time the bottom or top, but entering in the middle of the movement and trying to maximize the gains from it. 🔹 The disadvantage can be a false signal or a sudden trend reversal, hence it is crucial to use stop-losses and proper risk management. Binance often shares guides within #TrendTradingStrategy on how to use this method for spot and futures trading, and how to recognize a strong trend in time. It is a popular strategy among professionals and more experienced retail traders.
#TrendTradingStrategy

is a trading approach that focuses on utilizing price trends – that is, situations where the price of an asset consistently moves upwards (uptrend) or downwards (downtrend). The goal is to buy in an upward trend and sell in a downward trend, or potentially take short positions during declines.

🔹 This strategy relies on technical analysis, indicators such as MA (moving averages), RSI, MACD, or trend lines and channels.
🔹 The advantage is that the trader "goes with the market" – not trying to time the bottom or top, but entering in the middle of the movement and trying to maximize the gains from it.
🔹 The disadvantage can be a false signal or a sudden trend reversal, hence it is crucial to use stop-losses and proper risk management.

Binance often shares guides within #TrendTradingStrategy on how to use this method for spot and futures trading, and how to recognize a strong trend in time. It is a popular strategy among professionals and more experienced retail traders.
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#SpotVSFuturesStrategy #SpotVSFuturesStrategy is a topic that focuses on comparing the two most common cryptocurrency trading strategies – spot and futures trading. 🔹 Spot trading means buying and holding cryptocurrencies at the current price – the trader actually owns the given token. It is suitable for long-term investors and those who want to have full control over their assets. The risk is lower, but profits come more slowly. 🔹 Futures trading is a more advanced strategy that allows trading on margin and speculation on both price increases and decreases. The trader does not own the cryptocurrency but enters into a contract for a future price. This brings the possibility of higher profits, but also a higher risk of loss. The topic #SpotVSFuturesStrategy is important for anyone who wants to understand the differences between a conservative and a dynamic approach to trading. Binance often provides educational content on how to effectively utilize both strategies.
#SpotVSFuturesStrategy

#SpotVSFuturesStrategy is a topic that focuses on comparing the two most common cryptocurrency trading strategies – spot and futures trading.

🔹 Spot trading means buying and holding cryptocurrencies at the current price – the trader actually owns the given token. It is suitable for long-term investors and those who want to have full control over their assets. The risk is lower, but profits come more slowly.

🔹 Futures trading is a more advanced strategy that allows trading on margin and speculation on both price increases and decreases. The trader does not own the cryptocurrency but enters into a contract for a future price. This brings the possibility of higher profits, but also a higher risk of loss.

The topic #SpotVSFuturesStrategy is important for anyone who wants to understand the differences between a conservative and a dynamic approach to trading. Binance often provides educational content on how to effectively utilize both strategies.
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#BinanceTurns8 Binance celebrates its 8th anniversary, which is a significant milestone for one of the largest cryptocurrency exchanges in the world. Over these eight years, Binance has evolved from a small platform into a global leader in cryptocurrency trading, offering a wide range of services such as spot and futures trading, staking, lending, NFT markets, and many other innovations. Binance has built a reputation for transaction speed, low fees, and a vast selection of cryptocurrencies. During the celebrations, it often comes up with various promotions, fee discounts, and special events for users. Binance is also strengthening its position by investing in technologies and expanding services to stay at the forefront of the ever-evolving DeFi and blockchain market. The 8th anniversary celebrations are an opportunity to reflect on how far the platform has come during this time.
#BinanceTurns8 Binance celebrates its 8th anniversary, which is a significant milestone for one of the largest cryptocurrency exchanges in the world. Over these eight years, Binance has evolved from a small platform into a global leader in cryptocurrency trading, offering a wide range of services such as spot and futures trading, staking, lending, NFT markets, and many other innovations. Binance has built a reputation for transaction speed, low fees, and a vast selection of cryptocurrencies. During the celebrations, it often comes up with various promotions, fee discounts, and special events for users. Binance is also strengthening its position by investing in technologies and expanding services to stay at the forefront of the ever-evolving DeFi and blockchain market. The 8th anniversary celebrations are an opportunity to reflect on how far the platform has come during this time.
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Today it's not very relevant anymore, now a completely different situation will be relevant :) The world is spinning too fast
Today it's not very relevant anymore, now a completely different situation will be relevant :)
The world is spinning too fast
基兰 Jī lán
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🚨 BREAKING: U.S. STRIKES IRANIAN NUCLEAR SITES — MARKETS IN SHOCK 💣

Over $1.5 Billion liquidated in minutes — and Bitcoin could tumble toward $80K within 48 hours! 📉
I reviewed classified intel — and what’s coming next will shock you... 🧵👇

🔍 What Just Happened:
The U.S. has launched precision strikes on key Iranian nuclear facilities — a massive escalation in the Middle East crisis.
Markets are reacting violently. Fear is everywhere. But smart money is already moving...

💥 Why This Matters for Crypto:
• $BTC faces heavy pressure as global risk sentiment vanishes
• Liquidations are piling up across leverage positions
• Flight to safety? Or deeper crash?

⚠️ What You Should Do Now:
1️⃣ Watch $80K – major support zone
2️⃣ Expect extreme volatility across all assets
3️⃣ Hedge wisely — cash is power in chaos
4️⃣ Stay calm — panic selling is what whales want
5️⃣ This could be the dip before the next parabolic wave

📊 This isn’t just a market dip. This is war-driven economic warfare.

🔥 Follow for real-time updates as the crypto world braces for impact.

#Bitcoin #BTC #CryptoCrash #IranNews #MiddleEastCrisis #CryptoAlert #TrumpCrypto #Geopolitics #BitcoinCrash #Altcoins #CryptoNews #WW3
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$BTC ₿ Bitcoin 2025 – Are we entering a new phase of the bull run? 📅 June 2025 Bitcoin is currently trading around $105,000, which is approximately +40% growth since the halving in April 2024. The reason is strong institutional demand, an improved macro outlook and growing interest in crypto during a period of uncertainty. 🔥 What is happening right now? ETF funds (e.g. BlackRock, Fidelity) manage a total of more than 1.7 million BTC – demand from institutions is driving the market up. Bitcoin is a “digital safe haven” – in times of growing global tensions and record US debt, investors are looking for an alternative. The level of holdings in HODLers’ wallets is the highest in 3 years – small investors believe that the price will go even higher.
$BTC ₿ Bitcoin 2025 – Are we entering a new phase of the bull run?

📅 June 2025

Bitcoin is currently trading around $105,000, which is approximately +40% growth since the halving in April 2024. The reason is strong institutional demand, an improved macro outlook and growing interest in crypto during a period of uncertainty.

🔥 What is happening right now?
ETF funds (e.g. BlackRock, Fidelity) manage a total of more than 1.7 million BTC – demand from institutions is driving the market up.
Bitcoin is a “digital safe haven” – in times of growing global tensions and record US debt, investors are looking for an alternative.
The level of holdings in HODLers’ wallets is the highest in 3 years – small investors believe that the price will go even higher.
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Check out my yields and portfolio distribution. Follow for investment tips 📈 What will follow? Bitcoin consolidates above $100–110k – this typically triggers altseason, when capital flows into altcoins Macro positive – if the Fed starts considering rate cuts and clear regulations come (e.g., stablecoins and ETFs), altcoins will receive significant support Historical analogy – after the halving in 2024, a bullish phase for altcoins often follows, typically in the 2nd to 4th year of the cycle – especially from mid-2025 🔍 Specific outlook for the end of the year: Q2–Q3 2025: Possible dip in altcoins, before Bitcoin definitively anchors the trend. Q3–Q4 2025: Start of altseason – altcoins like SOL, SUI, AVAX, SEI, ONDO may outperform BTC
Check out my yields and portfolio distribution. Follow for investment tips

📈 What will follow?

Bitcoin consolidates above $100–110k – this typically triggers altseason, when capital flows into altcoins
Macro positive – if the Fed starts considering rate cuts and clear regulations come (e.g., stablecoins and ETFs), altcoins will receive significant support
Historical analogy – after the halving in 2024, a bullish phase for altcoins often follows, typically in the 2nd to 4th year of the cycle – especially from mid-2025

🔍 Specific outlook for the end of the year:

Q2–Q3 2025: Possible dip in altcoins, before Bitcoin definitively anchors the trend.
Q3–Q4 2025: Start of altseason – altcoins like SOL, SUI, AVAX, SEI, ONDO may outperform BTC
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Bearish
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#USNationalDebt The debt of the United States has reached a level of around $36.2 trillion (approximately 121% of GDP). The cost of servicing the debt (interest) now costs the treasury approximately $1 trillion annually, which exceeds defense spending. The growth of debt impacts not only the economic outlook but also global confidence in U.S. bonds. ⚠️ Why is this a current topic? 1. Concerns of central banks The Central Bank of Taiwan has warned that the rapidly growing U.S. debt could weaken confidence in government bonds, affecting the global reserve system. 2. Regulatory response in the USA Both the Fed and the Treasury are discussing adjustments to bank proposal parameters (e.g., SLR) to allow for greater purchases of government bonds and support demand for debt. 3. Political dispute President Trump is pushing for lower interest rates to limit the cost of debt servicing. However, the Fed remains cautious, and the government plans further debt issuance – which increases the risk of fiscal dominance. 4. Credit rating threats The recent downgrade by Moody's underscores growing skepticism about the sustainability of public finances. 📊 What does this mean for the average person? Interest expenses are now competing with key items like defense or healthcare, and the growing debt further disrupts the state budget. Additionally, rising debt puts pressure on long-term interest rates, affecting mortgages, corporate loans, and investments. Economists (e.g., Dalio, Rogoff) express concerns about a potential 'debt trap' if the credit line is not carefully managed. 🔮 Outlook & what to watch next Bond yield developments – the yield curve on 2 and 10 years tends to remain high. Fed meetings – despite banking pressures, planned interest rate cuts are expected in the second half of the year, which may not significantly affect long-term debt yields. Congressional legislation – proposed packages like the 'One Big Beautiful Bill Act' may add additional trillions in debt.
#USNationalDebt

The debt of the United States has reached a level of around $36.2 trillion (approximately 121% of GDP). The cost of servicing the debt (interest) now costs the treasury approximately $1 trillion annually, which exceeds defense spending. The growth of debt impacts not only the economic outlook but also global confidence in U.S. bonds.
⚠️ Why is this a current topic?

1. Concerns of central banks
The Central Bank of Taiwan has warned that the rapidly growing U.S. debt could weaken confidence in government bonds, affecting the global reserve system.
2. Regulatory response in the USA
Both the Fed and the Treasury are discussing adjustments to bank proposal parameters (e.g., SLR) to allow for greater purchases of government bonds and support demand for debt.

3. Political dispute
President Trump is pushing for lower interest rates to limit the cost of debt servicing. However, the Fed remains cautious, and the government plans further debt issuance – which increases the risk of fiscal dominance.
4. Credit rating threats
The recent downgrade by Moody's underscores growing skepticism about the sustainability of public finances.

📊 What does this mean for the average person?

Interest expenses are now competing with key items like defense or healthcare, and the growing debt further disrupts the state budget.

Additionally, rising debt puts pressure on long-term interest rates, affecting mortgages, corporate loans, and investments. Economists (e.g., Dalio, Rogoff) express concerns about a potential 'debt trap' if the credit line is not carefully managed.

🔮 Outlook & what to watch next

Bond yield developments – the yield curve on 2 and 10 years tends to remain high.
Fed meetings – despite banking pressures, planned interest rate cuts are expected in the second half of the year, which may not significantly affect long-term debt yields.
Congressional legislation – proposed packages like the 'One Big Beautiful Bill Act' may add additional trillions in debt.
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