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Roku, Inc. (ROKU): как стриминговая платформа превращается в рекламного технологического гигантаRoku, Inc. (ROKU): как стриминговая платформа превращается в рекламного технологического гиганта Roku, Inc. — это не просто производитель устройств для потокового видео, а полноценная экосистема цифровой дистрибуции контента и рекламы. Компания играет ключевую роль в трансформации медиарынка, смещая акцент с традиционного телевидения на Connected TV (CTV). В статье рассматриваются бизнес-модель Roku, источники дохода, конкурентные преимущества, риски и долгосрочный инвестиционный потенциал. Введение: позиционирование Roku на рынке Roku занимает уникальную нишу между контентом и пользователем. В отличие от таких игроков, как Netflix или Disney, компания не делает ставку исключительно на производство контента. Ее стратегия — стать инфраструктурным слоем для стриминговой индустрии, объединяя провайдеров, рекламодателей и аудиторию. Бизнес-модель: dual revenue engine Roku работает по гибридной модели, включающей два ключевых сегмента: 1. Platform (основной драйвер роста): Реклама (включая programmatic и video ads) Подписки и revenue sharing с сервисами Данные пользователей и аналитика 2. Devices (аппаратная часть): Продажа стриминговых устройств и Smart TV Низкая маржинальность, используется как канал привлечения пользователей Ключевой тезис: Roku сознательно жертвует прибылью от устройств ради масштабирования пользовательской базы, которая затем монетизируется через рекламу. Экосистема и конкурентные преимущества Roku создала замкнутую экосистему, включающую: Roku OS (операционная система для Smart TV) Roku Channel (собственный бесплатный контент с рекламой) Инструменты для рекламодателей Главные преимущества: Масштаб аудитории в сегменте CTV Прямой доступ к пользовательским данным (first-party data) Высокая маржинальность рекламного бизнеса Независимость от производства контента Рынок и тренды: рост Connected TV Рынок стриминга продолжает расти за счет: Снижения популярности кабельного ТВ Увеличения времени потребления контента онлайн Перетока рекламных бюджетов в digital Roku находится в центре этого сдвига, конкурируя с: Amazon (Fire TV) Apple (Apple TV) Google (Android TV / Google TV) Финансовая логика и инвестиционная привлекательность Для инвесторов Roku интересна как: Growth-компания с фокусом на рекламу Игрок в быстрорастущем сегменте CTV Платформа с потенциалом масштабирования маржи Ключевые метрики для анализа: ARPU (средний доход на пользователя) Активные аккаунты Доля platform revenue Риски Несмотря на сильные позиции, есть ряд факторов риска: Высокая конкуренция со стороны Big Tech Зависимость от рекламного рынка (цикличность) Давление на маржу устройств Регуляторные риски в области данных Перспективы развития Долгосрочная стратегия Roku строится вокруг: Усиления рекламных технологий Расширения международного присутствия Углубления интеграции с производителями Smart TV Развития собственного контента и каналов Roku — это инфраструктурный игрок нового медиарынка, который делает ставку не на контент, а на контроль пользовательского опыта и рекламных потоков. В условиях роста цифрового потребления и трансформации ТВ-индустрии компания имеет потенциал стать одним из ключевых бенефициаров перехода к streaming-first экономике. #roku #фондовыйрынок #nasdaq

Roku, Inc. (ROKU): как стриминговая платформа превращается в рекламного технологического гиганта

Roku, Inc. (ROKU): как стриминговая платформа превращается в рекламного технологического гиганта
Roku, Inc. — это не просто производитель устройств для потокового видео, а полноценная экосистема цифровой дистрибуции контента и рекламы. Компания играет ключевую роль в трансформации медиарынка, смещая акцент с традиционного телевидения на Connected TV (CTV). В статье рассматриваются бизнес-модель Roku, источники дохода, конкурентные преимущества, риски и долгосрочный инвестиционный потенциал.
Введение: позиционирование Roku на рынке
Roku занимает уникальную нишу между контентом и пользователем. В отличие от таких игроков, как Netflix или Disney, компания не делает ставку исключительно на производство контента. Ее стратегия — стать инфраструктурным слоем для стриминговой индустрии, объединяя провайдеров, рекламодателей и аудиторию.
Бизнес-модель: dual revenue engine
Roku работает по гибридной модели, включающей два ключевых сегмента:
1. Platform (основной драйвер роста):
Реклама (включая programmatic и video ads)
Подписки и revenue sharing с сервисами
Данные пользователей и аналитика
2. Devices (аппаратная часть):
Продажа стриминговых устройств и Smart TV
Низкая маржинальность, используется как канал привлечения пользователей
Ключевой тезис: Roku сознательно жертвует прибылью от устройств ради масштабирования пользовательской базы, которая затем монетизируется через рекламу.
Экосистема и конкурентные преимущества
Roku создала замкнутую экосистему, включающую:
Roku OS (операционная система для Smart TV)
Roku Channel (собственный бесплатный контент с рекламой)
Инструменты для рекламодателей
Главные преимущества:
Масштаб аудитории в сегменте CTV
Прямой доступ к пользовательским данным (first-party data)
Высокая маржинальность рекламного бизнеса
Независимость от производства контента
Рынок и тренды: рост Connected TV
Рынок стриминга продолжает расти за счет:
Снижения популярности кабельного ТВ
Увеличения времени потребления контента онлайн
Перетока рекламных бюджетов в digital
Roku находится в центре этого сдвига, конкурируя с:
Amazon (Fire TV)
Apple (Apple TV)
Google (Android TV / Google TV)
Финансовая логика и инвестиционная привлекательность
Для инвесторов Roku интересна как:
Growth-компания с фокусом на рекламу
Игрок в быстрорастущем сегменте CTV
Платформа с потенциалом масштабирования маржи
Ключевые метрики для анализа:
ARPU (средний доход на пользователя)
Активные аккаунты
Доля platform revenue
Риски
Несмотря на сильные позиции, есть ряд факторов риска:
Высокая конкуренция со стороны Big Tech
Зависимость от рекламного рынка (цикличность)
Давление на маржу устройств
Регуляторные риски в области данных
Перспективы развития
Долгосрочная стратегия Roku строится вокруг:
Усиления рекламных технологий
Расширения международного присутствия
Углубления интеграции с производителями Smart TV
Развития собственного контента и каналов
Roku — это инфраструктурный игрок нового медиарынка, который делает ставку не на контент, а на контроль пользовательского опыта и рекламных потоков. В условиях роста цифрового потребления и трансформации ТВ-индустрии компания имеет потенциал стать одним из ключевых бенефициаров перехода к streaming-first экономике.

#roku #фондовыйрынок #nasdaq
🚀 One of the most violent squeezes ever may be happening right now Just weeks ago: 📈 Oil above $115 ⚠️ Hormuz crisis ⚠️ Recession fears everywhere ⚠️ Hedge funds heavily bearish Then the ceasefire headlines hit. 💣 Oil collapsed 💣 Shorts got trapped 💣 Cash on sidelines rushed back in The result 👇 • Nasdaq: +16% • S&P 500: +11% • Russell 2000: +12% • Dow: +7% And multiple indexes hit NEW all-time highs during an active geopolitical conflict. 👇 Markets climbed the wall of fear faster than almost anyone expected. #Stocks #Markets #SP500 #Nasdaq #Macro
🚀 One of the most violent squeezes ever may be happening right now

Just weeks ago:

📈 Oil above $115
⚠️ Hormuz crisis
⚠️ Recession fears everywhere
⚠️ Hedge funds heavily bearish

Then the ceasefire headlines hit.

💣 Oil collapsed
💣 Shorts got trapped
💣 Cash on sidelines rushed back in

The result 👇

• Nasdaq: +16%
• S&P 500: +11%
• Russell 2000: +12%
• Dow: +7%

And multiple indexes hit NEW all-time highs during an active geopolitical conflict.

👇 Markets climbed the wall of fear faster than almost anyone expected.

#Stocks #Markets #SP500 #Nasdaq #Macro
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Төмен (кемімелі)
Meta Stock Loses $175 Billion After AI Expense Estimate Shakes Shareholders {future}(METAUSDT) Meta shares fell 10% after raising 2026 AI capex guidance to $145 billion. JPMorgan downgraded Meta to Neutral, cutting its price target to $725. Q1 revenue jumped 33% to $56.31 billion, the strongest growth since 2021. $BTC $ETH #Earning #AI News #Nasdaq #Stock Market News
Meta Stock Loses $175 Billion After AI Expense Estimate Shakes Shareholders


Meta shares fell 10% after raising 2026 AI capex guidance to $145 billion.
JPMorgan downgraded Meta to Neutral, cutting its price target to $725.
Q1 revenue jumped 33% to $56.31 billion, the strongest growth since 2021.
$BTC $ETH

#Earning
#AI News
#Nasdaq
#Stock Market News
🚀 US stocks just made history again 🇺🇸 Nasdaq and S&P 500 hit fresh ALL-TIME HIGHS. 💣 In just 30 days: Over $10 TRILLION added to the US stock market. 👇 AI + mega-cap tech are driving one of the fastest wealth expansions ever seen. Fear disappeared. Liquidity returned. Markets ripped higher. #Stocks #SP500 #Nasdaq #AI #Markets
🚀 US stocks just made history again

🇺🇸 Nasdaq and S&P 500 hit fresh ALL-TIME HIGHS.

💣 In just 30 days:

Over $10 TRILLION added to the US stock market.

👇 AI + mega-cap tech are driving one of the fastest wealth expansions ever seen.

Fear disappeared.
Liquidity returned.
Markets ripped higher.

#Stocks #SP500 #Nasdaq #AI #Markets
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🚀 $BTC 已重新站上 $76,000 关口,市场情绪明显回暖。 📈 美股期货今日整体走高,同时原油价格出现回落。 盘前数据重点: ▫️ 纳斯达克期货上涨 0.73% 🟠 ▫️ 标普500期货上涨 0.54% 🟠 整体来看,风险资产表现偏强,市场多头氛围正在增强。 #BTC #Crypto #StockMarket #PreMarket #Nasdaq
🚀 $BTC 已重新站上 $76,000 关口,市场情绪明显回暖。

📈 美股期货今日整体走高,同时原油价格出现回落。

盘前数据重点:

▫️ 纳斯达克期货上涨 0.73% 🟠
▫️ 标普500期货上涨 0.54% 🟠

整体来看,风险资产表现偏强,市场多头氛围正在增强。

#BTC #Crypto #StockMarket #PreMarket #Nasdaq
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$BTC is hovering around the $77,000 level. #US stock futures are mixed, while Oil is almost at $104/barrel. Pre-market stock trading insights: ▫️#NASDAQ futures is up 0.27% 🟠 ▫️S&P futures is down 0.02% 🔴
$BTC is hovering around the $77,000 level.

#US stock futures are mixed, while Oil is almost at $104/barrel.

Pre-market stock trading insights:

▫️#NASDAQ futures is up 0.27% 🟠

▫️S&P futures is down 0.02% 🔴
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Жоғары (өспелі)
🌍 GLOBAL MARKET ALERT: BITCOIN STABILITY VS. OIL SURGE! 📊🚀 ​THE MARKETS ARE AT A CROSSROADS! 📣 As we head into a major trading session, the world’s most watched assets are sending mixed signals. From the digital gold of Bitcoin to the black gold of Oil, here is everything you need to know to stay ahead of the curve! 📉💹 ​1️⃣ BITCOIN: THE CALM BEFORE THE STORM? 🪙 ​⚖️ Status: $BTC is currently hovering around the $77,000 level. ​🎯 Observation: The price is consolidating. Traders are watching closely to see if this is the launchpad for a push toward $80K or a local top before a correction. The "Diamond Hands" are holding firm! 💎🙌 ​2️⃣ OIL: THE INFLATION ENGINE SPEEDS UP! 🛢️🔥 ​📈 Price Action: Crude Oil is surging, trading near $104/barrel! ​⚠️ The Impact: With oil prices climbing, global inflation concerns are back on the table. Energy stocks are in focus, but higher fuel costs could put pressure on the broader economy. 🌍📉 ​3️⃣ PRE-MARKET STOCK INSIGHTS: A TALE OF TWO FUTURES 📊 Wall Street is opening with a divided sentiment today: ​🟠 Nasdaq Futures: UP +0.27% – Tech stocks are showing resilience, possibly driven by AI optimism and strong earnings anticipation. 💻🚀 ​🔴 S&P 500 Futures: DOWN -0.02% – The broader market is flat-to-red as investors weigh high energy costs against tech gains. ⚖️📉 ​THE VERDICT: 🤔 We are seeing a clear rotation. Tech is trying to lead the charge, but the rising cost of Oil is acting as a massive anchor for the S&P. Meanwhile, Bitcoin remains the ultimate wildcard, waiting for its next big catalyst! 💥💰💯 ​WHAT’S YOUR MOVE? 👇 🚀 - Bullish on Tech and BTC! 📉 - Bearish until Oil cools down! ​Trade smart, stay informed, and let's win this session! 📊🔥💹 $BTC {future}(BTCUSDT) ​#Bitcoin #BTC #StockMarket #Nasdaq #SP500
🌍 GLOBAL MARKET ALERT: BITCOIN STABILITY VS. OIL SURGE! 📊🚀

​THE MARKETS ARE AT A CROSSROADS! 📣 As we head into a major trading session, the world’s most watched assets are sending mixed signals. From the digital gold of Bitcoin to the black gold of Oil, here is everything you need to know to stay ahead of the curve! 📉💹

​1️⃣ BITCOIN: THE CALM BEFORE THE STORM? 🪙
​⚖️ Status: $BTC is currently hovering around the $77,000 level.

​🎯 Observation: The price is consolidating. Traders are watching closely to see if this is the launchpad for a push toward $80K or a local top before a correction. The "Diamond Hands" are holding firm! 💎🙌

​2️⃣ OIL: THE INFLATION ENGINE SPEEDS UP! 🛢️🔥

​📈 Price Action: Crude Oil is surging, trading near $104/barrel!

​⚠️ The Impact: With oil prices climbing, global inflation concerns are back on the table. Energy stocks are in focus, but higher fuel costs could put pressure on the broader economy. 🌍📉

​3️⃣ PRE-MARKET STOCK INSIGHTS: A TALE OF TWO FUTURES 📊

Wall Street is opening with a divided sentiment today:

​🟠 Nasdaq Futures: UP +0.27% – Tech stocks are showing resilience, possibly driven by AI optimism and strong earnings anticipation. 💻🚀

​🔴 S&P 500 Futures: DOWN -0.02% – The broader market is flat-to-red as investors weigh high energy costs against tech gains. ⚖️📉
​THE VERDICT: 🤔

We are seeing a clear rotation. Tech is trying to lead the charge, but the rising cost of Oil is acting as a massive anchor for the S&P. Meanwhile, Bitcoin remains the ultimate wildcard, waiting for its next big catalyst! 💥💰💯
​WHAT’S YOUR MOVE? 👇

🚀 - Bullish on Tech and BTC!
📉 - Bearish until Oil cools down!

​Trade smart, stay informed, and let's win this session! 📊🔥💹
$BTC

#Bitcoin #BTC #StockMarket #Nasdaq #SP500
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BREAKING: CEO of Nasdaq just hinted that the stock market is about to change forever. Smart money is already positioning Retail investors will realize too late. are you early or already late? 👇 #NASDAQ #stocks #crypto #Investing #AI
BREAKING: CEO of Nasdaq just hinted that the stock market is about to change forever.
Smart money is already positioning Retail investors will realize too late.
are you early or already late? 👇
#NASDAQ #stocks #crypto #Investing #AI
Я устал от этого дерьма. Биткоин потерял месячный восходящий тренд, в то время как SandP 500 и Nasdaq обновили исторические максимумы $BTC #SAndP500 #NASDAQ
Я устал от этого дерьма.

Биткоин потерял месячный восходящий тренд, в то время как SandP 500 и Nasdaq обновили исторические максимумы
$BTC #SAndP500 #NASDAQ
Wall Street Closes Red: OpenAI Jitters and Surging Oil Pressure Markets Wall Street indices ended Tuesday’s session in negative territory as investor sentiment was dampened by reports of internal struggles at OpenAI and a sharp spike in global oil prices. Market Closing Figures Nasdaq Composite: 📉 -0.90% (24,663.80) S&P 500: 📉 -0.49% (7,138.80) Dow Jones: 📉 -0.06% (49,141.93) Key Market Drivers OpenAI "Weakness" Report: A Wall Street Journal report indicating that OpenAI missed internal revenue and user growth targets triggered a sell-off in AI-linked stocks, including Nvidia and Broadcom. Rising Energy Costs: Oil prices surged (Brent exceeding $111/barrel) following news of the UAE’s intent to exit OPEC and escalating regional tensions, fueling inflation fears. Earnings Caution: Technology shares faced additional pressure as investors braced for heavyweight earnings from Alphabet, Meta, and Microsoft later this week. #WallStreet #StockMarket #OpenAI #Nasdaq #OilPrices
Wall Street Closes Red: OpenAI Jitters and Surging Oil Pressure Markets
Wall Street indices ended Tuesday’s session in negative territory as investor sentiment was dampened by reports of internal struggles at OpenAI and a sharp spike in global oil prices.
Market Closing Figures
Nasdaq Composite: 📉 -0.90% (24,663.80)
S&P 500: 📉 -0.49% (7,138.80)
Dow Jones: 📉 -0.06% (49,141.93)
Key Market Drivers
OpenAI "Weakness" Report: A Wall Street Journal report indicating that OpenAI missed internal revenue and user growth targets triggered a sell-off in AI-linked stocks, including Nvidia and Broadcom.
Rising Energy Costs: Oil prices surged (Brent exceeding $111/barrel) following news of the UAE’s intent to exit OPEC and escalating regional tensions, fueling inflation fears.
Earnings Caution: Technology shares faced additional pressure as investors braced for heavyweight earnings from Alphabet, Meta, and Microsoft later this week.
#WallStreet #StockMarket #OpenAI #Nasdaq #OilPrices
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mystocke атынан
▶️Actualizacion Bitcoin: - El precio de Bitcoin retrocede a los ~$76.5k justo donde comentábamos en el directo de ayer. - La caída viene impulsada tanto desde SPOT como desde FUTUROS. - Liquidaron una gran cantidad de LARGOS pero los CORTOS están entrando con todo. - Protecciones claras y fuertes no hay ni en 75k ni en 80k. EMHO: Parece una caída mas que todo para liquidar, el SP500 y el Nasdaq ya recuperaron toda la mini caída de Lunes, Bitcoin probablemente lo haga en el transcurso de la semana. No me parece zona atractiva para meter largos grandes. #BTC #Spot #futuros #SP500 #NASDAQ $BTC {alpha}(560x6a708ead771238919d85930b5a0f10454e1c331a) {alpha}(560x0cde6936d305d5b34667fc46425e852efd73559a)
▶️Actualizacion Bitcoin:

- El precio de Bitcoin retrocede a los ~$76.5k justo donde comentábamos en el directo de ayer.
- La caída viene impulsada tanto desde SPOT como desde FUTUROS.
- Liquidaron una gran cantidad de LARGOS pero los CORTOS están entrando con todo.
- Protecciones claras y fuertes no hay ni en 75k ni en 80k.

EMHO:
Parece una caída mas que todo para liquidar, el SP500 y el Nasdaq ya recuperaron toda la mini caída de Lunes, Bitcoin probablemente lo haga en el transcurso de la semana. No me parece zona atractiva para meter largos grandes.

#BTC #Spot #futuros #SP500 #NASDAQ $BTC
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Мақала
The Nasdaq Just Hit an All-Time High. Bitcoin Is Testing a Major Breakout. Here's the $1 Trillion QuThe Nasdaq Composite just printed a new all-time high this week. The S&P 500 is back above 7,000. US tech stocks — after one of their worst Q1s in years — have fully recovered. Bitcoin is at $79,000. Testing the $80K level for the fourth time. On the surface, these two things seem like they're telling the same story: risk appetite is back, markets are up, everything is fine. But underneath, there's a question that more sophisticated traders are actively wrestling with right now. Bitcoin now testing a major breakout at $79,000 as it challenges the upper boundary of its main October descending channel. The big question now is whether cryptos will decouple from equities in the event of a stock market downturn — a factor that could determine if Bitcoin and its peers are truly poised to return to record highs. Bitcoin's correlation with the Nasdaq has been approximately 85% through most of 2026. In plain terms: when tech stocks go up, BTC goes up. When tech stocks go down, BTC goes down. This has been the dominant market regime for the past 18 months, interrupted only briefly during the sharpest Iran crisis moments — when BTC actually held value while stocks sold off. That brief decoupling is the data point bulls point to. During the worst days of the Iran oil shock, the Nasdaq dropped 6–8% while Bitcoin's drawdown was significantly smaller. The White House shooting produced a BTC rally while stocks were flat. These are early signals that BTC's safe-haven behavior is emerging — but they're not yet consistent enough to call it a regime change. So far, cryptocurrencies have maintained a strong correlation with the Nasdaq. However, while the tech index has reclaimed its all-time highs, Bitcoin is now testing a major breakout. This presents a critical test: in the event of a stock market correction, will Bitcoin hold as a safe-haven asset, or will it reprice as another risk asset? Here's the honest framework for thinking about this. Bitcoin behaves as a risk asset during liquidity-driven selloffs — when everything gets sold to raise cash (2022, March 2020). It behaves as a safe haven during confidence-driven selloffs — when people are fleeing specific risks like currency debasement, geopolitical instability, or banking system stress (SVB March 2023, Iran Q1 2026). The type of selloff determines Bitcoin's behavior. If the next equity drawdown is driven by Fed hawkishness or valuation concerns — BTC likely falls with stocks. If it's driven by a geopolitical shock or dollar weakness — BTC likely holds or rises. Given that the dominant macro risks right now are Iran (geopolitical) and dollar debasement (inflation) rather than Fed overtightening — the conditions actually favor BTC acting as a hedge rather than a risk asset in the next selloff. But this is a thesis, not a certainty. The real-world test is coming. Whether BTC passes it will determine the next chapter of its identity in global markets. #Bitcoin #Nasdaq #SafeHaven #MacroCrypto #BTC

The Nasdaq Just Hit an All-Time High. Bitcoin Is Testing a Major Breakout. Here's the $1 Trillion Qu

The Nasdaq Composite just printed a new all-time high this week. The S&P 500 is back above 7,000. US tech stocks — after one of their worst Q1s in years — have fully recovered.
Bitcoin is at $79,000. Testing the $80K level for the fourth time.
On the surface, these two things seem like they're telling the same story: risk appetite is back, markets are up, everything is fine. But underneath, there's a question that more sophisticated traders are actively wrestling with right now.
Bitcoin now testing a major breakout at $79,000 as it challenges the upper boundary of its main October descending channel. The big question now is whether cryptos will decouple from equities in the event of a stock market downturn — a factor that could determine if Bitcoin and its peers are truly poised to return to record highs.
Bitcoin's correlation with the Nasdaq has been approximately 85% through most of 2026. In plain terms: when tech stocks go up, BTC goes up. When tech stocks go down, BTC goes down. This has been the dominant market regime for the past 18 months, interrupted only briefly during the sharpest Iran crisis moments — when BTC actually held value while stocks sold off.
That brief decoupling is the data point bulls point to. During the worst days of the Iran oil shock, the Nasdaq dropped 6–8% while Bitcoin's drawdown was significantly smaller. The White House shooting produced a BTC rally while stocks were flat. These are early signals that BTC's safe-haven behavior is emerging — but they're not yet consistent enough to call it a regime change.
So far, cryptocurrencies have maintained a strong correlation with the Nasdaq. However, while the tech index has reclaimed its all-time highs, Bitcoin is now testing a major breakout. This presents a critical test: in the event of a stock market correction, will Bitcoin hold as a safe-haven asset, or will it reprice as another risk asset?
Here's the honest framework for thinking about this. Bitcoin behaves as a risk asset during liquidity-driven selloffs — when everything gets sold to raise cash (2022, March 2020). It behaves as a safe haven during confidence-driven selloffs — when people are fleeing specific risks like currency debasement, geopolitical instability, or banking system stress (SVB March 2023, Iran Q1 2026).
The type of selloff determines Bitcoin's behavior. If the next equity drawdown is driven by Fed hawkishness or valuation concerns — BTC likely falls with stocks. If it's driven by a geopolitical shock or dollar weakness — BTC likely holds or rises.
Given that the dominant macro risks right now are Iran (geopolitical) and dollar debasement (inflation) rather than Fed overtightening — the conditions actually favor BTC acting as a hedge rather than a risk asset in the next selloff. But this is a thesis, not a certainty.
The real-world test is coming. Whether BTC passes it will determine the next chapter of its identity in global markets.
#Bitcoin #Nasdaq #SafeHaven #MacroCrypto #BTC
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Roberrmachin25:
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Жоғары (өспелі)
BTC 公链 + 哈佛孵化 + 纳斯达克路线 👀 @PGProtocol 的 BaaS 主体已经在推纳斯达克上市了。一边在美国走合规金融通路,一边在亚洲做市场落地 今晚 8 点非小号 LIVE100,4/27 听完直播 → 4/29 首尔峰会现场见 在下方参与直播 #PGProtocol #Nasdaq #Web3
BTC 公链 + 哈佛孵化 + 纳斯达克路线 👀
@PGProtocol 的 BaaS 主体已经在推纳斯达克上市了。一边在美国走合规金融通路,一边在亚洲做市场落地

今晚 8 点非小号 LIVE100,4/27 听完直播 → 4/29 首尔峰会现场见
在下方参与直播

#PGProtocol #Nasdaq #Web3
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